iShares Short Maturity Bond ETF(NEAR) USD 49.57
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.88%USD 0.438USD0.160992023-04-03
USD0.145982023-03-01
USD0.131412023-02-01
20221.77%USD 0.877USD0.157352022-12-15
USD0.125322022-12-01
USD0.132252022-11-01
USD0.090612022-10-03
USD0.082552022-09-01
USD0.067012022-08-01
USD0.058062022-07-01
USD0.041552022-06-01
USD0.036042022-05-02
USD0.030962022-04-01
USD0.027162022-03-01
USD0.027942022-02-01
20210.77%USD 0.379USD0.019572021-12-16
USD0.026842021-12-01
USD0.029332021-11-01
USD0.029842021-10-01
USD0.028492021-09-01
USD0.031182021-08-02
USD0.031672021-07-01
USD0.031642021-06-01
USD0.032092021-05-03
USD0.035612021-04-01
USD0.039512021-03-01
USD0.043492021-02-01
20201.55%USD 0.769USD0.042472020-12-17
USD0.043682020-12-01
USD0.040222020-11-02
USD0.040612020-10-01
USD0.047272020-09-01
USD0.052332020-08-03
USD0.06072020-07-01
USD0.070392020-06-01
USD0.080962020-05-01
USD0.092612020-04-01
USD0.096072020-03-02
USD0.10192020-02-03
20192.72%USD 1.35USD0.103082019-12-19
USD0.100062019-12-02
USD0.110682019-11-01
USD0.106012019-10-01
USD0.112172019-09-03
USD0.11512019-08-01
USD0.115092019-07-01
USD0.119992019-06-03
USD0.119042019-05-01
USD0.118312019-04-01
USD0.119632019-03-01
USD0.11112019-02-01
20182.26%USD 1.121USD0.091042018-12-18
USD0.101272018-12-03
USD0.109522018-11-01
USD0.101082018-10-01
USD0.105542018-09-04
USD0.100012018-08-01
USD0.100492018-07-02
USD0.093412018-06-01
USD0.086832018-05-01
USD0.082022018-04-02
USD0.07472018-03-01
USD0.07462018-02-01
20171.54%USD 0.763USD0.057042017-12-21
USD0.070262017-12-01
USD0.066942017-11-01
USD0.068192017-10-02
USD0.069952017-09-01
USD0.068242017-08-01
USD0.067392017-07-03
USD0.062522017-06-01
USD0.060842017-05-01
USD0.059132017-04-03
USD0.058632017-03-01
USD0.053412017-02-01
20161.08%USD 0.535USD0.039472016-12-22
USD0.048992016-12-01
USD0.046582016-11-01
USD0.048822016-10-03
USD0.053932016-09-01
USD0.049412016-08-01
USD0.047292016-07-01
USD0.043222016-06-01
USD0.039662016-05-02
USD0.036132016-04-01
USD0.040132016-03-01
USD0.041552016-02-01
20150.86%USD 0.425USD0.029052015-12-24
USD0.038332015-12-01
USD0.038522015-11-02
USD0.037312015-10-01
USD0.03682015-09-01
USD0.036172015-08-03
USD0.033322015-07-01
USD0.035262015-06-01
USD0.034152015-05-01
USD0.034452015-04-01
USD0.039082015-03-02
USD0.032532015-02-02
20140.86%USD 0.427USD0.031872014-12-24
USD0.034512014-12-01
USD0.033932014-11-03
USD0.030322014-10-01
USD0.036012014-09-02
USD0.037542014-08-01
USD0.03812014-07-01
USD0.035332014-06-02
USD0.03712014-05-01
USD0.036972014-04-01
USD0.039832014-03-03
USD0.035242014-02-03
20130.08%USD 0.039USD0.004622013-12-26
USD0.03452013-12-02