O’Shares U.S. Quality Dividend ETF(OUSA) USD 42.86
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.47%USD 0.2USD0.060682023-03-23
USD0.073312023-02-23
USD0.065982023-01-26
20221.85%USD 0.794USD0.069662022-12-28
USD0.078542022-11-29
USD0.070422022-10-27
USD0.06132022-09-29
USD0.075712022-08-30
USD0.070972022-07-28
USD0.069242022-06-28
USD0.062932022-05-26
USD0.071352022-04-28
USD0.069012022-03-29
USD0.04562022-02-24
USD0.049742022-01-27
20211.70%USD 0.729USD0.075792021-12-29
USD0.056462021-11-29
USD0.062412021-10-28
USD0.058112021-09-29
USD0.069442021-08-30
USD0.069812021-07-29
USD0.061742021-06-29
USD0.050732021-05-27
USD0.06542021-04-29
USD0.066482021-03-29
USD0.046042021-02-25
USD0.046162021-01-28
20201.81%USD 0.776USD0.08842020-12-29
USD0.051062020-11-27
USD0.059382020-10-29
USD0.060622020-09-29
USD0.038722020-08-28
USD0.020382020-07-30
USD0.070822020-06-29
USD0.093522020-05-28
USD0.067912020-04-29
USD0.092092020-03-27
USD0.090182020-02-25
USD0.043152020-01-30
20191.97%USD 0.845USD0.1062019-12-27
USD0.0852019-11-27
USD0.0632019-10-30
USD0.0812019-09-27
USD0.0832019-08-29
USD0.062019-07-30
USD0.0522019-06-27
USD0.052019-05-30
USD0.072019-04-29
USD0.0712019-03-28
USD0.0812019-02-27
USD0.0432019-01-30
20182.14%USD 0.919USD0.1152018-12-27
USD0.0772018-11-29
USD0.0822018-10-30
USD0.1072018-09-27
USD0.0762018-08-30
USD0.0622018-07-30
USD0.0722018-06-26
USD0.0722018-05-30
USD0.072018-04-27
USD0.0792018-03-28
USD0.0612018-02-27
USD0.0462018-01-30
20171.60%USD 0.687USD0.1452017-12-22
USD0.0692017-11-15
USD0.072017-10-16
USD0.062017-09-15
USD0.0262017-08-15
USD0.0292017-07-17
USD0.0652017-06-15
USD0.0192017-05-15
USD0.062017-04-17
USD0.0752017-03-15
USD0.0432017-02-15
USD0.0262017-01-17
20161.49%USD 0.637USD0.0932016-12-23
USD0.0672016-11-15
USD0.0662016-10-17
USD0.0612016-09-15
USD0.0262016-08-15
USD0.042016-07-15
USD0.12016-06-15
USD0.0182016-05-16
USD0.0472016-04-15
USD0.0732016-03-15
USD0.0222016-02-16
USD0.0242016-01-15
20150.68%USD 0.292USD0.0912015-12-24
USD0.0492015-11-16
USD0.062015-10-15
USD0.0692015-09-15
USD0.0232015-08-17