Frequency - Monthly

Dividend Date Revenew Currency Payment Date
25/12/18 0.067374 USD 25/12/31
25/11/20 0.086102 USD 25/12/03
25/10/16 0.07057 USD 25/10/29
25/09/18 0.067453 USD 25/10/01
25/08/21 0.085378 USD 25/09/03
25/07/17 0.085361 USD 25/07/30
25/06/19 0.068784 USD 25/07/02
25/05/22 0.08717 USD 25/06/04
25/04/17 0.07094 USD 25/05/02
25/03/20 0.091267 USD 25/04/02
25/02/13 0.067284 USD 25/02/26
25/01/16 0.086931 USD 25/01/29
24/12/12 0.066489 USD 24/12/27
24/11/14 0.087776 USD 24/11/27
24/10/10 0.066983 USD 24/10/23
24/09/12 0.066734 USD 24/09/25
24/08/16 0.086281 USD 24/08/28
24/07/11 0.066668 USD 24/07/24
24/06/13 0.066398 USD 24/06/26
24/05/16 0.084489 USD 24/05/29
24/04/11 0.065293 USD 24/04/24
24/03/14 0.0667 USD 24/03/27
24/02/15 0.066714 USD 24/02/28
24/01/18 0.080447 USD 24/01/31
23/12/14 0.065447 USD 23/12/27
23/11/16 0.079949 USD 23/11/29
23/10/12 0.061066 USD 23/10/25
23/09/14 0.05928 USD 23/09/27
23/08/17 0.075594 USD 23/08/30
23/07/13 0.056676 USD 23/07/26
23/06/15 0.057879 USD 23/06/28
23/05/18 0.0708 USD 23/05/31
23/04/13 0.054044 USD 23/04/26
22/12/15 0.050489 USD 22/12/28
22/11/17 0.059497 USD 22/11/30
22/10/13 0.044364 USD 22/10/26
22/09/15 0.041336 USD 22/09/28
22/08/18 0.050683 USD 22/08/31
22/07/14 0.0354 USD 22/07/27
22/06/16 0.033691 USD 22/06/29
22/05/19 0.036525 USD 22/06/01
22/04/14 0.027423 USD 22/04/27
22/03/17 0.026638 USD 22/03/30
22/02/17 0.025207 USD 22/03/02
22/01/20 0.029095 USD 22/02/02
21/12/16 0.024184 USD 21/12/29
21/11/18 0.02872 USD 21/12/01
21/10/14 0.02324 USD 21/10/27
21/09/16 0.023236 USD 21/09/29
21/08/19 0.030545 USD 21/09/01
21/07/15 0.024537 USD 21/07/28
21/06/17 0.024858 USD 21/06/30
21/05/20 0.031147 USD 21/06/02
21/04/15 0.024855 USD 21/04/28
21/03/18 0.02412 USD 21/03/31
21/02/18 0.023704 USD 21/03/03
21/01/21 0.028048 USD 21/02/03
20/12/17 0.02184 USD 20/12/30
20/11/19 0.023352 USD 20/12/04
20/10/22 0.023717 USD 20/11/04
20/09/24 0.030676 USD 20/10/07
20/08/20 0.025444 USD 20/09/02
20/07/23 0.039642 USD 20/08/05
20/06/11 0.023116 USD 20/06/24
20/05/21 0.034501 USD 20/06/03
20/04/23 0.035761 USD 20/05/04
20/03/26 0.047338 USD 20/04/08
20/02/20 0.040561 USD 20/03/04
20/01/23 0.062348 USD 20/02/05
19/12/12 0.031902 USD 19/12/27
19/11/21 0.043184 USD 19/12/04
19/10/24 0.043594 USD 19/11/06
19/09/26 0.05421 USD 19/10/09
19/08/22 0.047374 USD 19/09/04
19/07/25 0.045667 USD 19/08/07
19/06/27 0.06042 USD 19/07/10
19/05/23 0.059696 USD 19/06/05
19/04/18 0.037319 USD 19/05/03
19/03/28 0.060696 USD 19/04/10
19/02/21 0.063388 USD 19/03/06
 

Dividends paid by Standard ETF Vanguard Usd Treasury Bond Ucits Etf


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