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IBTB Dividends

iShares iBonds Dec 2022 Term Treasury ETF
1W: +0.1% 1M: +0.2% 3M: +0.7% 1Y: +0.9%
$25.39
Last traded 2022-12-21 — delisted
ETF NASDAQ · AUM $178.0M

Dividend Overview

—%
Dividend Yield
$—
Annual Dividend
—%
Payout Ratio
—%
FCF Payout
0
Yr Increase Streak
—%
Buyback Yield
—%
Total Return
—%
Chowder Number

Annual Dividend History

Quarterly Payment History

Full Payment History (26 payments)
Ex-DateAmountAdj. AmountYieldFrequency
2022-12-01 $0.0720 $0.0720 98.56% Monthly
2022-11-01 $0.0480 $0.0480 70.58% Monthly
2022-10-03 $0.0360 $0.0360 51.69% Monthly
2022-09-01 $0.0300 $0.0300 37.49% Monthly
2022-08-01 $0.0260 $0.0260 25.66% Monthly
2022-07-01 $0.0150 $0.0150 15.40% Monthly
2022-06-01 $0.0100 $0.0100 9.46% Monthly
2022-05-02 $0.0040 $0.0040 5.52% Monthly
2022-04-01 $0.0020 $0.0020 3.95% Monthly
2022-03-01 $0.0010 $0.0010 3.55% Monthly
2022-02-01 $0.0020 $0.0020 3.55% Monthly
2021-12-16 $0.0040 $0.0040 7.87% Monthly
2021-12-01 $0.0010 $0.0010 12.20% Monthly
2021-04-01 $0.0010 $0.0010 96.38% Monthly
2021-03-01 $0.0010 $0.0010 103.50% Monthly
2021-02-01 $0.0130 $0.0130 103.07% Monthly
2020-12-17 $0.0150 $0.0150 97.88% Monthly
2020-12-01 $0.1050 $0.1050 92.04% Monthly
2020-11-02 $0.0150 $0.0150 50.53% Monthly
2020-10-01 $0.0150 $0.0150 44.58% Monthly
2020-09-01 $0.0150 $0.0150 38.73% Monthly
2020-08-03 $0.0160 $0.0160 32.83% Monthly
2020-07-01 $0.0160 $0.0160 26.57% Monthly
2020-06-01 $0.0160 $0.0160 20.32% Monthly
2020-05-01 $0.0170 $0.0170 14.06% Monthly
2020-04-01 $0.0190 $0.0190 7.42% Monthly

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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms