Frequency - Semiannual

Dividend Date Revenew Currency Payment Date
23/12/14 1.7614 EUR 23/12/29
23/06/15 1.3615 EUR 23/06/28
22/12/15 0.8903 EUR 22/12/30
22/06/16 0.5718 EUR 22/06/29
21/12/16 0.5817 EUR 21/12/31
21/06/17 0.6685 EUR 21/06/30
20/12/10 0.8346 EUR 20/12/23
20/06/11 0.9001 EUR 20/06/24
19/12/12 1.134 EUR 19/12/27
19/06/13 1.2724 EUR 19/06/26
18/12/13 1.0539 EUR 18/12/28
18/06/14 1.0346 EUR 18/06/27
17/12/14 1.0153 EUR 17/12/29
17/06/15 1.1261 EUR 17/06/30
16/12/15 1.1564 EUR 16/12/30
16/06/16 1.1645 EUR 16/06/29
15/12/10 1.3297 EUR 15/12/30
15/05/28 1.5872 EUR 15/06/18
14/11/27 2.0326 EUR 14/12/18
14/05/21 2.1113 EUR 14/06/11
13/11/27 2.2627 EUR 13/12/18
13/05/29 2.4819 EUR 13/06/19
 

Dividends paid by Standard ETF Ishares Italy Govt Bond Ucits Etf Dist


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