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Intl High Yield Corp Bond Ishares ETF (HYXU)

Intl High Yield Corp Bond Ishares ETF (HYXU)
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Overview

Name iShares International High Yield Corporate Bond ETF
Fund Family BlackRock iShares
Underlying Index Markit iBoxx Global Developed Markets ex-US High Yield Index
Inception Date 03/12/04
First Trade Date 04/03/12
Leverage Long
Asset Class Fixed Income

Description:

The iShares International High Yield Corporate Bond ETF seeks to track the investment results of an index composed of euro, British pound sterling and Canadian dollar-denominated, high yield corporate bonds.

Investment Information

Alpha -1.56
60-Month Beta 0.57
Standard Deviation -0.96
Shares Outstanding, K 1,000.00
Managed Assets, $K 47,538.40 K
Net Asset Value 47.54
First Trade Price 50.49
P/E Ratio 0.00
Management Fee 0.40%
Options Yes
Latest Dividend 1.678
Last Dividend Date 12/14/23
Annual Dividend 1.68
Annual Dividend Yield 3.53%
1-Year Return 1.88%
3-Year Return -16.65%
5-Year Return -5.06%
Management Expense Ratio 0.40%

HYXU Dividends

Date Value
12/14/23 $1.6780
12/15/22 $0.2700
12/16/21 $1.6180
12/17/20 $0.8180
12/19/19 $0.6190
06/03/19 $0.1160
12/18/18 $1.9390
08/01/17 $0.0540
07/03/17 $0.0560
06/01/17 $0.0560
05/01/17 $0.0520
04/03/17 $0.0520
03/01/17 $0.0530
02/01/17 $0.0540
12/01/16 $0.0600
11/01/16 $0.0490
04/01/16 $0.1020
02/01/16 $0.1020
12/01/15 $0.1020
11/02/15 $0.1020
10/01/15 $0.1120
09/01/15 $0.1210
08/03/15 $0.1310
07/01/15 $0.1310
06/01/15 $0.1310
05/01/15 $0.1410
04/01/15 $0.1500
03/02/15 $0.1600
02/02/15 $0.1600
12/24/14 $0.1250
12/01/14 $0.1860
11/03/14 $0.1820
10/01/14 $0.1940
09/02/14 $0.2100
08/01/14 $0.1600
07/01/14 $0.1600
06/02/14 $0.1700
05/01/14 $0.2300
04/01/14 $0.2300
03/03/14 $0.2310
02/03/14 $0.2330
12/26/13 $0.3000
12/02/13 $0.3500
11/01/13 $0.3500
10/01/13 $0.2060
09/03/13 $0.2060
08/01/13 $0.2060
07/01/13 $0.2060
06/03/13 $0.1560
05/01/13 $0.1560
04/01/13 $0.2360
03/01/13 $0.2390
02/01/13 $0.2990
12/26/12 $0.3350
12/03/12 $0.2920
11/01/12 $0.2920
10/01/12 $0.2930
09/04/12 $0.1750
08/01/12 $0.1750
07/02/12 $0.1040
06/01/12 $0.5040
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