Otros idiomas iShares Yield Plus ETF - AUD

ETF

IYLD

AU0000088502

Mercado cerrado - Australian S.E. 07:41:39 07/06/2024 Varia. Cinco días. Varia. 1 de enero.
98,89 AUD -0,08 % Gráfico intradía de iShares Yield Plus ETF - AUD -0,16 % -0,12 %
Ishares Yield Plus ETF Announces Estimated Cash Distribution for the Period Ended 5 January 2024, Payable on 18 January 2024
Ishares Yield Plus ETF Announces Estimated Cash Distribution for the Period Ended 5 December 2023, Payable on 18 December 2023
Ishares Yield Plus ETF Announces Estimate Cash Distribution for the Period Ending 6 November 2023, Payable on 17 November 2023
Ishares Yield Plus ETF Announces Estimate Cash Distribution for the Period Ending 30 June 2023, Payable on 13 July 2023
Ishares Yield Plus ETF Announces Estimated Cash Distribution for the Period Ending 2 June 2023, Payable on 16 June 2023
Ishares Yield Plus ETF Announces Estimated Cash Distribution for the Period Ending 4 May 2023, Payable on 17 May 2023
Ishares Yield Plus ETF Announces Estimate Cash Distribution for the Period Ending April 5, 2023, Payable on April 20, 2023
Ishares Yield Plus ETF Announces Estimate Cash Distribution for the Period Ending 7 March 2023, Payable on 20 March 2023
Ishares Yield Plus ETF Announces Estimated Cash Distribution of for the Period Ended 7 February 2023, Payable on February 20, 2023
Ishares Yield Plus ETF Announces Estimated Cash Distribution for the Period Ending 5 December 2022, Payable on 16 December 2022
Ishares Yield Plus ETF Announces Estimated Distribution for the Period Ending November 4, 2022, Payable on November 17, 2022
Ishares Yield Plus ETF Estimates Distribution for the Period Ending 6 October 2022, Payable on 19 October 2022
Ishares Yield Plus ETF Announces the Estimated Distribution for the Distribution Period Ended 3 August 2022 Payable on August 16, 2022
Ishares Yield Plus ETF Announces Estimated Distribution for the Distribution Period Ended 30 June 2022, Payable on 13 July 2022
Ishares Yield Plus ETF Announces Cash Distribution for the Period Ending 2 June 2022, Payable on 16 June 2022
Ishares Yield Plus ETF Announces Estimated Distribution Breakdown for the Distribution Period Ending 4 May 2022, Payable on 17 May 2022
Ishares Yield Plus ETF Announces Estimated Distribution for the Period Ending 6 April 2022, Payable April 21, 2022
Ishares Yield Plus ETF Announces Dividend for the Period Ending 7 March, 2022, Payable March 18, 2022
IShares Yield Plus ETF Announces Estimated Cash Distribution for the Period Ending January 5, 2022, Payable on January 18, 2022
Ishares Yield Plus ETF Announces an Estimated Distribution, Payable on November 17, 2021
Ishares Yield Plus ETF Announces Cash Distribution for the Period Ending 7 October 2021, Payable on October 20, 2021
Ishares Yield Plus ETF Announces Estimated Cash Distribution for the Period Ended September 3, 2021, Payable on September 16, 2021
Ishares Yield Plus ETF Announces Estimated Cash Distribution for the Period Ended 3 August 2021, Payable on Aug. 16, 2021
Ishares Yield Plus ETF Announces Estimated Distribution for the Period Ending June 30, 2021, Payable on July 13, 2021
Ishares Yield Plus ETF Announces Estimated Distribution, Payable on 17 May 2021
Ishares Yield Plus ETF Confirms Distribution, Payable on 19 April 2021
Blackrock Investment Management Limited Announces Estimated Cash Distribution for the Period Ended 5 March 2021, Payable on 18 Mar. 2021
Ishares Yield Plus ETF Announces Estimated Distribution, Payable on 18 February 2021
Ishares Yield Plus ETF Announces Estimated Distribution, Payable on 18 January 2021
Ishares Yield Plus ETF Announces Confirmed Cash Distribution, Payable on 18 December 2020
IShares Yield Plus ETF Announces Estimated Distribution, Payable on December 18, 2020
Ishares Yield Plus ETF Announces Estimated Distribution, Payable on 19 November 2020
Ishares Yield Plus ETF Announces Estimated Distribution, Payable on October 21, 2020
Ishares Yield Plus ETF Announces Estimated Distribution, Payable on 17 September 2020
Ishares Yield Plus ETF Announces Estimated Distribution, Payable 13 August 2020
Ishares Yield Plus ETF Announces Confirmed Cash Distribution, Payable on 13 July 2020
IShares Yield Plus ETF Announces Estimated Cash Distribution, Payable on 13 July 2020

Descripción

Código ISIN AU0000088502
Ratio de gastos total 0.12%
Tipos de activos
Moneda
Proveedor
Subyacente Bloomberg AusBond Credit and FRN Ex Big 4 Banks Total Return Index - AUD

Características

Jurisdicción
Estructura del fondo
Método de réplica
Modelo de réplica
Fecha de creación
29/05/2020
Política de dividendos
Rating crediticio
Enfoque geográfico

Distribución

Inversor particular

Evolución del AuM ( 31/05/2024 )

AuM (EUR) 26 M€
AuM 1M 25 M€
AuM 3 meses 18 M€
AuM 6 meses 21 M€
AuM 12 meses 11 M€