Frequency - Monthly

Dividend Date Revenew Currency Payment Date
25/12/11 0.292 USD 26/01/08
25/11/13 0.5486 USD 25/12/05
25/10/09 0.4316 USD 25/11/07
25/09/11 0.3776 USD 25/10/07
25/08/14 0.4805 USD 25/09/08
25/07/10 0.3665 USD 25/08/07
25/06/12 0.4261 USD 25/07/08
25/05/08 0.4955 USD 25/06/06
25/04/10 0.393 USD 25/05/07
25/03/13 0.3793 USD 25/04/07
25/02/13 0.4863 USD 25/03/07
25/01/16 0.415 USD 25/02/07
24/12/12 0.4044 USD 25/01/08
24/11/14 0.6055 USD 24/12/06
24/10/10 0.3728 USD 24/11/07
24/09/12 0.3424 USD 24/10/08
24/08/08 0.3497 USD 24/09/09
24/07/11 0.2964 USD 24/08/07
24/06/13 0.4474 USD 24/07/08
24/05/09 0.3375 USD 24/06/07
24/04/11 0.3502 USD 24/05/07
24/03/14 0.4454 USD 24/04/08
24/02/08 0.3502 USD 24/03/07
24/01/11 0.3741 USD 24/02/07
23/12/14 0.4101 USD 24/01/08
23/11/09 0.2568 USD 23/12/07
23/10/12 0.3764 USD 23/11/07
23/09/14 0.4083 USD 23/10/06
23/08/10 0.3448 USD 23/09/08
23/07/13 0.4195 USD 23/08/07
23/06/08 0.3489 USD 23/07/10
23/05/11 0.3305 USD 23/06/07
23/04/13 0.4448 USD 23/05/05
22/12/08 0.3475 USD 23/01/09
22/11/10 0.322 USD 22/12/07
22/10/13 0.3984 USD 22/11/07
22/09/08 0.324 USD 22/10/07
22/08/11 0.3151 USD 22/09/08
22/07/14 0.4976 USD 22/08/05
22/06/09 0.3738 USD 22/07/08
22/05/12 0.4402 USD 22/06/07
22/04/21 0.3908 USD 22/05/06
22/03/10 0.3159 USD 22/04/07
22/02/10 0.3264 USD 22/03/07
22/01/13 0.3496 USD 22/02/07
21/12/09 0.3188 USD 22/01/10
21/11/11 0.3076 USD 21/12/07
21/10/14 0.3892 USD 21/11/05
21/09/09 0.3069 USD 21/10/07
21/08/12 0.4281 USD 21/09/08
21/07/08 0.3113 USD 21/08/06
21/06/10 0.3119 USD 21/07/08
21/05/13 0.4241 USD 21/06/07
21/04/08 0.3066 USD 21/05/07
21/03/11 0.3236 USD 21/04/07
21/02/11 0.3398 USD 21/03/05
21/01/14 0.3967 USD 21/02/05
20/12/10 0.3493 USD 21/01/08
20/11/12 0.4172 USD 20/12/07
20/10/08 0.3801 USD 20/11/06
20/09/10 0.3417 USD 20/10/07
20/08/13 0.4074 USD 20/09/08
20/07/09 0.3494 USD 20/08/07
20/06/11 0.35 USD 20/07/08
20/05/14 0.2463 USD 20/06/05
20/04/16 0.4437 USD 20/05/07
20/03/12 0.322 USD 20/04/07
20/02/13 0.4209 USD 20/03/06
20/01/09 0.3645 USD 20/02/07
19/12/12 0.3472 USD 20/01/08
19/11/14 0.4452 USD 19/12/06
19/10/10 0.226 USD 19/11/07
19/09/12 0.4551 USD 19/10/07
19/08/08 0.2744 USD 19/09/09
19/07/11 0.3709 USD 19/08/07
19/06/13 0.4909 USD 19/07/08
19/05/09 0.3898 USD 19/06/07
19/04/11 0.4228 USD 19/05/07
19/03/14 0.3752 USD 19/04/05
19/02/14 0.4879 USD 19/03/07
19/01/10 0.4165 USD 19/02/07
18/12/13 0.4871 USD 19/01/08
18/11/08 0.3414 USD 18/12/07
18/10/11 0.3698 USD 18/11/07
18/09/13 0.5134 USD 18/10/05
18/08/09 0.3853 USD 18/09/10
18/07/12 0.388 USD 18/08/07
18/06/14 0.4692 USD 18/07/09
18/05/10 0.3717 USD 18/06/07
18/04/12 0.5612 USD 18/05/07
 

Dividends paid by Standard ETF Jpmorgan Usd Em Mkt Sover Bond Ucits Etf


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