PowerShares Emerging Markets USD Bond(PEMD) USD 15.135
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.31%USD 0.199USD0.1992023-03-16
20224.90%USD 0.742USD0.19332022-12-15
USD0.17942022-09-15
USD0.18272022-06-16
USD0.18612022-03-17
20214.89%USD 0.74USD0.19292021-12-16
USD0.18942021-09-16
USD0.17262021-06-17
USD0.18552021-03-18
20205.89%USD 0.892USD0.18612020-12-10
USD0.19592020-09-17
USD0.17282020-06-18
0.16862020-03-26
USD0.16862020-03-12
20196.54%USD 0.9890.24522019-12-12
0.2482019-09-19
0.22852019-06-20
0.26752019-03-14
20186.52%USD 0.9870.23172018-12-13
0.25432018-09-20
0.24742018-06-14
USD0.25352018-03-15