Blackrock Multi Sector Income Closed Fund(BIT) USD 14.61
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20233.39%USD 0.495USD0.12372023-04-13
USD0.12372023-03-14
USD0.12372023-02-14
USD0.12372023-01-12
20229.33%USD 1.363USD0.12372022-12-14
USD0.12372022-11-14
USD0.1242022-10-13
USD0.1242022-09-14
USD0.1242022-08-12
USD0.1242022-07-14
USD0.1242022-06-14
USD0.1242022-05-13
USD0.1242022-04-13
USD0.1242022-03-14
USD0.1242022-02-14
202110.18%USD 1.487USD0.12372021-12-30
USD0.12372021-12-14
USD0.12372021-11-12
USD0.1242021-10-14
USD0.1242021-09-14
USD0.1242021-08-13
USD0.1242021-07-14
USD0.1242021-06-14
USD0.1242021-05-13
USD0.1242021-04-14
USD0.1242021-03-12
USD0.1242021-02-12
202010.18%USD 1.487USD0.12372020-12-30
USD0.12372020-12-14
USD0.12372020-11-13
USD0.1242020-10-14
USD0.1242020-09-14
USD0.1242020-08-13
USD0.1242020-07-14
USD0.1242020-06-12
USD0.1242020-05-14
USD0.1242020-04-14
USD0.1242020-03-13
USD0.1242020-02-13
20199.79%USD 1.43USD0.12372019-12-30
USD0.12372019-12-13
USD0.12372019-11-14
USD0.1242019-10-11
USD0.1172019-09-13
USD0.1172019-08-14
USD0.1172019-07-12
USD0.11672019-06-13
USD0.11672019-05-14
USD0.11672019-04-12
USD0.11672019-03-14
USD0.11672019-02-14
20189.59%USD 1.4USD0.11672018-12-28
USD0.11672018-12-12
USD0.11672018-11-14
USD0.11672018-10-12
USD0.11672018-09-13
USD0.11672018-08-14
USD0.11672018-07-13
USD0.11672018-06-14
USD0.11672018-05-14
USD0.11672018-04-13
USD0.11672018-03-14
USD0.11672018-02-14
201710.42%USD 1.523USD0.247712017-12-28
USD0.11592017-12-11
USD0.11592017-11-14
USD0.11592017-10-13
USD0.11592017-09-14
USD0.11592017-08-11
USD0.11592017-07-12
USD0.11592017-06-13
USD0.11592017-05-11
USD0.11592017-04-11
USD0.11592017-03-13
USD0.11592017-02-13
201612.80%USD 1.87USD0.48322016-12-28
USD0.11332016-12-08
USD0.11332016-11-10
USD0.11332016-10-12
USD0.11332016-09-13
USD0.11332016-08-11
USD0.25892016-07-13
USD0.11232016-06-13
USD0.11232016-05-12
USD0.11232016-04-13
USD0.11232016-03-11
USD0.11232016-02-11
20159.74%USD 1.424USD0.19492015-12-29
USD0.11172015-12-10
USD0.11172015-11-12
USD0.11172015-10-13
USD0.11172015-09-11
USD0.11172015-08-12
USD0.11172015-07-13
USD0.11172015-06-11
USD0.11172015-05-13
USD0.11172015-04-13
USD0.11172015-03-11
USD0.11172015-02-11
20149.68%USD 1.414USD0.19212014-12-29
USD0.11112014-12-10
USD0.11112014-11-12
USD0.11112014-10-10
USD0.11112014-09-11
USD0.11112014-08-13
USD0.11112014-07-11
USD0.11112014-06-12
USD0.11112014-05-13
USD0.11112014-04-11
USD0.11112014-03-12
USD0.11112014-02-12
20137.60%USD 1.111USD0.11112013-12-27
USD0.11112013-12-11
USD0.11112013-11-13
USD0.11112013-10-11
USD0.11112013-09-12
USD0.11112013-08-13
USD0.11112013-07-11
USD0.11112013-06-12
USD0.11112013-05-13
USD0.11112013-04-18