The fund generally will invest at least 90% of its assets in the component securities of the underlying index and may invest up to 10% of its assets in certain futures, options and swap contracts, cash and cash equivalents. It is an optimized index designed to maximize exposure to positive environmental, social and governance characteristics while exhibiting risk and return characteristics similar to the MSCI USA Index.
1.11%
1.36 USD
March 18, 2025
Year | Total Dividends |
---|---|
2026 | 0.32 USD |
March 25, 2026 (estimated) | 0.3242 |
2025 | 1.43 USD |
Dec. 22, 2025 (estimated) | 0.4024 |
Sept. 30, 2025 (estimated) | 0.4780 |
June 24, 2025 (estimated) | 0.2575 |
March 21, 2025 | 0.2875 |
2024 | 1.40 USD |
Dec. 20, 2024 | 0.3702 |
Sept. 30, 2024 | 0.4427 |
June 17, 2024 | 0.2560 |
March 27, 2024 | 0.3293 |
2023 | 1.32 USD |
Dec. 27, 2023 | 0.3628 |
Oct. 2, 2023 | 0.3951 |
June 13, 2023 | 0.2391 |
March 29, 2023 | 0.3273 |
2022 | 1.25 USD |
Dec. 19, 2022 | 0.3652 |
Sept. 30, 2022 | 0.3773 |
June 15, 2022 | 0.2198 |
March 30, 2022 | 0.2920 |
2021 | 1.04 USD |
Dec. 17, 2021 | 0.2868 |
Sept. 30, 2021 | 0.3127 |
June 16, 2021 | 0.1932 |
March 31, 2021 | 0.2505 |
2020 | 0.96 USD |
Dec. 18, 2020 | 0.2629 |
Sept. 29, 2020 | 0.2672 |
June 19, 2020 | 0.1962 |
March 31, 2020 | 0.2335 |
2019 | 1.02 USD |
Dec. 20, 2019 | 0.2655 |
Sept. 30, 2019 | 0.3098 |
June 21, 2019 | 0.2412 |
March 26, 2019 | 0.2029 |
2018 | 0.89 USD |
Dec. 21, 2018 | 0.2528 |
Oct. 2, 2018 | 0.2329 |
July 2, 2018 | 0.2528 |
March 28, 2018 | 0.1511 |
2017 | 0.78 USD |
Dec. 26, 2017 | 0.2265 |
Sept. 29, 2017 | 0.2315 |
June 30, 2017 | 0.1638 |
March 30, 2017 | 0.1555 |
2016 | 0.72 USD |
Dec. 21, 2016 | 0.2225 |
Sept. 26, 2016 | 0.1480 |
June 21, 2016 | 0.1630 |
March 23, 2016 | 0.1820 |
2015 | 0.59 USD |
Dec. 24, 2015 | 0.1840 |
Sept. 25, 2015 | 0.1370 |
June 24, 2015 | 0.1480 |
March 25, 2015 | 0.1240 |
2014 | 0.52 USD |
Dec. 24, 2014 | 0.1580 |
Sept. 24, 2014 | 0.1195 |
June 24, 2014 | 0.1320 |
March 25, 2014 | 0.1125 |
2013 | 0.50 USD |
Dec. 23, 2013 | 0.1575 |
Sept. 24, 2013 | 0.1285 |
June 26, 2013 | 0.1210 |
March 25, 2013 | 0.0910 |
2012 | 0.52 USD |
Dec. 19, 2012 | 0.1930 |
Sept. 25, 2012 | 0.1310 |
June 19, 2012 | 0.1060 |
March 26, 2012 | 0.0945 |
2011 | 0.40 USD |
Dec. 22, 2011 | 0.1315 |
Sept. 23, 2011 | 0.0995 |
June 24, 2011 | 0.0885 |
March 25, 2011 | 0.0785 |
2010 | 0.41 USD |
Dec. 22, 2010 | 0.1305 |
Sept. 23, 2010 | 0.1140 |
June 24, 2010 | 0.0880 |
March 25, 2010 | 0.0730 |
2009 | 0.40 USD |
Dec. 23, 2009 | 0.1050 |
Sept. 22, 2009 | 0.0895 |
June 24, 2009 | 0.0950 |
March 25, 2009 | 0.1125 |
2008 | 0.44 USD |
Dec. 23, 2008 | 0.1200 |
Sept. 24, 2008 | 0.1135 |
June 25, 2008 | 0.1060 |
March 25, 2008 | 0.1005 |
2007 | 0.39 USD |
Dec. 27, 2007 | 0.1180 |
Sept. 25, 2007 | 0.1025 |
June 28, 2007 | 0.0870 |
March 23, 2007 | 0.0825 |
2006 | 0.44 USD |
Dec. 20, 2006 | 0.1010 |
Sept. 26, 2006 | 0.1480 |
June 22, 2006 | 0.1110 |
March 24, 2006 | 0.0840 |
2005 | 0.31 USD |
Dec. 22, 2005 | 0.0905 |
Sept. 23, 2005 | 0.0765 |
June 20, 2005 | 0.0690 |
March 24, 2005 | 0.0695 |
Yearly aggregated dividends
iShares MSCI USA ESG Select ETF
Mar 21, 2025 Paid
Dividend
0.2875 USD |
iShares MSCI USA ESG Select ETF
Dec 20, 2024 Paid
Dividend
0.3702 USD |
iShares MSCI USA ESG Select ETF
Sep 30, 2024 Paid
Dividend
0.4427 USD |
iShares MSCI USA ESG Select ETF
Jun 17, 2024 Paid
Dividend
0.256 USD |
Split Date | Split Ratio to 1 |
---|---|
Dec. 7, 2020 | 2.00 |
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