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Aggressive Allocation Ishares Core ETF (AOA)

Aggressive Allocation Ishares Core ETF (AOA)
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Overview

Name iShares Core Aggressive Allocation ETF
Fund Family BlackRock iShares
Underlying Index S&P Target Risk Aggressive Index
Inception Date 11/07/08
First Trade Date 11/11/08
Leverage Long
Asset Class Portfolio-Multi Asset

Description:

The iShares Core Aggressive Allocation ETF seeks to track the investment results of an index composed of a portfolio of underlying equity and fixed income funds intended to represent an aggressive target risk allocation strategy.

Investment Information

Alpha -1.39
60-Month Beta 0.78
Standard Deviation +1.04
Shares Outstanding, K 25,550.00
Managed Assets, $K 1,811,814.40 K
Net Asset Value 70.91
First Trade Price 25.20
P/E Ratio 0.06
Management Fee 0.15%
Options No
Latest Dividend 0.205
Last Dividend Date 04/02/24
Annual Dividend 1.56
Annual Dividend Yield 2.19%
1-Year Return 13.18%
3-Year Return 2.64%
5-Year Return 29.17%
Management Expense Ratio 0.15%

AOA Dividends

Date Value
04/02/24 $0.2050
12/22/23 $0.6270
10/03/23 $0.2250
07/05/23 $0.4990
04/04/23 $0.1840
12/23/22 $0.3790
10/04/22 $0.1960
07/05/22 $0.5140
04/04/22 $0.1680
12/23/21 $0.5660
10/04/21 $0.1530
07/02/21 $0.3830
04/05/21 $0.1140
12/24/20 $0.4210
10/02/20 $0.1590
07/02/20 $0.3570
04/02/20 $0.1620
12/24/19 $0.5420
10/02/19 $0.1810
07/02/19 $0.5480
04/02/19 $0.1790
12/28/18 $0.3500
10/02/18 $0.1680
07/03/18 $0.4830
04/03/18 $0.1490
12/28/17 $0.2600
10/03/17 $0.1570
07/06/17 $0.3970
04/04/17 $0.1270
12/28/16 $0.3630
10/04/16 $0.1390
07/06/16 $0.4030
04/04/16 $0.1630
12/28/15 $0.2870
10/02/15 $0.1320
07/02/15 $0.4190
04/02/15 $0.1250
12/29/14 $0.3060
10/02/14 $0.1469
07/02/14 $0.4179
04/02/14 $0.1371
12/27/13 $0.2291
10/02/13 $0.1376
07/02/13 $0.3270
04/02/13 $0.1284
12/26/12 $0.2769
09/26/12 $0.1434
06/26/12 $0.2863
03/27/12 $0.1026
12/27/11 $0.2352
09/27/11 $0.1393
06/27/11 $0.2500
03/28/11 $0.1050
12/27/10 $0.2030
09/27/10 $0.0860
06/25/10 $0.2052
03/26/10 $0.0662
12/28/09 $0.1930
09/24/09 $0.1010
06/25/09 $0.2080
03/26/09 $0.1100
12/26/08 $0.1724
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