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North American Tech Ishares ETF (IGM)

North American Tech Ishares ETF (IGM)
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Overview

Name iShares North American Tech ETF
Fund Family BlackRock iShares
Underlying Index S&P North American Technology Sector Index
Inception Date 03/13/01
First Trade Date 03/19/01
Leverage Long
Asset Class Equity

Description:

The iShares North American Tech ETF seeks to track the investment results of an index composed of North American equities in the technology sector. The ETFs objective is to achieve investment results that correspond to the performance of the SP North American Technology Sector Index.

Investment Information

Alpha 12.16
60-Month Beta 1.18
Standard Deviation +1.70
Shares Outstanding, K 50,300.00
Managed Assets, $K 4,109,982.80 K
Net Asset Value 81.71
First Trade Price 53.35
P/E Ratio 27.54
Management Fee 0.40%
Options Yes
Latest Dividend 0.038
Last Dividend Date 03/21/24
Annual Dividend 0.77
Annual Dividend Yield 0.94%
Latest Split 6-1
Split Date 03/07/24
1-Year Return 53.09%
3-Year Return 27.90%
5-Year Return 122.83%
Management Expense Ratio 0.40%

IGM Dividends

Date Value
03/21/24 $0.0380
12/20/23 $0.1390
09/26/23 $0.3920
06/07/23 $0.1970
03/23/23 $0.3420
12/13/22 $1.0570
09/26/22 $0.3890
06/09/22 $0.2120
03/24/22 $0.1850
12/13/21 $0.1730
09/24/21 $0.1810
06/10/21 $0.1430
03/25/21 $0.2140
12/14/20 $0.1730
09/23/20 $0.2550
06/15/20 $0.2870
03/25/20 $0.4080
12/16/19 $0.3200
09/24/19 $0.2660
06/17/19 $0.3400
03/20/19 $0.2790
12/17/18 $0.2500
09/26/18 $0.2170
06/26/18 $0.2950
03/22/18 $0.2250
12/19/17 $0.2270
09/26/17 $0.2460
06/27/17 $0.2720
03/24/17 $0.2170
12/21/16 $0.2810
09/26/16 $0.2110
06/21/16 $0.3100
03/23/16 $0.3130
12/24/15 $0.2610
09/25/15 $0.1890
06/24/15 $0.2324
03/25/15 $0.1890
12/24/14 $0.3004
09/24/14 $0.1773
06/24/14 $0.2228
03/25/14 $0.1923
12/23/13 $0.2042
09/24/13 $0.1833
06/26/13 $0.1788
03/25/13 $0.1296
12/19/12 $0.2696
09/25/12 $0.1414
06/19/12 $0.1263
03/26/12 $0.0944
12/22/11 $0.1136
09/26/11 $0.0917
06/23/11 $0.0947
03/25/11 $0.0595
12/20/10 $0.1420
06/21/10 $0.1055
12/21/09 $0.1014
06/22/09 $0.0940
12/22/08 $0.1340
06/23/08 $0.0611
12/27/07 $0.0320
09/26/07 $0.0320
06/29/07 $0.0190
03/26/07 $0.0280
12/21/06 $0.0010
09/27/06 $0.0230
06/23/06 $0.0152
03/27/06 $0.0045
12/23/05 $0.0010
09/26/05 $0.0175
06/21/05 $0.0040
03/28/05 $0.0440
12/27/04 $0.3182
09/27/04 $0.0087
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