OLANDA 15

Euronext Amsterdam: dividend detachments for 22 ETF

NYSE Euronext announces dividend detachments on the following ETFs..


    Sign up for our weekly Newsletter and receive the latest ETF and ETC news.

    Click here to register for your free copy


    ISHARES II P.L.C. – iShares SP Emerging Markets Infrastructure
    Ex date: 26/10/2011
    Record date: 28/10/2011
    Payment Date: 23/11/2011
    Gross Dividend: 0,5057 USD
    Trading Name: ISHARES SP EM INFR Symbol: IEMI
    ISIN Code: IE00B2NPL135 Euronext Code: IE00B2NPL135

    ISHARES II P.L.C. – iShares FTSE EPRA/NAREIT US Property Yield Fund
    Ex date: 26/10/2011
    Record date: 28/10/2011
    Payment Date: 23/11/2011
    Gross Dividend: 0,1282 USD
    Trading Name: ISHARES PROP US Symbol: IUSP
    ISIN Code: IE00B1FZSF77 Euronext Code: IE00B1FZSF77

    ISHARES II P.L.C. – iShares DJ Euro STOXX 50
    Ex date: 26/10/2011
    Record date: 28/10/2011
    Payment Date: 23/11/2011
    Gross Dividend: 0,0858 EUR
    Trading Name: ISHARES EURO
    STX50
    Symbol: EUEA
    ISIN Code: IE0008471009 Euronext Code: IE0008471009

    ISHARES II P.L.C. – iShares FTSE EPRA/NAREIT Asia Property Yield Fund
    Ex date: 26/10/2011
    Record date: 28/10/2011
    Payment Date: 23/11/2011
    Gross Dividend: 0,2174 USD
    Trading Name: ISHARES PROP ASIA Symbol: IASP
    ISIN Code: IE00B1FZS244 Euronext Code: IE00B1FZS244

    ISHARES II P.L.C. – iShares FTSE EPRA/NAREIT Developed Markets Property Yield Fund
    Ex date: 26/10/2011
    Record date: 28/10/2011
    Payment Date: 23/11/2011
    Gross Dividend: 0,1277 USD
    Trading Name: ISHARES PROP GLO Symbol: IWDP
    ISIN Code: IE00B1FZS350 Euronext Code: IE00B1FZS350

    ISHARES II P.L.C. – iShares FTSE/Macquarie Global Infrastructure 100
    Ex date: 26/10/2011
    Record date: 28/10/2011
    Payment Date: 23/11/2011
    Gross Dividend: 0,1491 USD
    Trading Name: ISHARES INFRA GLO Symbol: INFR
    ISIN Code: IE00B1FZS467 Euronext Code: IE00B1FZS467

    ISHARES II P.L.C. – iShares MSCI Turkey
    Ex date: 26/10/2011
    Record date: 28/10/2011
    Payment Date: 23/11/2011
    Gross Dividend: 0,2991 USD
    Trading Name: ISHARES TURKEY Symbol: ITKY
    ISIN Code: IE00B1FZS574 Euronext Code: IE00B1FZS574

    ISHARES II P.L.C. – iShares Government Bond 3-5
    Ex date: 26/10/2011
    Record date: 28/10/2011
    Payment Date: 23/11/2011
    Gross Dividend: 1,8641 EUR
    Trading Name: ISHARES E GOV3-5 Symbol: IBGX
    ISIN Code: IE00B1FZS681 Euronext Code: NSCNL00IBGX2

    ISHARES II P.L.C. – iShares Government Bond 15-30
    Ex date: 26/10/2011
    Record date: 28/10/2011
    Payment Date: 23/11/2011
    Gross Dividend: 3,1912 EUR
    Trading Name: ISHARES E GOV15-30 Symbol: IBGL
    ISIN Code: IE00B1FZS913 Euronext Code: NSCNL00IBGL7

    ISHARES II P.L.C. – iShares DJ STOXX 50
    Ex date: 26/10/2011
    Record date: 28/10/2011
    Payment Date: 23/11/2011
    Gross Dividend: 0,1161 EUR
    Trading Name: ISHARES STOXX 50 Symbol: EUNA
    ISIN Code: IE0008470928 Euronext Code: IE0008470928

    ISHARES II P.L.C. – iShares SP Listed Private Equity
    Ex date: 26/10/2011
    Record date: 28/10/2011
    Payment Date: 23/11/2011
    Gross Dividend: 0,2451 USD
    Trading Name: ISHARES PRIVATE EQSymbol: IPRV
    ISIN Code: IE00B1TXHL60 Euronext Code: IE00B1TXHL60

