IBGB - iShares iBonds Dec 2045 Term Treasury ETF (IBGB)

IBGB - Monthly dividend ETF

Key Metrics

Current Price
$24.41
Yield
4.41%
1-Year Return
5.28%
DRIP/NAV Return
5.39%
Frequency
monthly
Expense Ratio
0.0700%
AUM
8.57
Inception Date
Tue Mar 25 2025 00:00:00 GMT+0000 (Coordinated Universal Time)

Recent Dividend History

Ex-Dividend DateAmount
4/1/2026 $0.0987
3/2/2026 $0.0880
2/2/2026 $0.0827
12/19/2025 $0.0978
12/1/2025 $0.0939
11/3/2025 $0.0899
10/1/2025 $0.0993
9/2/2025 $0.0942
8/1/2025 $0.0975
7/1/2025 $0.0945
6/2/2025 $0.0978
5/1/2025 $0.1066