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Int Rate Hedged High Yield Bond Ishares ETF (HYGH)

Int Rate Hedged High Yield Bond Ishares ETF (HYGH)
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Overview

Name iShares Interest Rate Hedged High Yield Bond ETF
Fund Family BlackRock iShares
Underlying Index iBoxx USD Liquid High Yield Interest Rate Hedged Index
Inception Date 05/29/14
First Trade Date 05/29/14
Leverage Long
Asset Class Portfolio-Multi Asset

Description:

The iShares Interest Rate Hedged High Yield Bond ETF seeks to mitigate the interest rate risk of a portfolio composed of U.S. dollar-denominated, high yield corporate bonds.

Investment Information

Alpha 2.75
60-Month Beta 0.38
Standard Deviation -1.32
Shares Outstanding, K 4,450.00
Managed Assets, $K 382,718.20 K
Net Asset Value 86.00
First Trade Price 100.06
P/E Ratio 0.00
Management Fee 0.52%
Options Yes
Latest Dividend 0.508
Last Dividend Date 12/03/24
Annual Dividend 6.96
Annual Dividend Yield 8.09%
1-Year Return 1.37%
3-Year Return -2.45%
5-Year Return -3.98%
Management Expense Ratio 0.52%

HYGH Dividends

Date Value
12/03/24 $0.5080
11/04/24 $0.5510
10/02/24 $0.5520
09/04/24 $0.5610
08/02/24 $0.5820
07/02/24 $0.5200
06/04/24 $0.5490
05/02/24 $0.6210
04/02/24 $0.5730
03/04/24 $0.6400
02/02/24 $0.5750
12/22/23 $0.7300
12/04/23 $0.6460
11/02/23 $0.7520
10/03/23 $0.6990
09/05/23 $0.7300
08/02/23 $0.6240
07/05/23 $0.5610
06/02/23 $0.5170
05/02/23 $0.4830
04/04/23 $0.5320
03/02/23 $0.6670
02/02/23 $0.5780
12/23/22 $0.5520
12/02/22 $0.5250
11/02/22 $0.4800
10/04/22 $0.5430
09/02/22 $0.5710
08/02/22 $0.4080
07/05/22 $0.3850
06/02/22 $0.3430
05/03/22 $0.3440
04/04/22 $0.3580
03/02/22 $0.3060
02/02/22 $0.2780
12/23/21 $0.3030
12/02/21 $0.2600
11/02/21 $0.2640
10/04/21 $0.2740
09/02/21 $0.2610
08/03/21 $0.2690
07/02/21 $0.2720
06/02/21 $0.2750
05/04/21 $0.2780
04/05/21 $0.2540
03/02/21 $0.2730
02/02/21 $0.3050
12/24/20 $0.2740
12/02/20 $0.3340
11/03/20 $0.3040
10/02/20 $0.2750
09/02/20 $0.2350
08/04/20 $0.2400
07/02/20 $0.2730
06/02/20 $0.2740
05/04/20 $0.3040
04/02/20 $0.3740
03/03/20 $0.3360
02/04/20 $0.2860
12/24/19 $0.2960
12/03/19 $0.3240
11/04/19 $0.3210
10/02/19 $0.3190
09/04/19 $0.3470
08/02/19 $0.3590
07/02/19 $0.3900
06/04/19 $0.3980
05/02/19 $0.3730
04/02/19 $0.3960
03/04/19 $0.3950
02/04/19 $0.4630
12/28/18 $0.8300
12/04/18 $0.4330
11/02/18 $0.4940
10/02/18 $0.4210
09/05/18 $0.4260
08/02/18 $0.4470
07/03/18 $0.4380
06/04/18 $0.4600
05/02/18 $0.4290
04/03/18 $0.3950
03/02/18 $0.3490
02/02/18 $0.3440
12/28/17 $0.3910
12/04/17 $0.3680
11/02/17 $0.3650
10/03/17 $0.3400
09/06/17 $0.3680
08/02/17 $0.3790
07/06/17 $0.4170
06/02/17 $0.3820
05/02/17 $0.3580
04/04/17 $0.3790
03/02/17 $0.3320
02/02/17 $0.2760
12/28/16 $0.3860
12/02/16 $0.4050
11/02/16 $0.3920
10/04/16 $0.3770
07/06/16 $0.3520
06/02/16 $0.3530
05/03/16 $0.3150
03/02/16 $0.3580
02/02/16 $0.1970
12/28/15 $0.5020
12/02/15 $0.3800
11/03/15 $0.3400
10/02/15 $0.3730
09/02/15 $0.3832
08/04/15 $0.4005
07/02/15 $0.3992
06/02/15 $0.4073
05/04/15 $0.4053
04/02/15 $0.4105
03/03/15 $0.3989
02/03/15 $0.3721
12/26/14 $0.3883
12/02/14 $0.4305
11/04/14 $0.4107
10/02/14 $0.4033
09/03/14 $0.4441
08/04/14 $0.4497
07/02/14 $0.8638
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