iShares 1-3 Year Treasury Bond ETF (SHY) Dividends

iShares 1-3 Year Treasury Bond ETF (SHY): $81.21

0.04 (+0.05%)

POWR Rating

Component Grades

Buy & Hold

A

Peer

B

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Category: Government Bonds ETFs

Category

B

Ranked

#14 of 40

in category
SHY Ex-Dividend Date
SHY Dividend Yield
3.34%
SHY Annual Dividend
$2.71
SHY Payout Ratio


SHY Dividend History

Ex-Dividend Date Type Payout Amount Change
2024-04-01Dividend$0.27+12.50%
2024-03-01Dividend$0.24-0.83%
2024-02-01Dividend$0.24-6.92%
2023-12-14Dividend$0.26+5.26%
2023-12-01Dividend$0.25+7.39%
2023-11-01Dividend$0.23+10.05%
2023-10-02Dividend$0.21+1.46%
2023-09-01Dividend$0.21-2.83%
2023-08-01Dividend$0.21+2.91%
2023-07-03Dividend$0.21+4.57%
2023-06-01Dividend$0.20+3.14%
2023-05-01Dividend$0.19+6.11%
2023-04-03Dividend$0.18+11.11%
2023-03-01Dividend$0.16+6.58%
2023-02-01Dividend$0.15-16.02%
2022-12-15Dividend$0.18+9.70%
2022-12-01Dividend$0.17+17.02%
2022-11-01Dividend$0.14+30.56%
2022-10-03Dividend$0.11+8.00%
2022-09-01Dividend$0.10+13.64%
2022-08-01Dividend$0.09+11.39%
2022-07-01Dividend$0.08+21.54%
2022-06-01Dividend$0.07+47.73%
2022-05-02Dividend$0.04+22.22%
2022-04-01Dividend$0.04+44.00%
2022-03-01Dividend$0.03+8.70%
2022-02-01Dividend$0.02+27.78%
2021-12-16Dividend$0.02-64.00%
2021-12-01Dividend$0.05+354.55%
2021-11-01Dividend$0.01--
2021-10-01Dividend$0.01-15.38%
2021-09-01Dividend$0.01+8.33%
2021-08-02Dividend$0.01-7.69%
2021-07-01Dividend$0.01+8.33%
2021-06-01Dividend$0.01--
2021-05-03Dividend$0.01-36.84%
2021-04-01Dividend$0.02-13.64%
2021-03-01Dividend$0.02-26.67%
2021-02-01Dividend$0.03-6.25%
2020-12-17Dividend$0.03-3.03%
2020-12-01Dividend$0.03-15.38%
2020-11-02Dividend$0.04-2.50%
2020-10-01Dividend$0.04-18.37%
2020-09-01Dividend$0.05-2.00%
2020-08-03Dividend$0.05-18.03%
2020-07-01Dividend$0.06-12.86%
2020-06-01Dividend$0.07-2.78%
2020-05-01Dividend$0.07-32.08%
2020-04-01Dividend$0.11-15.20%
2020-03-02Dividend$0.13-7.41%
2020-02-03Dividend$0.14-1.46%
2019-12-19Dividend$0.14+2.24%
2019-12-02Dividend$0.13-4.29%
2019-11-01Dividend$0.14+3.70%
2019-10-01Dividend$0.14-7.53%
2019-09-03Dividend$0.15-2.67%
2019-08-01Dividend$0.15-3.85%
2019-07-01Dividend$0.16-7.69%
2019-06-03Dividend$0.17+8.33%
2019-05-01Dividend$0.16-4.88%
2019-04-01Dividend$0.16+6.49%
2019-03-01Dividend$0.15+1.32%
2019-02-01Dividend$0.15+27.73%
2018-12-18Dividend$0.12-16.20%
2018-12-03Dividend$0.14-2.74%
2018-11-01Dividend$0.15+6.57%
2018-10-01Dividend$0.14+4.58%
2018-09-04Dividend$0.13-5.07%
2018-08-01Dividend$0.14+6.15%
2018-07-02Dividend$0.13+3.17%
2018-06-01Dividend$0.13+22.33%
2018-05-01Dividend$0.10+9.57%
2018-04-02Dividend$0.09+9.30%
2018-03-01Dividend$0.09--
