iShares Core MSCI AC Asia ex Japan(9010) USD 6.445
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20220.26%USD 0.017HKD0.132022-11-14
20210.26%USD 0.017HKD0.132021-11-09
20200.18%USD 0.011HKD0.092020-11-06
20190.34%USD 0.022HKD0.172019-12-20
20180.22%USD 0.014HKD0.112018-12-17
20170.24%USD 0.015HKD0.120282017-12-18
20160.07%USD 0.004HKD0.03482016-12-12