Comments
Loading...

iShares Asia / Pacific Dividend 30 Index Fund Exchange Traded Fund Stock Dividends

DVYAARCA
Logo brought to you by Benzinga Data
Price data is not available

iShares Asia / Pacific Dividend 30 Index Fund Exchange Traded Fund Dividends | ARCA:DVYA | Benzinga

iShares Asia / Pacific Dividend 30 Index Fund Exchange Traded Fund issues dividends to shareholders from excess cash iShares Asia / Pacific Dividend 30 Index Fund Exchange Traded Fund generates. Most companies pay dividends on a quarterly basis, but dividends may also be paid monthly, annually or at irregular intervals.

iShares Asia / Pacific Dividend 30 Index Fund Exchange Traded Fund Dividend Overview

iShares Asia / Pacific Dividend 30 Index Fund Exchange Traded Fund does not currently pay a dividend or dividend information is unavailable.

iShares Asia / Pacific Dividend 30 Index Fund Exchange Traded Fund last traded ex-dividend on Sep 16 and the next ex-dividend date is unknown.

Key Highlights:

  • Annual Payout: -
  • Current Yield: -
  • Next Ex-Dividend Date: Unknown
  • Last Ex-Dividend Date: Sep 16
  • Payments per Year: 4
Last Dividend
Sep 16

Dividends for iShares Asia / Pacific Dividend 30 Index Fund Exchange Traded Fund

Get Alert
09/16/20254$0.666.17%09/15/202509/16/202509/19/2025Get Alert
06/16/20254$0.767.91%06/13/202506/16/202506/20/2025Get Alert
03/18/20254$0.283.05%03/17/202503/18/202503/21/2025Get Alert
12/17/20244$0.424.5%12/16/202412/17/202412/20/2024Get Alert
09/25/20244$0.717.32%09/24/202409/25/202409/30/2024Get Alert
06/11/20244$0.737.94%06/10/202406/11/202406/17/2024Get Alert
03/21/20244$0.293.15%03/20/202403/22/202403/27/2024Get Alert
12/20/20234$0.66.85%12/19/202312/21/202312/27/2023Get Alert
09/26/20234$0.627.5%09/25/202309/27/202310/02/2023Get Alert
06/07/20234$0.749.01%06/06/202306/08/202306/13/2023Get Alert
03/23/20234$0.354.2%03/22/202303/24/202303/29/2023Get Alert
12/13/20224$0.475.59%12/12/202212/14/202212/19/2022Get Alert
09/26/20224$0.739.08%09/23/202209/27/202209/30/2022Get Alert
06/09/20224$1.0511.24%06/08/202206/10/202206/15/2022Get Alert
03/24/20224$0.222.27%03/23/202203/25/202203/30/2022Get Alert
12/13/20214$0.565.99%12/10/202112/14/202112/17/2021Get Alert
09/24/20214$0.727.47%09/23/202109/27/202109/30/2021Get Alert
06/10/20214$0.393.72%06/09/202106/11/202106/16/2021Get Alert
03/25/20214$0.484.63%03/24/202103/26/202103/31/2021Get Alert
12/14/20204$0.121.28%12/11/202012/15/202012/18/2020Get Alert
09/23/20204$0.647.75%09/22/202009/24/202009/29/2020Get Alert
06/15/20204$0.192.18%06/12/202006/16/202006/19/2020Get Alert
03/25/20204$0.447%03/24/202003/26/202003/31/2020Get Alert
12/16/20194$0.343.11%12/13/201912/17/201912/20/2019Get Alert
09/24/20194$0.87.27%09/23/201909/25/201909/30/2019Get Alert
06/17/20194$0.625.6%06/14/201906/18/201906/21/2019Get Alert
03/20/20194$0.665.98%03/19/201903/21/201903/26/2019Get Alert
12/18/20184$0.545.13%12/17/201812/19/201812/24/2018Get Alert
09/26/20184$0.877.8%09/25/201809/27/201810/02/2018Get Alert
06/19/20184$0.534.55%06/18/201806/20/201806/25/2018Get Alert
03/22/20184$0.584.85%03/21/201803/23/201803/28/2018Get Alert
12/21/20174$0.544.38%12/20/201712/22/201712/28/2017Get Alert
09/26/20174$0.86.44%09/25/201709/27/201709/29/2017Get Alert
06/20/20174$0.483.92%06/19/201706/22/201706/26/2017Get Alert
03/24/20174$0.564.58%03/23/201703/28/201703/30/2017Get Alert
12/23/20164$0.272.41%12/21/201612/27/201612/29/2016Get Alert
09/26/20164$0.716.05%09/23/201609/28/201609/30/2016Get Alert
06/21/20164$0.423.96%06/20/201606/23/201606/27/2016Get Alert
03/24/20164$0.767.09%03/22/201603/28/201603/30/2016Get Alert
12/21/20154$0.151.54%12/18/201512/23/201512/28/2015Get Alert
09/25/20154$0.99.31%09/24/201509/29/201510/01/2015Get Alert
06/24/20154$0.494%06/23/201506/26/201506/30/2015Get Alert
03/25/20154$0.564.27%03/24/201503/27/201503/31/2015Get Alert
12/19/20144$0.352.83%12/18/201412/23/201412/29/2014Get Alert
09/24/20144$1.027.48%09/23/201409/26/201410/01/2014Get Alert
06/24/20144$0.765.14%06/23/201406/26/201407/01/2014Get Alert
03/25/20144$0.53.78%03/24/201403/27/201404/01/2014Get Alert
12/17/20134$0.947.12%12/16/201312/19/201312/27/2013Get Alert
09/30/20134$0.815.76%09/27/201310/02/201310/04/2013Get Alert
06/25/20134$0.816.17%06/24/201306/27/201307/02/2013Get Alert
03/22/20134$0.493.41%03/21/201303/26/201303/28/2013Get Alert
12/14/20124$0.574.08%12/13/201212/18/201212/24/2012Get Alert
09/24/20124$0.856.33%09/21/201209/26/201209/28/2012Get Alert
06/20/20124$0.645.19%06/19/201206/22/201206/27/2012Get Alert
03/23/20124$0.574.44%03/22/201203/27/201203/29/2012Get Alert