    ISHARES II P.L.C. – iShares SP Global Water
    Ex date: 26/10/2011
    Record date: 28/10/2011
    Payment Date: 23/11/2011
    Gross Dividend: 0,2766 USD
    Trading Name: ISHARES WATER Symbol: IH2O
    ISIN Code: IE00B1TXK627 Euronext Code: IE00B1TXK627

    ISHARES II P.L.C. – iShares FTSE BRIC 50
    Ex date: 26/10/2011
    Record date: 28/10/2011
    Payment Date: 23/11/2011
    Gross Dividend: 0,5635 USD
    Trading Name: ISHARES BRIC 50 Symbol: BRIC
    ISIN Code: IE00B1W57M07 Euronext Code: IE00B1W57M07

    ISHARES II P.L.C. – iShares SP Global Clean Energy
    Ex date: 26/10/2011
    Record date: 28/10/2011
    Payment Date: 23/11/2011
    Gross Dividend: 0,1453 USD
    Trading Name: ISHARES CLEAN
    NRGY
    Symbol: INRG
    ISIN Code: IE00B1XNHC34 Euronext Code: IE00B1XNHC34

    ISHARES II P.L.C. – iShares SP Global Timber Forestry
    Ex date: 26/10/2011
    Record date: 28/10/2011
    Payment Date: 23/11/2011
    Gross Dividend: 0,1422 USD
    Trading Name: ISHARES TIMBER Symbol: WOOD
    ISIN Code: IE00B27YCF74 Euronext Code: IE00B27YCF74

    ISHARES II P.L.C. – iShares MSCI World Islamic
    Ex date: 26/10/2011
    Record date: 28/10/2011
    Payment Date: 23/11/2011
    Gross Dividend: 0,232 USD
    Amounts for Amsterdam are NET, Total Rate 0.2320 Purified Portion 0.2214 Unpurified
    Portion 0.0106
    Trading Name: ISHARES ISLAM
    WRLD
    Symbol: ISWD
    ISIN Code: IE00B27YCN58 Euronext Code: IE00B27YCN58

    ISHARES II P.L.C. – iShares MSCI EM Islamic
    Ex date: 26/10/2011
    Record date: 28/10/2011
    Payment Date: 23/11/2011
    Gross Dividend: 0,3272 USD
    Amounts for Amsterdam are NET, Total Rate 0.3272 Purified Portion 0.3095 Unpurified
    Portion 0.0177
    Trading Name: ISHARES ISLAM EM Symbol: ISEM
    ISIN Code: IE00B27YCP72 Euronext Code: IE00B27YCP72

    ISHARES II P.L.C. – iShares MSCI USA Islamic
    Ex date: 26/10/2011
    Record date: 28/10/2011
    Payment Date: 23/11/2011
    Gross Dividend: 0,1739 USD
    Amounts for Amsterdam are NET, Total Rate 0.1739 Purified Portion 0.1650 Unpurified
    Portion 0.0089
    Trading Name: ISHARES ISLAM USA Symbol: ISUS
    ISIN Code: IE00B296QM64 Euronext Code: IE00B296QM64

    ISHARES II P.L.C. – iShares MSCI Latin America
    Ex date: 26/10/2011
    Record date: 28/10/2011
    Payment Date: 23/11/2011
    Gross Dividend: 0,4258 USD
    Trading Name: ISHARES LATIN AM Symbol: LTAM
    ISIN Code: IE00B27YCK28 Euronext Code: IE00B27YCK28

    ISHARES II P.L.C. – iShares Government Bond 7-10
    Ex date: 26/10/2011
    Record date: 28/10/2011
    Payment Date: 23/11/2011
    Gross Dividend: 2,1175 EUR
    Trading Name: ISHARES E GOV7-10 Symbol: IBGM
    ISIN Code: IE00B1FZS806 Euronext Code: NSCNL00IBGM5

    ISHARES II P.L.C. – iShares Treasury Bond 7-10
    Ex date: 26/10/2011
    Record date: 28/10/2011
    Payment Date: 23/11/2011
    Gross Dividend: 2,2814 USD
    Trading Name: ISHARES US T 7-10 Symbol: BTMA
    ISIN Code: IE00B1FZS798 Euronext Code: NSCNL00BTMA5

    ISHARES II P.L.C. – iShares MSCI Europe
    Ex date: 26/10/2011
    Record date: 28/10/2011
    Payment Date: 23/11/2011
    Gross Dividend: 0,0646 EUR
    Trading Name: ISHARES EUROPE Symbol: IMEU
    ISIN Code: IE00B1YZSC51 Euronext Code: IE00B1YZSC51


    Source: ETFWorld – Euronext



    Subscribe to Our Newsletter
    I have read the Privacy policyand I authorize the processing of my personal data for the purposes indicated therein.

    Newsletter ETFWorld.nl

    I have read the Privacy policyand I authorize the processing of my personal data for the purposes indicated therein.