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Growth Allocation Ishares Core ETF (AOR)

Growth Allocation Ishares Core ETF (AOR)
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Overview

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

Description:

The iShares Core Growth 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 a growth allocation target risk strategy.

Investment Information

Alpha -0.51
60-Month Beta 0.61
Standard Deviation -1.50
Shares Outstanding, K 36,200.00
Managed Assets, $K 1,954,456.00 K
Net Asset Value 53.99
First Trade Price 23.98
P/E Ratio 0.06
Management Fee 0.15%
Options No
Latest Dividend 0.221
Last Dividend Date 04/02/24
Annual Dividend 1.35
Annual Dividend Yield 2.51%
1-Year Return 7.84%
3-Year Return -1.66%
5-Year Return 18.69%
Management Expense Ratio 0.15%

AOR Dividends

Date Value
04/02/24 $0.2210
12/22/23 $0.5240
10/03/23 $0.2220
07/05/23 $0.3860
04/04/23 $0.1990
12/23/22 $0.3180
10/04/22 $0.1800
07/05/22 $0.3530
04/04/22 $0.1500
12/23/21 $0.4070
10/04/21 $0.1380
07/02/21 $0.2750
04/05/21 $0.1140
12/24/20 $0.3340
10/02/20 $0.1620
07/02/20 $0.3040
04/02/20 $0.1860
12/24/19 $0.4030
10/02/19 $0.1980
07/02/19 $0.4230
04/02/19 $0.2010
12/28/18 $0.3110
10/02/18 $0.1860
07/03/18 $0.3710
04/03/18 $0.1600
12/28/17 $0.2060
10/03/17 $0.1610
07/06/17 $0.3200
04/04/17 $0.1530
12/28/16 $0.2740
10/04/16 $0.1400
07/06/16 $0.3120
04/04/16 $0.1510
12/29/15 $0.0100
10/02/15 $0.1300
07/02/15 $0.3303
04/02/15 $0.1437
12/29/14 $0.2310
10/02/14 $0.1557
07/02/14 $0.3177
04/02/14 $0.1408
12/27/13 $0.2055
10/02/13 $0.1397
07/02/13 $0.2600
04/02/13 $0.1349
12/26/12 $0.2515
09/26/12 $0.1346
06/26/12 $0.2352
03/27/12 $0.0855
12/27/11 $0.2234
09/27/11 $0.1595
06/27/11 $0.2601
03/28/11 $0.1101
12/27/10 $0.1990
09/27/10 $0.1080
06/25/10 $0.1973
03/26/10 $0.0770
12/28/09 $0.1910
09/24/09 $0.1250
06/25/09 $0.2210
03/26/09 $0.0620
12/26/08 $0.1691
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