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US Medical Devices Ishares ETF (IHI)

US Medical Devices Ishares ETF (IHI)
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Overview

Name iShares U.S. Medical Devices ETF
Fund Family BlackRock iShares
Underlying Index Dow Jones U.S. Select Medical Equipment Index
Inception Date 05/01/06
First Trade Date 05/05/06
Leverage Long
Asset Class Equity

Description:

The iShares U.S. Medical Devices ETF seeks to track the investment results of an index composed of U.S. equities in the medical devices sector. The Fund seeks investment results that correspond generally to the price and yield performance of the Dow Jones U.S. Select Medical Equipment Index.

Investment Information

Alpha 10.77
60-Month Beta 0.85
Standard Deviation +1.94
Shares Outstanding, K 75,450.00
Managed Assets, $K 4,371,798.80 K
Net Asset Value 57.94
First Trade Price 49.26
P/E Ratio 34.19
Management Fee 0.39%
Options Yes
Latest Dividend 0.107
Last Dividend Date 12/17/24
Annual Dividend 0.27
Annual Dividend Yield 0.47%
Latest Split 6-1
Split Date 07/19/21
1-Year Return 12.02%
3-Year Return -10.25%
5-Year Return 33.17%
Management Expense Ratio 0.39%

IHI Dividends

Date Value
12/17/24 $0.1070
09/25/24 $0.0800
06/11/24 $0.0530
03/21/24 $0.0310
12/20/23 $0.0970
09/26/23 $0.1160
06/07/23 $0.0530
03/23/23 $0.0210
12/13/22 $0.0730
09/26/22 $0.1100
06/09/22 $0.0480
03/24/22 $0.0050
12/30/21 $0.0060
12/13/21 $0.0740
09/24/21 $0.0290
06/10/21 $0.0510
03/25/21 $0.0220
12/14/20 $0.4050
09/23/20 $0.1980
06/15/20 $0.1900
03/25/20 $0.0210
12/30/19 $0.0370
12/16/19 $0.3990
09/24/19 $0.1890
06/17/19 $0.2530
12/17/18 $0.2930
09/26/18 $0.1050
06/26/18 $0.1110
03/22/18 $0.0190
12/19/17 $0.2710
09/26/17 $0.1900
06/27/17 $0.0540
03/24/17 $0.1260
12/21/16 $0.3750
09/26/16 $0.1550
06/21/16 $0.1540
03/23/16 $0.0460
12/24/15 $1.0740
09/25/15 $0.2240
06/24/15 $0.1852
03/25/15 $0.0847
12/29/14 $0.0230
12/24/14 $0.2535
09/24/14 $0.1622
06/24/14 $0.1970
03/25/14 $0.0966
12/23/13 $0.1729
09/24/13 $0.0746
06/26/13 $0.0552
12/19/12 $0.2354
09/25/12 $0.0740
06/19/12 $0.0878
03/26/12 $0.0357
12/22/11 $0.0791
09/23/11 $0.0445
06/24/11 $0.0234
03/25/11 $0.0083
12/22/10 $0.0340
03/25/10 $0.0481
12/23/09 $0.0370
12/23/08 $0.0400
06/22/06 $0.0010
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