Frequency - Semiannual

Dividend Date Revenew Currency Payment Date
25/03/13 1.8317 USD 25/03/26
24/09/12 1.7857 USD 24/09/25
24/03/14 1.6767 USD 24/03/27
23/09/14 1.5689 USD 23/09/27
23/03/16 1.3058 USD 23/03/29
23/03/16 1.3058 USD 23/03/29
22/09/15 1.1314 USD 22/09/28
22/03/17 1.0742 USD 22/03/30
21/09/16 1.0854 USD 21/09/29
21/03/11 1.1173 USD 21/03/24
20/09/17 1.2034 USD 20/09/30
20/03/12 1.286 USD 20/03/25
19/09/12 1.3714 USD 19/09/25
19/03/14 1.3519 USD 19/03/27
18/09/13 1.3052 USD 18/09/26
18/03/15 1.2347 USD 18/03/28
17/09/14 1.2723 USD 17/09/29
17/03/16 1.2141 USD 17/03/31
16/09/15 1.29 USD 16/09/30
16/03/10 1.2888 USD 16/03/29
15/08/27 1.1911 USD 15/09/17
15/02/26 1.3093 USD 15/03/19
14/08/20 1.3064 USD 14/09/10
14/02/26 1.3734 USD 14/03/19
13/08/28 1.2424 USD 13/09/18
 

Dividends paid by Standard ETF Ishares Global Corp Bond Ucits Etf Dist