已收盤 02-06 16:00:00 美东时间
0.000
0.00%
公司名稱
|
iShares iBonds Dec 2029 Term Corporate ETF
|
行業分類
|
Investment Trusts/Mutual Funds
|
業務描述
|
Exists as exchange Traded Fund
|
派息除權日
|
每股總股息
| 派息日期 |
2026-02-02
|
0.09
|
2026-02-05
|
2025-12-19
|
0.09
|
2025-12-24
|
2025-12-01
|
0.09
|
2025-12-04
|
2025-11-03
|
0.09
|
2025-11-06
|
2025-10-01
|
0.09
|
2025-10-06
|
2025-09-02
|
0.09
|
2025-09-05
|
2025-08-01
|
0.09
|
2025-08-06
|
2025-07-01
|
0.09
|
2025-07-07
|
2025-06-02
|
0.09
|
2025-06-05
|
2025-05-01
|
0.09
|
2025-05-06
|
2025-04-01
|
0.09
|
2025-04-04
|
2025-03-03
|
0.09
|
2025-03-06
|
2025-02-03
|
0.09
|
2025-02-06
|
2024-12-18
|
0.09
|
2024-12-23
|
2024-12-02
|
0.09
|
2024-12-05
|
2024-11-01
|
0.09
|
2024-11-06
|
2024-10-01
|
0.09
|
2024-10-04
|
2024-09-03
|
0.09
|
2024-09-06
|
2024-08-01
|
0.09
|
2024-08-06
|
2024-07-01
|
0.09
|
2024-07-05
|
2024-06-03
|
0.09
|
2024-06-07
|
2024-05-01
|
0.09
|
2024-05-07
|
2024-04-01
|
0.09
|
2024-04-05
|
2024-03-01
|
0.09
|
2024-03-07
|
2024-02-01
|
0.09
|
2024-02-07
|
2023-12-14
|
0.08
|
2023-12-20
|
2023-12-01
|
0.09
|
2023-12-07
|
2023-11-01
|
0.09
|
2023-11-07
|
2023-10-02
|
0.08
|
2023-10-06
|
2023-09-01
|
0.08
|
2023-09-08
|
2023-08-01
|
0.08
|
2023-08-07
|
2023-07-03
|
0.08
|
2023-07-10
|
2023-06-01
|
0.08
|
2023-06-07
|
2023-05-01
|
0.08
|
2023-05-05
|
2023-04-03
|
0.07
|
2023-04-07
|
2023-03-01
|
0.08
|
2023-03-07
|
2023-02-01
|
0.07
|
2023-02-07
|
2022-12-15
|
0.07
|
2022-12-21
|
2022-12-01
|
0.07
|
2022-12-07
|
2022-11-01
|
0.09
|
2022-11-07
|
2022-10-03
|
0.07
|
2022-10-07
|
2022-09-01
|
0.07
|
2022-09-08
|
2022-08-01
|
0.06
|
2022-08-05
|
2022-07-01
|
0.06
|
2022-07-08
|
2022-06-01
|
0.05
|
2022-06-07
|
2022-05-02
|
0.05
|
2022-05-06
|
2022-04-01
|
0.05
|
2022-04-07
|
2022-03-01
|
0.05
|
2022-03-07
|
2022-02-01
|
0.05
|
2022-02-07
|
2021-12-16
|
0.05
|
2021-12-22
|
2021-12-01
|
0.05
|
2021-12-07
|
2021-11-01
|
0.05
|
2021-11-05
|
2021-10-01
|
0.05
|
2021-10-07
|
2021-09-01
|
0.05
|
2021-09-08
|
2021-08-02
|
0.05
|
2021-08-06
|
2021-07-01
|
0.05
|
2021-07-08
|
2021-06-01
|
0.05
|
2021-06-07
|
2021-05-03
|
0.05
|
2021-05-07
|
2021-04-01
|
0.05
|
2021-04-08
|
2021-03-01
|
0.05
|
2021-03-05
|
2021-02-01
|
0.05
|
2021-02-05
|
2020-12-17
|
0.05
|
2020-12-23
|
2020-12-01
|
0.05
|
2020-12-07
|
2020-11-02
|
0.05
|
2020-11-06
|
2020-10-01
|
0.05
|
2020-10-07
|
2020-09-01
|
0.05
|
2020-09-08
|
2020-08-03
|
0.05
|
2020-08-07
|
2020-07-01
|
0.06
|
2020-07-08
|
2020-06-01
|
0.06
|
2020-06-05
|
2020-05-01
|
0.06
|
2020-05-07
|
2020-04-01
|
0.06
|
2020-04-07
|
2020-03-02
|
0.06
|
2020-03-06
|
2020-02-03
|
0.06
|
2020-02-07
|
2019-12-19
|
0.03
|
2019-12-26
|
2019-12-02
|
0.07
|
2019-12-06
|
2019-11-01
|
0.09
|
2019-11-07
|
