Graphique Total Return iShares Core 30/70 Conservative Allocation ETF - USD

ETF

AOK

US4642898831

Marché Fermé - NYSE 22:00:00 21/07/2026 Varia. 5j. Varia. 1 janv.
41,02 USD +0,24% Graphique intraday de iShares Core 30/70 Conservative Allocation ETF - USD -0,24% +2,22%
La performance "Total Return" intègre les versements de dividendes sur la période concernée, comme s'ils étaient réinvestis à 100%.

Dividendes passés sur iShares Core 30/70 Conservative Allocation ETF - USD

02/07/2026 Dividende mensuel 0.201902 USD
02/06/2026 Dividende mensuel 0.07571 USD
04/05/2026 Dividende mensuel 0.081309 USD
02/04/2026 Dividende mensuel 0.120079 USD
03/03/2026 Dividende mensuel 0.077899 USD
03/02/2026 Dividende mensuel 0.0951 USD
23/12/2025 Dividende mensuel 0.309258 USD
02/12/2025 Dividende mensuel 0.079019 USD
04/11/2025 Dividende mensuel 0.082831 USD
02/10/2025 Dividende mensuel 0.102923 USD
03/09/2025 Dividende mensuel 0.076465 USD
04/08/2025 Dividende mensuel 0.081162 USD
02/07/2025 Dividende mensuel 0.175279 USD
03/06/2025 Dividende mensuel 0.081027 USD
02/05/2025 Dividende mensuel 0.07675 USD
02/04/2025 Dividende mensuel 0.098766 USD
04/03/2025 Dividende mensuel 0.075057 USD
04/02/2025 Dividende mensuel 0.079418 USD
20/12/2024 Dividende mensuel 0.30497 USD
03/12/2024 Dividende mensuel 0.074781 USD
04/11/2024 Dividende mensuel 0.075199 USD
02/10/2024 Dividende mensuel 0.099922 USD
04/09/2024 Dividende mensuel 0.072675 USD
02/08/2024 Dividende mensuel 0.074809 USD
02/07/2024 Dividende mensuel 0.15077 USD
04/06/2024 Dividende mensuel 0.068908 USD
02/05/2024 Dividende mensuel 0.068963 USD
02/04/2024 Dividende mensuel 0.089991 USD
04/03/2024 Dividende mensuel 0.06512 USD
02/02/2024 Dividende mensuel 0.058403 USD
22/12/2023 Dividende mensuel 0.287551 USD
04/12/2023 Dividende mensuel 0.063522 USD
02/11/2023 Dividende mensuel 0.061723 USD
03/10/2023 Dividende mensuel 0.087662 USD
05/09/2023 Dividende mensuel 0.059018 USD
02/08/2023 Dividende mensuel 0.05921 USD
05/07/2023 Dividende mensuel 0.144042 USD
02/06/2023 Dividende mensuel 0.058877 USD
02/05/2023 Dividende mensuel 0.056227 USD
04/04/2023 Dividende mensuel 0.07791 USD
02/03/2023 Dividende mensuel 0.05234 USD
02/02/2023 Dividende mensuel 0.051179 USD
23/12/2022 Dividende mensuel 0.186691 USD
02/12/2022 Dividende mensuel 0.047824 USD
02/11/2022 Dividende mensuel 0.042058 USD
04/10/2022 Dividende mensuel 0.07512 USD
02/09/2022 Dividende mensuel 0.039656 USD
02/08/2022 Dividende mensuel 0.040618 USD
05/07/2022 Dividende mensuel 0.120751 USD
02/06/2022 Dividende mensuel 0.038075 USD
03/05/2022 Dividende mensuel 0.037769 USD
04/04/2022 Dividende mensuel 0.058781 USD
02/03/2022 Dividende mensuel 0.030415 USD