2018-02-01Dividend$0.09-8.51%
2017-12-21Dividend$0.09+18.99%
2017-12-01Dividend$0.08+1.28%
2017-11-01Dividend$0.08+6.85%
2017-10-02Dividend$0.07+1.39%
2017-09-01Dividend$0.07+1.41%
2017-08-01Dividend$0.07+5.97%
2017-07-03Dividend$0.07+4.69%
2017-06-01Dividend$0.06+3.23%
2017-05-01Dividend$0.06+6.90%
2017-04-03Dividend$0.06+7.41%
2017-03-01Dividend$0.05+5.88%
2017-02-01Dividend$0.05-16.39%
2016-12-22Dividend$0.06+22.00%
2016-12-01Dividend$0.05-1.96%
2016-11-01Dividend$0.05+4.08%
2016-10-03Dividend$0.05-2.00%
2016-09-01Dividend$0.05+2.04%
2016-05-02Dividend$0.05+8.89%
2016-02-01Dividend$0.05+4.65%
2015-12-24Dividend$0.04+4.88%
2015-12-01Dividend$0.04--
2015-11-02Dividend$0.04+2.50%
2015-10-01Dividend$0.04+0.50%
2015-09-01Dividend$0.04+4.74%
2015-08-03Dividend$0.04+0.80%
2015-07-01Dividend$0.04+2.45%
2015-06-01Dividend$0.04+4.25%
2015-05-01Dividend$0.04-3.81%
2015-04-01Dividend$0.04+18.39%
2015-03-02Dividend$0.03-6.06%
2015-02-02Dividend$0.03-0.30%
2014-12-24Dividend$0.03+14.14%
2014-12-01Dividend$0.03+1.75%
2014-11-03Dividend$0.03-5.94%
2014-10-01Dividend$0.03+7.83%
2014-09-02Dividend$0.03+4.46%
2014-08-01Dividend$0.03+8.47%
2014-07-01Dividend$0.02+9.73%
2014-06-02Dividend$0.02+7.62%
2014-05-01Dividend$0.02-0.94%
2014-04-01Dividend$0.02+15.22%
2014-03-03Dividend$0.02-19.65%
2014-02-03Dividend$0.02+10.10%
2013-12-26Dividend$0.02+9.47%
2013-12-02Dividend$0.02-0.52%
2013-11-01Dividend$0.02+3.24%
2013-10-01Dividend$0.02+5.11%
2013-09-03Dividend$0.02-4.35%
2013-08-01Dividend$0.02+6.98%
2013-07-01Dividend$0.02+0.58%
2013-06-03Dividend$0.02+2.40%
2013-05-01Dividend$0.02-7.22%
2013-04-01Dividend$0.02-2.17%
2013-03-01Dividend$0.02-11.11%
2013-02-01Dividend$0.02-0.48%
2012-12-26Dividend$0.02+3.48%
2012-12-03Dividend$0.02-9.87%
2012-11-01Dividend$0.02+2.29%
2012-10-01Dividend$0.02-7.23%
2012-09-04Dividend$0.02-9.27%
2012-08-01Dividend$0.03-0.77%
2012-07-02Dividend$0.03-6.45%
2012-06-01Dividend$0.03+0.72%
2012-05-01Dividend$0.03-8.58%
2012-04-02Dividend$0.03-13.92%
2012-03-01Dividend$0.04+12.46%
2012-02-01Dividend$0.03-18.91%
2011-12-27Dividend$0.04-13.84%
2011-12-01Dividend$0.04-6.86%
2011-11-01Dividend$0.05-1.43%
2011-10-03Dividend$0.05-10.46%
2011-09-01Dividend$0.05-10.51%
2011-08-01Dividend$0.06-0.81%
2011-07-01Dividend$0.06-7.11%
2011-06-01Dividend$0.07-0.15%
2011-05-02Dividend$0.07-1.63%
2011-04-01Dividend$0.07+10.33%
2011-03-01Dividend$0.06-10.29%
2011-02-01Dividend$0.07+0.59%
2010-12-28Dividend$0.07+5.30%
2010-12-01Dividend$0.06-3.89%
2010-11-01Dividend$0.07+2.77%
2010-10-01Dividend$0.07-6.74%
2010-09-01Dividend$0.07-1.13%
2010-08-02Dividend$0.07-2.89%
2010-07-01Dividend$0.07+2.98%
2010-06-01Dividend$0.07-10.08%
2010-05-03Dividend$0.08-2.00%
2010-04-01Dividend$0.08+7.10%
