PowerShares Emerging Markets USD Bond(PEMD) EUR 13.792
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.15%EUR 0.159USD0.187372023-03-16
20224.32%EUR 0.595USD0.181492022-12-15
USD0.179482022-09-15
USD0.174072022-06-16
USD0.167512022-03-17
20213.88%EUR 0.535USD0.17062021-12-16
USD0.161012021-09-16
USD0.144532021-06-17
USD0.155562021-03-18
20203.84%EUR 0.53USD0.153432020-12-10
USD0.165912020-09-17
USD0.154022020-06-18
USD0.152152020-03-12
20195.43%EUR 0.749USD0.220552019-12-12
USD0.22432019-09-19
USD0.202372019-06-20
USD0.236632019-03-14
20185.15%EUR 0.711USD0.204192018-12-13
USD0.21642018-09-20
USD0.212362018-06-14
USD0.205752018-03-15