02/02/2022 Dividende mensuel 0.037665 USD
23/12/2021 Dividende mensuel 0.171927 USD
02/12/2021 Dividende mensuel 0.026605 USD
02/11/2021 Dividende mensuel 0.032822 USD
04/10/2021 Dividende mensuel 0.05652 USD
02/09/2021 Dividende mensuel 0.03322 USD
03/08/2021 Dividende mensuel 0.028919 USD
02/07/2021 Dividende mensuel 0.103644 USD
02/06/2021 Dividende mensuel 0.026197 USD
04/05/2021 Dividende mensuel 0.025207 USD
05/04/2021 Dividende mensuel 0.049622 USD
02/03/2021 Dividende mensuel 0.030253 USD
02/02/2021 Dividende mensuel 0.033467 USD
24/12/2020 Dividende mensuel 0.152282 USD
02/12/2020 Dividende mensuel 0.03818 USD
03/11/2020 Dividende mensuel 0.047795 USD
02/10/2020 Dividende mensuel 0.074206 USD
02/09/2020 Dividende mensuel 0.046662 USD
04/08/2020 Dividende mensuel 0.042821 USD
02/07/2020 Dividende mensuel 0.131209 USD
02/06/2020 Dividende mensuel 0.047356 USD
04/05/2020 Dividende mensuel 0.049876 USD
02/04/2020 Dividende mensuel 0.081971 USD
03/03/2020 Dividende mensuel 0.052097 USD
04/02/2020 Dividende mensuel 0.048456 USD
24/12/2019 Dividende mensuel 0.167598 USD
03/12/2019 Dividende mensuel 0.050482 USD
04/11/2019 Dividende mensuel 0.052607 USD
02/10/2019 Dividende mensuel 0.081516 USD
04/09/2019 Dividende mensuel 0.062425 USD
02/08/2019 Dividende mensuel 0.058001 USD
02/07/2019 Dividende mensuel 0.174237 USD
04/06/2019 Dividende mensuel 0.06397 USD
02/05/2019 Dividende mensuel 0.062727 USD
02/04/2019 Dividende mensuel 0.083113 USD
04/03/2019 Dividende mensuel 0.061257 USD
04/02/2019 Dividende mensuel 0.065934 USD
28/12/2018 Dividende mensuel 0.147095 USD
03/12/2018 Dividende mensuel 0.05651 USD
02/11/2018 Dividende mensuel 0.058581 USD
02/10/2018 Dividende mensuel 0.079 USD
05/09/2018 Dividende mensuel 0.06012 USD
02/08/2018 Dividende mensuel 0.056566 USD
03/07/2018 Dividende mensuel 0.155908 USD
04/06/2018 Dividende mensuel 0.048878 USD
02/05/2018 Dividende mensuel 0.0485 USD
03/04/2018 Dividende mensuel 0.069345 USD
02/03/2018 Dividende mensuel 0.044386 USD
02/02/2018 Dividende mensuel 0.051684 USD
28/12/2017 Dividende mensuel 0.056242 USD
04/12/2017 Dividende mensuel 0.046336 USD
04/12/2017 Dividende mensuel 0.071666 USD
04/12/2017 Dividende mensuel 0.244278 USD
02/11/2017 Dividende mensuel 0.041338 USD
03/10/2017 Dividende mensuel 0.069737 USD
06/09/2017 Dividende mensuel 0.04753 USD
02/08/2017 Dividende mensuel 0.045998 USD
06/07/2017 Dividende mensuel 0.14096 USD
02/06/2017 Dividende mensuel 0.044078 USD
02/05/2017 Dividende mensuel 0.046835 USD
04/04/2017 Dividende mensuel 0.065607 USD
02/03/2017 Dividende mensuel 0.036947 USD
02/02/2017 Dividende mensuel 0.04917 USD
28/12/2016 Dividende mensuel 0.116828 USD
02/12/2016 Dividende mensuel 0.058966 USD
