iShares International Treasury Bond ETF Dividends

Symbol
IGOV
Exchange
Nasdaq All Markets
Next Ex-Div Date
-
Forward Dividend Yield
0.00%
Previous Dividend Calculator
ExDivDate: 15 Dec 2022
Amount: 0.042 USD
You get

0.042 USD

Track these dividends and more in DiviTrack for free.

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Status Declaration Date Ex-div Date PaymentDate Amount Currency Change
Confirmed 14 Dec 2022 15 Dec 2022 21 Dec 2022 0.042 USD -78.66%
Confirmed 15 Dec 2021 16 Dec 2021 22 Dec 2021 0.1968 USD + 61.44%
Confirmed 18 Dec 2019 19 Dec 2019 26 Dec 2019 0.1219 USD -19.27%
Confirmed 17 Dec 2018 18 Dec 2018 24 Dec 2018 0.151 USD + 619.05%
Confirmed 20 Dec 2017 21 Dec 2017 28 Dec 2017 0.021 USD + 121.05%
Confirmed 31 Jul 2017 1 Aug 2017 7 Aug 2017 0.0095 USD 0.00%
Confirmed 30 Jun 2017 3 Jul 2017 10 Jul 2017 0.0095 USD -5.00%
Confirmed - 1 Jun 2017 7 Jun 2017 0.01 USD -1.96%
Confirmed - 1 May 2017 5 May 2017 0.0102 USD -6.42%
Confirmed 31 Mar 2017 3 Apr 2017 7 Apr 2017 0.0109 USD -5.22%
Confirmed 28 Feb 2017 1 Mar 2017 7 Mar 2017 0.0115 USD + 5.50%
Confirmed 31 Jan 2017 1 Feb 2017 7 Feb 2017 0.0109 USD -95.44%
Confirmed 21 Dec 2016 22 Dec 2016 29 Dec 2016 0.2389 USD + 2014.16%
Confirmed 30 Nov 2016 1 Dec 2016 7 Dec 2016 0.0113 USD + 22.83%
Confirmed 31 Oct 2016 1 Nov 2016 7 Nov 2016 0.0092 USD + 3.37%
Confirmed 30 Sep 2016 3 Oct 2016 7 Oct 2016 0.0089 USD + 9.88%
Confirmed 31 Aug 2016 1 Sep 2016 8 Sep 2016 0.0081 USD + 5.19%
Confirmed 29 Jul 2016 1 Aug 2016 5 Aug 2016 0.0077 USD + 4.05%
Confirmed 30 Jun 2016 1 Jul 2016 8 Jul 2016 0.0074 USD + 7.25%
Confirmed 31 May 2016 1 Jun 2016 7 Jun 2016 0.0069 USD 0.00%
Confirmed 29 Apr 2016 2 May 2016 6 May 2016 0.0069 USD + 6.15%
Confirmed 31 Mar 2016 1 Apr 2016 7 Apr 2016 0.0065 USD -45.83%
Confirmed 23 Dec 2015 24 Dec 2015 31 Dec 2015 0.012 USD + 122.22%
Confirmed 31 Aug 2015 1 Sep 2015 8 Sep 2015 0.0054 USD + 10.20%
Confirmed 31 Jul 2015 3 Aug 2015 7 Aug 2015 0.0049 USD -2.00%
Confirmed 30 Jun 2015 1 Jul 2015 8 Jul 2015 0.005 USD 0.00%
Confirmed 29 May 2015 1 Jun 2015 5 Jun 2015 0.005 USD 0.00%
Confirmed 30 Apr 2015 1 May 2015 7 May 2015 0.005 USD -1.96%
Confirmed 31 Mar 2015 1 Apr 2015 8 Apr 2015 0.0051 USD -89.80%
Confirmed 27 Feb 2015 2 Mar 2015 6 Mar 2015 0.05 USD + 900.00%
Confirmed 30 Jan 2015 2 Feb 2015 6 Feb 2015 0.005 USD -91.80%
Confirmed 23 Dec 2014 24 Dec 2014 31 Dec 2014 0.061 USD + 1120.00%
Confirmed 28 Nov 2014 1 Dec 2014 5 Dec 2014 0.005 USD -75.00%
Confirmed 31 Oct 2014 3 Nov 2014 7 Nov 2014 0.02 USD -66.61%
Confirmed 30 Sep 2014 1 Oct 2014 7 Oct 2014 0.0599 USD -0.17%
Confirmed 29 Aug 2014 2 Sep 2014 8 Sep 2014 0.06 USD + 0.17%
Confirmed 31 Jul 2014 1 Aug 2014 7 Aug 2014 0.0599 USD + 0.17%
Confirmed 30 Jun 2014 1 Jul 2014 8 Jul 2014 0.0598 USD + 0.67%
Confirmed 30 May 2014 2 Jun 2014 6 Jun 2014 0.0594 USD + 1.54%
Confirmed 30 Apr 2014 1 May 2014 7 May 2014 0.0585 USD 0.00%
Confirmed 31 Mar 2014 1 Apr 2014 7 Apr 2014 0.0585 USD 0.00%
Confirmed 28 Feb 2014 3 Mar 2014 7 Mar 2014 0.0585 USD 0.00%

IGOV Dividend FAQ

The next ex dividend date for iShares International Treasury Bond ETF is on -.
The last dividend for iShares International Treasury Bond ETF went ex dividend on 15 Dec 2022 with a value of 0.042 USD.
The forward dividend yield for iShares International Treasury Bond ETF is 0.00%.