Frequency - Semiannual

Dividend Date Revenew Currency Payment Date
24/01/11 0.9955 EUR 24/01/24
23/07/13 0.7512 EUR 23/07/26
23/01/12 0.5131 EUR 23/01/25
22/07/14 0.3584 EUR 22/07/27
22/01/13 0.2847 EUR 22/01/26
21/07/15 0.2696 EUR 21/07/28
21/01/14 0.3209 EUR 21/01/27
20/07/16 0.3764 EUR 20/07/29
20/01/16 0.4346 EUR 20/01/29
19/07/11 0.5361 EUR 19/07/24
19/01/17 0.5911 EUR 19/01/30
18/07/12 0.6243 EUR 18/07/25
18/01/11 0.6366 EUR 18/01/31
17/07/13 0.663 EUR 17/07/31
17/01/12 0.7308 EUR 17/01/27
16/07/14 0.7591 EUR 16/07/29
16/01/14 0.8603 EUR 16/01/27
15/06/25 0.8892 EUR 15/07/16
14/12/18 1.0593 EUR 15/01/08
14/06/25 1.2498 EUR 14/07/16
13/12/18 1.2496 EUR 14/01/08
13/06/26 1.3217 EUR 13/07/17
12/12/27 1.5267 EUR 13/01/16
12/06/20 1.4583 EUR 12/07/11
11/12/28 1.5867 EUR 12/01/25
11/06/22 1.4037 EUR 11/07/20
10/12/29 1.5061 EUR 11/01/26
10/06/23 0.3535 EUR 10/07/21
10/05/12 1.1546 EUR 10/06/09
09/12/30 1.7421 EUR 10/01/27
 

Dividends paid by Standard ETF Ishares Eu Aggregate Bond Esg Ucits Etf


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