2010-03-01Dividend$0.07-11.07%
2010-02-01Dividend$0.08-1.18%
2009-12-29Dividend$0.09-85.34%
2009-12-01Dividend$0.58+551.69%
2009-11-02Dividend$0.09-14.42%
2009-10-01Dividend$0.10-3.35%
2009-09-01Dividend$0.11-3.67%
2009-08-03Dividend$0.11-0.36%
2009-07-01Dividend$0.11-14.30%
2009-06-01Dividend$0.13-21.58%
2009-05-01Dividend$0.17+18.13%
2009-04-01Dividend$0.14+9.20%
2009-03-02Dividend$0.13-6.30%
2009-02-02Dividend$0.14-58.95%
2008-12-29Dividend$0.34+20.42%
2008-12-01Dividend$0.28-14.62%
2008-11-03Dividend$0.33+16.79%
2008-10-01Dividend$0.28+19.05%
2008-09-02Dividend$0.24-11.45%
2008-08-01Dividend$0.27+21.28%
2008-07-01Dividend$0.22-1.66%
2008-06-02Dividend$0.22+37.47%
2008-05-01Dividend$0.16-7.90%
2008-04-03Dividend$0.18-36.27%
2007-12-03Dividend$0.28-8.91%
2007-11-01Dividend$0.30+1.95%
2007-10-01Dividend$0.30-2.81%
2007-09-04Dividend$0.31+1.26%
2007-08-01Dividend$0.30-0.17%
2007-07-02Dividend$0.30+4.67%
2007-06-01Dividend$0.29+1.05%
2007-05-01Dividend$0.29-3.02%
2007-04-02Dividend$0.29+8.82%
2007-03-01Dividend$0.27-9.67%
2007-02-01Dividend$0.30+22.10%
2006-12-27Dividend$0.25-14.30%
2006-12-01Dividend$0.29-3.50%
2006-11-01Dividend$0.30+0.95%
2006-10-02Dividend$0.29+1.13%
2006-09-01Dividend$0.29+0.66%
2006-08-01Dividend$0.29+4.14%
2006-07-03Dividend$0.28+3.58%
2006-06-01Dividend$0.27+2.02%
2006-05-01Dividend$0.26-1.17%
2006-04-03Dividend$0.27-4.80%
2006-03-01Dividend$0.28+13.04%
2006-02-01Dividend$0.25-0.80%
2005-12-28Dividend$0.25+7.84%
2005-12-01Dividend$0.23-0.52%
2005-11-01Dividend$0.23-0.81%
2005-10-03Dividend$0.23+2.63%
2005-09-01Dividend$0.23+25.97%
2005-08-01Dividend$0.18-2.69%
2005-07-01Dividend$0.19-2.11%
2005-06-01Dividend$0.19--
2005-05-02Dividend$0.19--
2005-04-01Dividend$0.19+16.56%
2005-03-01Dividend$0.16-4.68%
2005-02-01Dividend$0.17+11.11%
2004-12-31Dividend$0.15+6.14%
2004-12-01Dividend$0.15+5.22%
2004-11-01Dividend$0.14+4.31%
2004-10-01Dividend$0.13+0.46%
2004-09-01Dividend$0.13-8.04%
2004-08-02Dividend$0.14-2.72%
2004-07-01Dividend$0.15+19.03%
2004-06-01Dividend$0.12+6.47%
2004-05-03Dividend$0.12-3.25%
2004-04-01Dividend$0.12+5.92%
2004-03-01Dividend$0.11-4.95%
2004-02-02Dividend$0.12+2.58%
2003-12-31Dividend$0.12-65.34%
2003-12-16Dividend$0.34-4.29%
2003-12-01Dividend$0.35+216.74%
2003-11-03Dividend$0.11+19.33%
2003-10-01Dividend$0.09-10.44%
2003-09-02Dividend$0.10+1.37%
2003-08-01Dividend$0.10--
2003-07-01Dividend$0.10-4.67%
2003-06-02Dividend$0.11-17.88%
2003-05-01Dividend$0.13+15.82%
2003-04-01Dividend$0.11+4.75%
2003-03-03Dividend$0.11-11.75%
2003-02-03Dividend$0.12-12.51%
2002-12-31Dividend$0.14+15.44%
2002-12-02Dividend$0.12-9.33%
2002-11-01Dividend$0.13+10.93%
2002-10-01Dividend$0.12-9.58%
2002-09-03Dividend$0.13--


