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Intl Select Dividend Ishares ETF (IDV)

Intl Select Dividend Ishares ETF (IDV)
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Overview

Name iShares International Select Dividend ETF
Fund Family BlackRock iShares
Underlying Index Dow Jones EPAC Select Dividend Index
Inception Date 06/11/07
First Trade Date 06/15/07
Leverage Long
Asset Class Equity

Description:

The iShares International Select Dividend ETF seeks to track the investment results of an index composed of relatively high dividend paying equities in non-U.S. developed markets. The Fund seeks investment results that correspond to the price and yield of the Dow Jones EPAC Select Dividend Index.

Investment Information

Alpha -2.03
60-Month Beta 0.88
Standard Deviation -1.73
Shares Outstanding, K 147,600.00
Managed Assets, $K 4,033,702.00 K
Net Asset Value 27.33
First Trade Price 50.00
P/E Ratio 5.41
Management Fee 0.49%
Options Yes
Latest Dividend 0.236
Last Dividend Date 03/21/24
Annual Dividend 1.84
Annual Dividend Yield 6.75%
1-Year Return -5.14%
3-Year Return -15.89%
5-Year Return -13.44%
Management Expense Ratio 0.49%

IDV Dividends

Date Value
03/21/24 $0.2360
12/20/23 $0.3730
09/26/23 $0.5080
06/07/23 $0.7270
03/23/23 $0.2140
12/13/22 $0.3680
09/26/22 $0.6100
06/09/22 $0.6490
03/24/22 $0.3650
12/13/21 $0.3020
09/24/21 $0.6120
06/10/21 $0.4280
03/25/21 $0.4610
12/14/20 $0.2140
09/23/20 $0.3020
06/15/20 $0.2970
03/25/20 $0.7990
12/16/19 $0.3830
09/24/19 $0.2790
06/17/19 $0.7230
03/20/19 $0.3440
12/18/18 $0.4680
09/26/18 $0.3240
06/19/18 $0.6110
03/22/18 $0.3000
12/21/17 $0.3780
09/26/17 $0.2610
06/20/17 $0.5680
03/24/17 $0.3220
12/22/16 $0.1660
09/26/16 $0.3390
06/21/16 $0.5430
03/23/16 $0.3390
12/21/15 $0.4040
09/25/15 $0.3010
06/24/15 $0.5302
03/25/15 $0.2232
12/19/14 $0.4555
09/24/14 $0.2981
06/24/14 $0.8722
03/25/14 $0.4064
12/17/13 $0.1842
09/30/13 $0.4018
06/25/13 $0.8411
03/22/13 $0.2718
12/14/12 $0.2022
09/24/12 $0.4519
06/20/12 $0.7216
03/23/12 $0.2526
12/19/11 $0.2499
09/22/11 $0.3959
06/21/11 $0.7325
03/24/11 $0.2454
12/20/10 $0.2080
09/22/10 $0.3641
06/21/10 $0.5131
03/24/10 $0.2315
12/21/09 $0.3220
09/21/09 $0.2430
06/22/09 $0.4160
03/24/09 $0.0800
12/22/08 $0.4430
09/22/08 $0.5047
06/25/08 $0.9824
03/26/08 $0.8880
12/24/07 $0.3820
09/25/07 $0.6630
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