Frequency - Semiannual

Dividend Date Revenew Currency Payment Date
24/03/14 1.4225 EUR 24/03/27
23/09/14 EUR 23/09/27
23/03/16 EUR 23/03/29
16/03/10 0.0628 EUR 16/03/29
15/08/27 0.1498 EUR 15/09/17
15/02/26 0.2608 EUR 15/03/19
14/08/20 0.6036 EUR 14/09/10
14/02/26 0.8997 EUR 14/03/19
13/08/28 1.2488 EUR 13/09/18
13/02/20 1.5736 EUR 13/03/13
12/08/22 1.4475 EUR 12/09/12
12/02/22 1.4713 EUR 12/03/21
11/08/24 1.1617 EUR 11/09/21
11/02/23 0.8177 EUR 11/03/23
10/08/25 0.4217 EUR 10/09/22
10/05/26 0.4709 EUR 10/06/23
10/02/24 1.1216 EUR 10/03/24
09/08/26 1.5359 EUR 09/09/23
09/02/25 1.9869 EUR 09/03/25
08/08/27 2.6292 EUR 08/09/24
08/02/27 2.2417 EUR 08/03/26
07/08/29 2.0694 EUR 07/09/26
07/02/28 2.1517 EUR 07/03/28
 

Dividends paid by Standard ETF Ishares Govt Bond 1-3yr Ucits Etf Dist


The Exchange accepts no responsability for the content of the website you are now accessing or for any reliance placed by you or any person on the information contained on it.

By allowing this link the Exchange does not intend in any country, directly or indirectly, to solicit business or offer any securities to any person.


You will be redirected in five seconds.