SHY Dividends vs. Peers

SHY's dividend yield currently ranks #8 of 40 vs. its peers in the Government Bonds ETFs category.
Rank Symbol Name Dividend Yield
1 TENZ 7-15 Yr Trsy Index ETF Pimco 2.16%
2 AGZ iShares Agency Bond ETF 0.00%
3 BTYS iPath Series B US Treasury 10-year Bear ETN 0.00%
4 USFR WisdomTree Floating Rate Treasury Fund 0.00%
5 SCHO Schwab Short-Term U.S. Treasury ETF 0.00%
6 SCHR Schwab Intermediate-Term U.S. Treasury ETF 0.00%
7 SHV iShares Short Treasury Bond ETF 0.00%
8 SHY iShares 1-3 Year Treasury Bond ETF 0.00%
9 MTGP WisdomTree Mortgage Plus Bond Fund 0.00%
10 PLW Invesco 1-30 Laddered Treasury ETF 0.00%
11 GOVZ iShares 25+ Year Treasury STRIPS Bond ETF 0.00%
12 BILS SPDR Bloomberg Barclays 3-12 Month T-Bill ETF 0.00%
13 SGOV iShares 0-3 Month Treasury Bond ETF 0.00%
14 SCHQ Schwab Long-Term U.S. Treasury ETF 0.00%
15 GNMA iShares GNMA Bond ETF 0.00%
16 IEF iShares 7-10 Year Treasury Bond ETF 0.00%
17 IEI iShares 3-7 Year Treasury Bond ETF 0.00%
18 IBTL iShares iBonds Dec 2031 Term Treasury ETF 0.00%
19 EDV Vanguard Extended Duration Treasury ETF 0.00%
20 FTSD Franklin Liberty Short Duration U.S. Government ETF 0.00%
21 IBDU iShares iBonds Dec 2029 Term Corporate ETF 0.00%
22 SPTS SPDR Portfolio Short Term Treasury ETF 0.00%
23 IBTK iShares Trust - iShares iBonds Dec 2030 Term Treasury ETF 0.00%
24 GBIL Goldman Sachs Access Treasury 0-1 Year ETF 0.00%
25 TFLO iShares Treasury Floating Rate Bond ETF 0.00%
26 LGOV First Trust Long Duration Opportunities ETF 0.00%
27 TFJL Innovator 20+ Year Treasury Bond 5 Floor ETF - July 0.00%
28 ZROZ PIMCO 25 Year Zero Coupon U.S. Treasury Index Exchange-Traded Fund 0.00%
29 DFVL iPath US Treasury 5 Year Bull ETN 0.00%
30 TLH iShares 10-20 Year Treasury Bond ETF 0.00%
31 SPTL SPDR Portfolio Long Term Treasury ETF 0.00%
32 TLT iShares 20+ Year Treasury Bond ETF 0.00%
33 STPP iPath US Treasury Steepener ETN 0.00%
34 VGIT Vanguard Intermediate-Term Treasury ETF 0.00%
35 VGLT Vanguard Long-Treasury ETF 0.00%
36 VGSH Vanguard Short-Term Treasury ETF 0.00%
37 ITE SPDR Bloomberg Barclays Intermediate Term Treasury ETF 0.00%
38 GOVT iShares U.S. Treasury Bond ETF 0.00%
39 TUZ PIMCO 1-3 Year US Treasury Index Exchage-Traded Fund 0.00%
40 IGVT Xtrackers Barclays International Treasury Bond Hedged ETF 0.00%

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