iShares iBonds Dec 2023 Term Muni Bond ETF(IBML) USD 25.42
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.40%USD 0.102USD0.032612023-04-03
USD0.037422023-03-01
USD0.031792023-02-01
20221.14%USD 0.29USD0.025192022-12-15
USD0.028162022-12-01
USD0.02412022-11-01
USD0.024952022-10-03
USD0.027612022-09-01
USD0.024162022-08-01
USD0.024492022-07-01
USD0.021742022-06-01
USD0.021242022-05-02
USD0.025132022-04-01
USD0.022592022-03-01
USD0.020462022-02-01
20211.14%USD 0.29USD0.024312021-12-16
USD0.022872021-12-01
USD0.022582021-11-01
USD0.024072021-10-01
USD0.02212021-09-01
USD0.022772021-08-02
USD0.0232021-07-01
USD0.023592021-06-01
USD0.025672021-05-03
USD0.024922021-04-01
USD0.027552021-03-01
USD0.026312021-02-01
20201.47%USD 0.373USD0.025432020-12-17
USD0.029162020-12-01
USD0.027092020-11-02
USD0.030082020-10-01
USD0.030132020-09-01
USD0.030862020-08-03
USD0.032582020-07-01
USD0.031862020-06-01
USD0.034132020-05-01
USD0.035452020-04-01
USD0.033222020-03-02
USD0.032722020-02-03
20191.70%USD 0.432USD0.033532019-12-19
USD0.034412019-12-02
USD0.033852019-11-01
USD0.034372019-10-01
USD0.033412019-09-03
USD0.036092019-08-01
USD0.036142019-07-01
USD0.037972019-06-03
USD0.037582019-05-01
USD0.037232019-04-01
USD0.039532019-03-01
USD0.037692019-02-01
20181.64%USD 0.416USD0.031032018-12-18
USD0.039512018-12-03
USD0.03652018-11-01
USD0.034662018-10-01
USD0.035692018-09-04
USD0.035492018-08-01
USD0.036652018-07-02
USD0.034582018-06-01
USD0.034512018-05-01
USD0.032512018-04-02
USD0.035222018-03-01
USD0.029972018-02-01
20170.96%USD 0.245USD0.019252017-12-21
USD0.027482017-12-01
USD0.02722017-11-01
USD0.030182017-10-02
USD0.030962017-09-01
USD0.028632017-08-01
USD0.031172017-07-03
USD0.033682017-06-01
USD0.016032017-05-01