BlackRock Institutional Trust Company N.A. - iShares Expanded Tech Sec (IGM) Dividend History
The investment seeks to track the investment results of the S&P North American Technology Sector Index.
The fund invests at least 90% of its assets in securities of the index and in depositary receipts representing securities of the index. The index includes companies in the following categories: producers of sophisticated computer-related devices; providers of communications equipment and internet services; producers of computer and internet software; consultants for information technology; providers of computer services; and semiconductors and semiconductor equipment manufacturers. The fund is non-diversified.
Last update 01/25/2021
Dividend Yield Summary
|
2016 |
2017 |
2018 |
2019 |
2020 |
2021 |
Dividends |
1.11 |
0.97 |
0.98 |
1.21 |
0.41 |
- |
Average Price |
124.64 |
148.77 |
190.17 |
213.41 |
279.47 |
- |
Yield |
0.89% |
0.65% |
0.52% |
0.57% |
0.15% |
- |
• The above Dividend, Average Price, and Yield values for 2021 are year-to-date.
Dividend Dates
Ex Dividend Date |
2020-03-25 |
Dividend Pay Date |
|
DivInfo Metrics ™
52-Week Projected Earnings Per Share |
None |
52-Week Projected Dividends Per Share |
1.33 |
Dividend Cover |
- |
52-Week Projected Yield |
0.56% |
52-Week Trailing Yield |
0.15% |
6-Year Average Yield |
0.49% |
6-Year Dividend Change |
19.82% |
6-Year Yearly Dividend Change |
3.30% |
Number of Dividend Payments
(2009-10-30 - 2020-03-25)
|
31 |
Dividend History
Date |
Amount Per Share |
Note |
2020-03-25 |
$0.41 |
|
2019-12-16 |
$0.32 |
|
2019-09-24 |
$0.27 |
|
2019-06-17 |
$0.34 |
|
2019-03-20 |
$0.28 |
|
2018-12-17 |
$0.25 |
|
2018-09-26 |
$0.22 |
|
2018-06-26 |
$0.29 |
|
2018-03-22 |
$0.22 |
|
2017-12-19 |
$0.23 |
|
2017-09-26 |
$0.25 |
|
2017-06-27 |
$0.27 |
|
2017-03-24 |
$0.22 |
|
2016-12-21 |
$0.28 |
|
2016-09-26 |
$0.21 |
|
2016-06-21 |
$0.31 |
|
2016-03-23 |
$0.31 |
|
2015-12-24 |
$0.26 |
|
2015-09-25 |
$0.19 |
|
2015-06-24 |
$0.23 |
|
2015-03-25 |
$0.19 |
|
2014-12-24 |
$0.30 |
|
2014-09-24 |
$0.18 |
|
2014-06-24 |
$0.22 |
|
2014-03-25 |
$0.19 |
|
2013-12-23 |
$0.20 |
|
2013-09-24 |
$0.18 |
|
2013-06-26 |
$0.18 |
|
2013-03-25 |
$0.13 |
|
2010-10-29 |
$0.50 |
|
2009-10-30 |
$0.46 |
|