Frequency - Semiannual

Dividend Date Revenew Currency Payment Date
25/01/16 0.1902 USD 25/01/24
24/01/11 0.0925 USD 24/01/19
23/01/12 0.0457 USD 23/01/20
22/07/14 0.0498 USD 22/07/22
22/01/13 0.0479 USD 22/01/21
21/07/15 0.0331 USD 21/07/23
21/01/14 0.0533 USD 21/01/22
20/07/09 0.0601 USD 20/07/17
20/01/16 0.0918 USD 20/01/24
19/07/11 0.0915 USD 19/07/16
19/01/10 0.066 USD 19/01/18
18/07/12 0.0723 USD 18/07/23
18/01/11 0.0512 USD 18/01/25
17/08/01 0.0952 USD 17/08/15
17/01/12 0.0761 USD 17/01/26
16/07/14 0.0981 USD 16/07/28
16/01/14 0.1041 USD 16/01/28
15/07/31 0.142 USD 15/08/14
 

Dividends paid by Standard ETF Spdr Ftse Global Convertible Bond Ucits Etf