Industrial Select Sector SPDR® Fund(XLI) USD 101.1
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.39%USD 0.395USD0.394862023-03-20
20221.59%USD 1.605USD0.465562022-12-19
USD0.425012022-09-19
USD0.374172022-06-21
USD0.340552022-03-21
20211.30%USD 1.318USD0.3852021-12-20
USD0.32312021-09-20
USD0.314332021-06-21
USD0.295642021-03-22
20201.36%USD 1.373USD0.365892020-12-21
USD0.305282020-09-21
USD0.306342020-06-22
USD0.395772020-03-23
20191.57%USD 1.583USD0.403352019-12-20
USD0.414552019-09-20
USD0.337422019-06-21
USD0.427732019-03-15
20181.37%USD 1.385USD0.392382018-12-21
USD0.383832018-09-21
USD0.301642018-06-15
USD0.307282018-03-16
20171.32%USD 1.338USD0.401712017-12-15
USD0.315882017-09-15
USD0.323592017-06-16
USD0.29672017-03-17
20161.27%USD 1.286USD0.384222016-12-16
USD0.311532016-09-16
USD0.307182016-06-17
USD0.282822016-03-18
20151.13%USD 1.138USD0.318742015-12-18
USD0.280922015-09-18
USD0.277762015-06-19
USD0.260712015-03-20
20141.04%USD 1.047USD0.315582014-12-19
USD0.257322014-09-19
USD0.249652014-06-20
USD0.224492014-03-21
20130.87%USD 0.875USD0.258652013-12-20
USD0.218972013-09-20
USD0.215922013-06-21
USD0.181822013-03-15
20120.85%USD 0.86USD0.280032012-12-21
USD0.23962012-09-21
USD0.163712012-06-15
USD0.176822012-03-16
20110.72%USD 0.728USD0.217522011-12-16
USD0.177982011-09-16
USD0.175032011-06-17
USD0.157142011-03-18
20100.58%USD 0.586USD0.177412010-12-17
USD0.15512010-09-17
USD0.147062010-06-18
USD0.106382010-03-19
20090.64%USD 0.645USD0.180562009-12-18
USD0.143892009-09-18
USD0.148432009-06-19
USD0.172552009-03-20
20080.72%USD 0.726USD0.217472008-12-19
USD0.176392008-09-19
USD0.171312008-06-20
USD0.160482008-03-20
20070.56%USD 0.567USD0.186272007-12-21
USD0.204162007-09-21
USD0.101192007-06-15
USD0.07552007-03-16
20060.63%USD 0.633USD0.283172006-12-15
USD0.137772006-09-15
USD0.085222006-06-16
USD0.126462006-03-17
20050.48%USD 0.49USD0.190162005-12-16
USD0.118012005-09-16
USD0.074672005-06-17
USD0.106712005-03-18
20040.40%USD 0.404USD0.15632004-12-17
USD0.098582004-09-17
USD0.05782004-06-18
USD0.090922004-03-19
20030.34%USD 0.344USD0.13022003-12-19
USD0.087282003-09-19
USD0.049892003-06-20
USD0.076322003-03-21
20020.33%USD 0.33USD0.113022002-12-20
USD0.077112002-09-20
USD0.058592002-06-21
USD0.081532002-03-15
20010.34%USD 0.34USD0.105332001-12-21
USD0.090782001-09-21
USD0.064872001-06-15
USD0.079192001-03-16
20000.33%USD 0.332USD0.127972000-12-15
USD0.085372000-09-15
USD0.060762000-06-16
USD0.057412000-03-17