Frequency - Quaterly

Dividend Date Revenew Currency Payment Date
25/12/11 0.3798 USD 25/12/18
25/09/11 0.3826 USD 25/09/18
25/06/12 0.3859 USD 25/06/19
25/03/13 0.3824 USD 25/03/20
24/12/12 0.3822 USD 24/12/19
24/09/12 0.3837 USD 24/09/19
24/06/13 0.3821 USD 24/06/20
24/03/14 0.3738 USD 24/03/21
23/12/14 0.3729 USD 23/12/21
23/09/14 0.3649 USD 23/09/21
23/06/15 0.3461 USD 23/06/22
22/12/15 0.265 USD 22/12/22
22/09/15 0.195 USD 22/09/22
22/06/16 0.1451 USD 22/06/23
22/03/17 0.1189 USD 22/03/24
21/09/16 0.1129 USD 21/09/20
21/06/17 0.1351 USD 21/06/21
21/03/18 0.1358 USD 21/03/22
20/12/10 0.153 USD 20/12/17
20/09/17 0.1672 USD 20/09/24
20/06/18 0.1856 USD 20/06/25
20/03/12 0.1986 USD 20/03/19
19/12/12 0.2137 USD 19/12/19
19/09/19 0.2214 USD 19/09/26
19/06/20 0.2532 USD 19/06/27
19/03/14 0.1309 USD 19/03/21
 

Dividends paid by Standard ETF Invesco Us Treasury Bond Ucits Etf


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.