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Yield Optimized Bond Ishares ETF (BYLD)

Yield Optimized Bond Ishares ETF (BYLD)
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Overview

Name iShares Yield Optimized Bond ETF
Fund Family BlackRock iShares
Underlying Index Morningstar U.S. Bond Market Yield-Optimized Index
Inception Date 04/24/14
First Trade Date 04/24/14
Leverage Long
Asset Class Portfolio-Multi Asset

Description:

The iShares Yield Optimized Bond ETF fund seeks to track the investment results of an index composed of underlying fixed income funds that collectively seek to deliver current income.

Investment Information

Alpha 0.04
60-Month Beta 0.21
Standard Deviation -0.85
Shares Outstanding, K 7,750.00
Managed Assets, $K 169,420.40 K
Net Asset Value 21.86
First Trade Price 25.07
P/E Ratio 0.00
Management Fee 0.20%
Options No
Latest Dividend 0.092
Last Dividend Date 04/02/24
Annual Dividend 1.03
Annual Dividend Yield 4.73%
1-Year Return -0.55%
3-Year Return -12.83%
5-Year Return -11.46%
Management Expense Ratio 0.20%

BYLD Dividends

Date Value
04/02/24 $0.0920
03/04/24 $0.0890
02/02/24 $0.0860
12/22/23 $0.0860
12/04/23 $0.0940
11/02/23 $0.0830
10/03/23 $0.0900
09/05/23 $0.0900
08/02/23 $0.0840
07/05/23 $0.0830
06/02/23 $0.0820
05/02/23 $0.0750
04/04/23 $0.0800
03/02/23 $0.0810
02/02/23 $0.0690
12/23/22 $0.0720
12/02/22 $0.0700
11/02/22 $0.0640
10/04/22 $0.0660
09/02/22 $0.0610
08/02/22 $0.0580
07/05/22 $0.0600
06/02/22 $0.0560
05/03/22 $0.0570
04/04/22 $0.0580
03/02/22 $0.0540
02/02/22 $0.0590
12/23/21 $0.0350
12/02/21 $0.0360
11/02/21 $0.0390
10/04/21 $0.0410
09/02/21 $0.0450
08/03/21 $0.0450
07/02/21 $0.0460
06/02/21 $0.0480
05/04/21 $0.0510
04/05/21 $0.0530
03/02/21 $0.0510
02/02/21 $0.0550
12/24/20 $0.0980
12/02/20 $0.1280
11/03/20 $0.0610
10/02/20 $0.0580
09/02/20 $0.0540
08/04/20 $0.0560
07/02/20 $0.0590
06/02/20 $0.0610
05/04/20 $0.0750
04/02/20 $0.0790
03/03/20 $0.0750
02/04/20 $0.0770
12/24/19 $0.0610
12/03/19 $0.0760
11/04/19 $0.0770
10/02/19 $0.0760
09/04/19 $0.0800
08/02/19 $0.0800
07/02/19 $0.0830
06/04/19 $0.0800
05/02/19 $0.0800
04/02/19 $0.0760
03/04/19 $0.0840
02/04/19 $0.0910
12/28/18 $0.1180
12/04/18 $0.0890
11/02/18 $0.0930
10/02/18 $0.0840
09/05/18 $0.0820
08/02/18 $0.0790
07/03/18 $0.0780
06/04/18 $0.0820
05/02/18 $0.0750
04/03/18 $0.0760
03/02/18 $0.0730
02/02/18 $0.0680
12/28/17 $0.0500
12/04/17 $0.0730
11/02/17 $0.0690
10/03/17 $0.0690
09/06/17 $0.0690
08/02/17 $0.0690
07/06/17 $0.0740
06/02/17 $0.0730
05/02/17 $0.0640
04/04/17 $0.0710
03/02/17 $0.0670
02/02/17 $0.0570
12/28/16 $0.0880
12/02/16 $0.0720
11/02/16 $0.0620
10/04/16 $0.0620
09/02/16 $0.0600
07/06/16 $0.0640
06/02/16 $0.0620
05/03/16 $0.0620
02/02/16 $0.0530
12/28/15 $0.1300
12/02/15 $0.0620
11/03/15 $0.0670
10/02/15 $0.0680
09/02/15 $0.0637
08/04/15 $0.0681
07/02/15 $0.0666
06/02/15 $0.0624
05/04/15 $0.0599
04/02/15 $0.0587
03/03/15 $0.0534
02/03/15 $0.0476
12/26/14 $0.0722
12/02/14 $0.0957
11/04/14 $0.0504
10/02/14 $0.0556
09/03/14 $0.0566
08/04/14 $0.0586
07/02/14 $0.0528
06/03/14 $0.0912
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