BlackRock (BLK) last ex-dividend date was on Dec 05, 2024. BlackRock distributed $5.099 per share that represents a 1.92% dividend yield.
Ex-dividend Date Sep 9 in 4 days Ex-dividend Amount $5.10 Payment Date Sep 23 in 18 days Payout Type Cash Dividend Yield 0 results available. Select is focused ,type to refine list, press Down to open the menu, BlackRock Inc 1 Month ...
Ex-Dividend Date June 7, 2023 1y Target Est 760.29 USD BLK Valuation Measures Enterprise Value 108.09B USD Trailing P/E 22.038736 Forward P/E 17.695696 PEG Ratio (5 yr expected) 1.99 Price/Sales (ttm) 6.1152864 Price/Book (mrq) 2.8269727 Enterprise Value/Revenue 6.206 Enterprise Value/EBITDA...
Events arrow_drop_down Adjustments Splits & Divs arrow_drop_down Scale arrow_drop_down Type Line arrow_drop_down BLK Created with Highcharts 8.2.216. Sep23. Sep30. Sep7. Oct14. Oct21. Oct28. Oct4. Nov11. Nov18. Nov25. Nov2. Dec16. Sep30. Sep14. Oct28. Oct11. Nov25. No...
Last Dividend Ex-Date Aug 27, 2024 Dividend Yield10.55% Show more Star Bulk Carriers News Market News Options Volatility and Implied Earnings Moves This Week, November 18 – November 21, 2024 7h ago DE IQ The Fly Star Bulk Carriers downgraded to Hold from Buy at Stifel ...
Trade Date + 3 days Bloomberg Ticker BGIXUKD Portfolio Characteristics Number of Holdings as of 31/Oct/2024 337 Standard Deviation (3y) as of 31/Oct/2024 14.35% P/E Ratio as of 31/Oct/2024 15.51 12 Month Trailing Dividend Distribution Yield ...
Ex-Tag Gesamtausschüttung 30.Aug.2024 USD 0.1094 31.Mai2024 USD 0.0725 29.Feb.2024 USD 0.0290 30.Nov.2023 USD 0.0385 View full table Renditen Kalenderjahr Angaben zu einzelnen Jahren Annualisiert Kumulativ Diese Grafik zeigt die Wertentwicklung des Fonds als prozentualer Verlust od...
FTSE EuroBIG ex Domestic Treasury Index (EUR) Initial Charge 0.00% Management Fee 0.17% Performance Fee - Domicile Ireland Management Company BlackRock Asset Management Ireland Limited Dealing Settlement Trade Date + 3 days Bloomberg Ticker BRECEEI ...
12 Monate nachlaufende Dividendenausschüttungsrendite Per 30.Sept.2024 1.33% 3J-Beta Per 30.Sept.2024 1.00 KBV Per 30.Aug.2024 3.39x Nachhaltigkeitseigenschaften Nachhaltigkeitsmerkmale sind spezifische zusätzliche Kennzahlen, die es Anlegern zusammen mit anderen Kennzahlen und Informati...
Ex-DateTotal Distribution 27-Feb-15GBP 0.0500 Returns Calendar Year Annualised Cumulative Discrete This chart shows the fund’s performance as the percentage loss or gain per year over the last 10 years against its benchmark. It can help you to assess how the fund has been managed in the ...