02/11/2016 Dividende mensuel 0.035388 USD
04/10/2016 Dividende mensuel 0.062656 USD
02/09/2016 Dividende mensuel 0.037807 USD
02/08/2016 Dividende mensuel 0.038494 USD
06/07/2016 Dividende mensuel 0.138985 USD
02/06/2016 Dividende mensuel 0.035229 USD
03/05/2016 Dividende mensuel 0.03784 USD
04/04/2016 Dividende mensuel 0.065808 USD
02/03/2016 Dividende mensuel 0.034106 USD
02/02/2016 Dividende mensuel 0.034753 USD
28/12/2015 Dividende mensuel 0.106727 USD
02/12/2015 Dividende mensuel 0.032463 USD
03/11/2015 Dividende mensuel 0.031505 USD
02/10/2015 Dividende mensuel 0.057211 USD
02/09/2015 Dividende mensuel 0.036545 USD
04/08/2015 Dividende mensuel 0.03815 USD
02/07/2015 Dividende mensuel 0.14127 USD
02/06/2015 Dividende mensuel 0.036591 USD
04/05/2015 Dividende mensuel 0.034687 USD
02/04/2015 Dividende mensuel 0.0625909 USD
03/03/2015 Dividende mensuel 0.030275 USD
03/02/2015 Dividende mensuel 0.030423 USD
26/12/2014 Dividende mensuel 0.1236638 USD
02/12/2014 0.37505 USD
04/11/2014 0.030942 USD
02/10/2014 0.058312 USD
03/09/2014 0.033892 USD
04/08/2014 0.035086 USD
02/07/2014 0.165177 USD
03/06/2014 0.041021 USD
02/05/2014 0.03531 USD
02/04/2014 0.055016 USD
04/03/2014 0.028126 USD
04/02/2014 0.034784 USD
27/12/2013 0.09321 USD
03/12/2013 0.028182 USD
04/11/2013 0.028796 USD
02/10/2013 0.057149 USD
04/09/2013 0.031299 USD
02/08/2013 0.031927 USD
02/07/2013 0.127496 USD
04/06/2013 0.033012 USD
02/05/2013 0.035259 USD
02/04/2013 0.062671 USD
04/03/2013 0.03179 USD
04/02/2013 0.021204 USD
27/12/2012 0.101241 USD
04/12/2012 0.073175 USD
02/11/2012 0.035732 USD
02/10/2012 0.048262 USD
05/09/2012 0.025117 USD
02/08/2012 0.025216 USD
03/07/2012 0.139212 USD
04/06/2012 0.050521 USD
02/05/2012 0.024168 USD
03/04/2012 0.053192 USD
02/03/2012 0.026045 USD
02/02/2012 0.026058 USD
28/12/2011 0.083385 USD
02/12/2011 0.036678 USD
02/11/2011 0.046198 USD
04/10/2011 0.054464 USD
02/09/2011 0.024557 USD
02/08/2011 0.055706 USD
05/07/2011 0.099598 USD
02/06/2011 0.0735709 USD
03/05/2011 0.058013 USD
04/04/2011 0.076655 USD
02/03/2011 0.040086 USD
02/02/2011 0.041801 USD
29/12/2010 0.0847939 USD
02/12/2010 0.039778 USD
02/11/2010 0.028107 USD
04/10/2010 0.050798 USD
02/09/2010 0.020562 USD
03/08/2010 0.026679 USD
02/07/2010 0.082093 USD
02/06/2010 0.042628 USD
04/05/2010 0.026266 USD
05/04/2010 0.063888 USD
02/03/2010 0.019318 USD
02/02/2010 0.027417 USD
29/12/2009 0.0806309 USD
02/12/2009 0.03372 USD
03/11/2009 0.03959 USD
02/10/2009 0.04947 USD
02/09/2009 0.07518 USD
04/08/2009 0.04086 USD
02/07/2009 0.1001 USD
02/06/2009 0.04192 USD
04/05/2009 0.05793 USD
02/04/2009 0.07394 USD
03/03/2009 0.02487 USD
03/02/2009 0.01789 USD
29/12/2008 0.11347 USD