iShares Asia Property Yield UCITS(IASP) EUR 20.54
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.88%EUR 0.181EUR0.181022023-02-16
20223.89%EUR 0.8EUR0.205922022-11-17
EUR0.190422022-08-11
EUR0.222232022-05-12
EUR0.181082022-02-11
20213.36%EUR 0.69EUR0.173832021-11-11
EUR0.16772021-08-12
EUR0.182212021-05-13
EUR0.166172021-02-11
20203.67%EUR 0.753EUR0.135472020-11-12
EUR0.191852020-08-13
EUR0.191982020-05-14
EUR0.234132020-02-13
20193.81%EUR 0.783EUR0.173432019-11-14
EUR0.223512019-08-16
EUR0.1732019-05-16
EUR0.21332019-02-14
20183.76%EUR 0.771EUR0.176252018-11-15
EUR0.195062018-08-16
EUR0.212522018-05-17
EUR0.187592018-02-15
20173.62%EUR 0.743EUR0.162752017-11-16
EUR0.189032017-08-10
EUR0.211812017-05-11
EUR0.179662017-02-09
20163.29%EUR 0.676EUR0.169682016-11-10
EUR0.172122016-08-11
EUR0.183532016-05-12
EUR0.150222016-02-11
20153.62%EUR 0.744EUR0.207632015-11-12
EUR0.17422015-07-30
EUR0.182232015-04-30
EUR0.179482015-01-29
20143.23%EUR 0.663EUR0.117742014-10-30
EUR0.218292014-07-23
EUR0.069822014-05-21
EUR0.150942014-04-16
EUR0.106492014-01-29
20132.82%EUR 0.58EUR0.167532013-10-23
EUR0.098212013-07-24
EUR0.14722013-04-24
EUR0.167012013-01-23
20123.57%EUR 0.734EUR0.148972012-10-24
EUR0.23362012-07-25
EUR0.212612012-04-25
EUR0.139052012-01-25
20112.84%EUR 0.583EUR0.157312011-10-26
EUR0.132172011-07-27
EUR0.15082011-04-27
EUR0.142642011-01-26
20102.97%EUR 0.611EUR0.133462010-10-27
EUR0.127082010-07-28
EUR0.186992010-04-28
EUR0.163382010-01-27
20092.72%EUR 0.559EUR0.118742009-10-28
EUR0.112582009-07-29
EUR0.138862009-04-28
EUR0.188972009-01-28
20083.34%EUR 0.686EUR0.157112008-10-29
EUR0.143082008-07-30
EUR0.198092008-04-30
EUR0.187352008-01-30
20072.15%EUR 0.441EUR0.138242007-10-31
EUR0.161912007-07-25
EUR0.140772007-04-25