FAQ

Q

When does iShares Asia / Pacific Dividend 30 Index Fund Exchange Traded Fund (DVYA) pay its next dividend?

A

There are no upcoming dividends for iShares Asia / Pacific Dividend 30 Index Fund Exchange Traded Fund.The last dividend paid out to investors was $0.66 on September 19, 2025

Q

What date did I need to own iShares Asia / Pacific Dividend 30 Index Fund Exchange Traded Fund (DVYA) stock to get the latest dividend?

A

There are no upcoming dividends for iShares Asia / Pacific Dividend 30 Index Fund Exchange Traded Fund.The last dividend paid last dividend payout September 19, 2025 and was $0.66.

Q

How much per share is the next iShares Asia / Pacific Dividend 30 Index Fund Exchange Traded Fund (DVYA) dividend?

A

There are no upcoming dividends for iShares Asia / Pacific Dividend 30 Index Fund Exchange Traded Fund.The last dividend paid out to investors was $0.66 on September 19, 2025

Q

What is the dividend yield for iShares Asia / Pacific Dividend 30 Index Fund Exchange Traded Fund (ARCA:DVYA)?

A

iShares Asia / Pacific Dividend 30 Index Fund Exchange Traded Fund has no upcoming dividends reported. The last reported dividend for iShares Asia / Pacific Dividend 30 Index Fund Exchange Traded Fund (DVYA) was $0.66 and was paid out on September 19, 2025.

Q

What was the announcement date for the next iShares Asia / Pacific Dividend 30 Index Fund Exchange Traded Fund (DVYA) dividend?

A

There are no upcoming dividends announced for iShares Asia / Pacific Dividend 30 Index Fund Exchange Traded Fund. The last dividend was announced on September 15, 2025

Q

Why is iShares Asia / Pacific Dividend 30 Index Fund Exchange Traded Fund (DVYA) dividend considered low?

A

There is not enough data to provide an evaluation.

Q

Is iShares Asia / Pacific Dividend 30 Index Fund Exchange Traded Fund (DVYA) a good dividend?

A

There is not enough data to provide an evaluation.

Q

Is the iShares Asia / Pacific Dividend 30 Index Fund Exchange Traded Fund (DVYA) dividend sustainable?

A

There is not enough data to provide an evaluation.

Browse Dividends on all stocks.