Frequency - Quaterly

Dividend Date Revenew Currency Payment Date
24/03/14 0.0783 USD 24/03/27
23/12/14 0.4234 USD 23/12/29
23/09/14 0.257 USD 23/09/27
23/06/15 0.4905 USD 23/06/28
23/03/16 0.109 USD 23/03/29
23/03/16 0.109 USD 23/03/29
22/12/15 0.614 USD 22/12/30
22/09/15 0.1497 USD 22/09/28
22/06/16 0.6268 USD 22/06/29
22/03/17 0.0627 USD 22/03/30
21/12/16 0.4852 USD 21/12/31
21/09/16 0.2082 USD 21/09/29
21/06/17 0.5577 USD 21/06/30
21/03/11 0.0306 USD 21/03/24
20/12/10 0.2581 USD 20/12/23
20/09/17 0.1566 USD 20/09/30
20/06/11 0.253 USD 20/06/24
20/03/12 0.1481 USD 20/03/25
19/12/12 0.391 USD 19/12/27
19/09/12 0.2809 USD 19/09/25
19/06/13 0.5822 USD 19/06/26
19/03/14 0.2223 USD 19/03/27
18/12/13 0.4358 USD 18/12/28
18/09/13 0.3875 USD 18/09/26
18/06/14 0.5078 USD 18/06/27
18/03/15 0.1691 USD 18/03/28
17/12/14 0.4189 USD 17/12/29
17/09/14 0.3519 USD 17/09/29
17/06/15 0.4852 USD 17/06/30
17/03/16 0.1512 USD 17/03/31
16/12/15 0.4545 USD 16/12/30
16/09/15 0.2465 USD 16/09/30
16/06/16 0.4469 USD 16/06/29
16/03/10 0.1108 USD 16/03/29
15/12/10 0.6356 USD 15/12/30
15/08/27 0.2384 USD 15/09/17
15/05/28 0.2902 USD 15/06/18
15/02/26 0.1565 USD 15/03/19
14/11/27 0.5781 USD 14/12/18
14/08/20 0.4374 USD 14/09/10
14/05/21 0.6198 USD 14/06/11
14/02/26 0.0787 USD 14/03/19
13/11/27 0.5075 USD 13/12/18
13/08/28 0.3385 USD 13/09/18
13/05/29 0.4204 USD 13/06/19
13/02/20 0.3198 USD 13/03/13
12/11/21 0.3995 USD 12/12/12
12/08/22 0.5027 USD 12/09/12
12/05/23 0.4238 USD 12/06/13
12/02/22 0.2604 USD 12/03/21
11/11/23 0.4426 USD 11/12/21
11/08/24 0.5119 USD 11/09/21
11/05/25 0.3956 USD 11/06/22
11/02/23 0.2299 USD 11/03/23
10/11/24 0.4383 USD 10/12/22
10/08/25 0.37 USD 10/09/22
10/05/26 0.3425 USD 10/06/23
10/02/24 0.1301 USD 10/03/24
09/11/25 0.2945 USD 09/12/23
09/08/26 0.2552 USD 09/09/23
09/05/27 0.2484 USD 09/06/24
09/02/25 0.1636 USD 09/03/25
08/11/26 0.502 USD 08/12/24
08/08/27 0.3308 USD 08/09/24
08/05/28 0.6622 USD 08/06/25
08/02/27 0.2246 USD 08/03/26
07/11/28 0.5697 USD 07/12/24
07/08/29 0.3458 USD 07/09/26
07/05/30 0.6004 USD 07/06/27
07/02/28 0.2318 USD 07/03/28
06/11/29 0.4905 USD 06/12/28
 

Dividends paid by Standard ETF Ishares Asia Pacif Divid Ucits Etf Dist


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