iShares Short-Term National Muni Bond ETF(SUB) USD 104.48
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.28%USD 0.295USD0.15882023-03-01
USD0.13622023-02-01
20220.96%USD 1.006USD0.105572022-12-15
USD0.2142022-12-01
USD0.095652022-11-01
USD0.096292022-10-03
USD0.081062022-09-01
USD0.07422022-08-01
USD0.073892022-07-01
USD0.058452022-06-01
USD0.068622022-05-02
USD0.05362022-04-01
USD0.044732022-03-01
USD0.04042022-02-01
20210.74%USD 0.769USD0.040832021-12-16
USD0.049722021-12-01
USD0.04582021-11-01
USD0.050052021-10-01
USD0.050092021-09-01
USD0.059712021-08-02
USD0.069492021-07-01
USD0.070022021-06-01
USD0.078652021-05-03
USD0.08162021-04-01
USD0.09012021-03-01
USD0.08252021-02-01
20201.28%USD 1.334USD0.085032020-12-17
USD0.089882020-12-01
USD0.089772020-11-02
USD0.09882020-10-01
USD0.098942020-09-01
USD0.10772020-08-03
USD0.11842020-07-01
USD0.119742020-06-01
USD0.131642020-05-01
USD0.132622020-04-01
USD0.132422020-03-02
USD0.128972020-02-03
20191.62%USD 1.692USD0.127722019-12-19
USD0.139452019-12-02
USD0.137032019-11-01
USD0.144992019-10-01
USD0.140622019-09-03
USD0.140012019-08-01
USD0.142732019-07-01
USD0.153822019-06-03
USD0.143542019-05-01
USD0.138132019-04-01
USD0.147522019-03-01
USD0.136752019-02-01
20181.33%USD 1.389USD0.143222018-12-18
USD0.148592018-12-03
USD0.141682018-11-01
USD0.133512018-10-01
USD0.123462018-09-04
USD0.119782018-08-01
USD0.109022018-07-02
USD0.095542018-06-01
USD0.095592018-05-01
USD0.090212018-04-02
USD0.100022018-03-01
USD0.088752018-02-01
20170.95%USD 0.992USD0.12342017-12-21
USD0.088272017-12-01
USD0.080762017-11-01
USD0.089382017-10-02
USD0.080792017-09-01
USD0.07622017-08-01
USD0.079172017-07-03
USD0.07222017-06-01
USD0.079182017-05-01
USD0.072032017-04-03
USD0.079122017-03-01
USD0.071982017-02-01
20160.75%USD 0.787USD0.053642016-12-22
USD0.067812016-12-01
USD0.062792016-11-01
USD0.057562016-10-03
USD0.062982016-09-01
USD0.067722016-08-01
USD0.074542016-07-01
USD0.068322016-06-01
USD0.071232016-05-02
USD0.06552016-04-01
USD0.070132016-03-01
USD0.064682016-02-01
20150.78%USD 0.813USD0.071332015-12-24
USD0.071352015-12-01
USD0.065212015-11-02
USD0.064632015-10-01
USD0.062812015-09-01
USD0.063432015-08-03
USD0.073352015-07-01
USD0.066952015-06-01
USD0.07432015-05-01
USD0.072015-04-01
USD0.068072015-03-02
USD0.061932015-02-02
20140.77%USD 0.803USD0.062442014-12-24
USD0.0682014-12-01
USD0.061932014-11-03
USD0.069952014-10-01
USD0.060962014-09-02
USD0.063052014-08-01
USD0.069122014-07-01
USD0.071322014-06-02
USD0.070982014-05-01
USD0.069192014-04-01
USD0.0752014-03-03
USD0.060562014-02-03
20130.85%USD 0.889USD0.059122013-12-26
USD0.072012013-12-02
USD0.065942013-11-01
USD0.076752013-10-01
USD0.068572013-09-03
USD0.073392013-08-01
USD0.0822013-07-01
USD0.072142013-06-03
USD0.079322013-05-01
USD0.071952013-04-01
USD0.104212013-03-01
USD0.064092013-02-01
20121.01%USD 1.051USD0.069962012-12-26
USD0.079742012-12-03
USD0.070572012-11-01
USD0.091942012-10-01
USD0.084552012-09-04
USD0.089592012-08-01
USD0.096882012-07-02
USD0.088242012-06-01
USD0.091392012-05-01
USD0.095152012-04-02
USD0.091012012-03-01
USD0.102412012-02-01
20111.30%USD 1.359USD0.110312011-12-27
USD0.116132011-12-01
USD0.108562011-11-01
USD0.119482011-10-03
USD0.104562011-09-01
USD0.095462011-08-01
USD0.120152011-07-01
USD0.112222011-06-01
USD0.120022011-05-02
USD0.109612011-04-01
USD0.136442011-03-01
USD0.10652011-02-01
20101.28%USD 1.337USD0.105152010-12-28
USD0.108842010-12-01
USD0.10422010-11-01
USD0.117632010-10-01
USD0.099942010-09-01
USD0.105932010-08-02
USD0.115862010-07-01
USD0.090122010-06-01
USD0.120732010-05-03
USD0.119612010-04-01
USD0.136492010-03-01
USD0.112382010-02-01
20091.45%USD 1.512USD0.10032009-12-29
USD0.113232009-12-01
USD0.094782009-11-02
USD0.130922009-10-01
USD0.112322009-09-01
USD0.109672009-08-03
USD0.119062009-07-01
USD0.126722009-06-01
USD0.134752009-05-01
USD0.17082009-04-01
USD0.142009-03-02
USD0.1592009-02-02
20080.32%USD 0.338USD0.205982008-12-29
USD0.13252008-12-01