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HYS ETF Dividend

Dividend Per Share

$0.60
+$0.05+9.09%

01 November 2024

Dividend Per Share (Next)

Not announced

HYS Dividend Chart

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TTM Dividend Per Share

$6.32
$0.000.00%

03 December 2024

HYS TTM Dividend Per Share Chart

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HYS Dividend Performance

PeriodPeriodLastLastTTMTTM
RecentMost recent+9.1%-6.5%
1 y1 year+17.6%+6.4%
3 y3 years+130.8%+63.7%
5 y5 years+36.4%+29.2%

HYS Dividend High & Low

PeriodPeriodLast vs highLast vs highLast vs lowLast vs lowTTM vs highTTM vs highTTM vs lowTTM vs low
1 y1 year-3.2%+17.6%-13.5%+7.5%
3 y3 years-3.2%+130.8%-13.5%+83.7%
5 y5 years-3.2%+130.8%-13.5%+83.7%
alltimeall time-37.3%+269.2%-13.5%+3789.2%

HYS Dividend Per Share History

DateLastAnnualTTM
Dec 2024
-
-
$6.32(-7.5%)
Nov 2024
$0.60(+9.1%)
-
$6.83(-6.6%)
Oct 2024
$0.55(-11.3%)
-
$7.31(+8.1%)
Sept 2024
$0.62(+6.9%)
-
$6.76(+2.0%)
Aug 2024
$0.58(+5.5%)
-
$6.63(-5.7%)
July 2024
$0.55(-8.3%)
-
$7.03(+8.5%)
June 2024
$0.60(0.0%)
-
$6.48(+1.3%)
May 2024
$0.60(+7.1%)
-
$6.40(-5.3%)
Apr 2024
$0.56(-1.8%)
-
$6.76(+9.0%)
Mar 2024
$0.57(+7.5%)
-
$6.20(+2.0%)
Feb 2024
$0.53(-5.4%)
-
$6.08(-6.5%)
Dec 2023
$0.56(+9.8%)
-
$6.50(+9.4%)
Dec 2023
$0.51(-3.8%)
-
$5.94(+1.0%)
Nov 2023
$0.53(-3.6%)
-
$5.88(-4.7%)
Oct 2023
$0.55(+12.2%)
-
$6.17(+9.8%)
Sept 2023
$0.49(+6.5%)
-
$5.62(+1.3%)
Aug 2023
$0.46(-11.5%)
-
$5.55(+2.0%)
July 2023
$0.52(0.0%)
-
$5.44(+2.3%)
June 2023
$0.52(+8.3%)
-
$5.32(-2.7%)
May 2023
$0.48(0.0%)
-
$5.47(+9.6%)
Apr 2023
$0.48(+6.7%)
-
$4.99(+3.7%)
Mar 2023
$0.45(+2.3%)
-
$4.81(+3.4%)
Feb 2023
$0.44(-13.7%)
-
$4.65(-1.7%)
Dec 2022
$0.51(+13.3%)
-
$4.73(+12.1%)
Dec 2022
$0.45(+18.4%)
-
$4.22(+4.7%)
Nov 2022
$0.38(-13.6%)
-
$4.03(+3.1%)
Oct 2022
$0.44(+4.8%)
-
$3.91(+4.8%)
Sept 2022
$0.42(+20.0%)
-
$3.73(-3.9%)
Aug 2022
$0.35(-12.5%)
-
$3.88(+9.9%)
July 2022
$0.40(+17.6%)
-
$3.53(+2.3%)
June 2022
$0.34(+3.0%)
-
$3.45(-9.2%)
May 2022
$0.33(+10.0%)
-
$3.80(+9.5%)
Apr 2022
$0.30(+3.4%)
-
$3.47(-2.0%)
Mar 2022
$0.29(+11.5%)
-
$3.54(-1.9%)
Feb 2022
$0.26(0.0%)
-
$3.61(-2.7%)
Dec 2021
$0.26(0.0%)
-
$3.71(-3.9%)
Dec 2021
$0.26(0.0%)
-
$3.86(-10.6%)
Nov 2021
$0.26(0.0%)
-
$4.32(+6.4%)
Oct 2021
$0.26(0.0%)
-
$4.06(-3.1%)
Sept 2021
$0.26(-16.1%)
-
$4.19(-8.9%)
Aug 2021
$0.31(-3.1%)
-
$4.60(+7.2%)
July 2021
$0.32(-3.0%)
-
$4.29(-0.7%)
June 2021
$0.33(-8.3%)
-
$4.32(-1.6%)
May 2021
$0.36(-2.7%)
-
$4.39(+0.5%)
Apr 2021
$0.37(+2.8%)
-
$4.37(-7.8%)
Mar 2021
$0.36(0.0%)
-
$4.74(-1.3%)
Feb 2021
$0.36(-12.2%)
-
$4.80(+8.1%)
Dec 2020
$0.41(+10.8%)
-
$4.44(-8.8%)
Dec 2020
$0.37(+5.7%)
-
$4.87(+8.2%)
Nov 2020
$0.35(-10.3%)
-
$4.50(-0.9%)
Oct 2020
$0.39(+8.3%)
-
$4.54(-9.2%)
Sept 2020
$0.36(+16.1%)
-
$5.00(+7.8%)
Aug 2020
$0.31(-11.4%)
-
$4.64(-2.3%)
July 2020
$0.35(-12.5%)
-
$4.75(-9.2%)
June 2020
$0.40(+17.6%)
-
$5.23(+8.3%)
May 2020
$0.34(-5.6%)
-
$4.83(-1.6%)
Apr 2020
$0.36(-5.3%)
-
$4.91(-0.8%)
Mar 2020
$0.38(-9.5%)
-
$4.95(-0.4%)
Feb 2020
$0.42(+5.0%)
-
$4.97(0.0%)
Dec 2019
$0.40(-9.1%)
-
$4.97(-6.9%)
Dec 2019
$0.44(+12.8%)
-
$5.34(+9.0%)
Nov 2019
$0.39(+2.6%)
-
$4.90(-1.2%)
Oct 2019
$0.38(-19.1%)
-
$4.96(-7.5%)
Sept 2019
$0.47(+11.9%)
-
$5.36(+9.6%)
Aug 2019
$0.42(+5.0%)
-
$4.89(-7.6%)
July 2019
$0.40(-7.0%)
-
$5.29(+8.2%)
June 2019
$0.43(+2.4%)
-
$4.89(+0.6%)
May 2019
$0.42(+5.0%)
-
$4.86(-6.0%)
Apr 2019
$0.40(0.0%)
-
$5.17(+8.4%)
Mar 2019
$0.40(-4.8%)
-
$4.77(+0.3%)
Feb 2019
$0.42(+31.3%)
-
$4.75(+0.5%)
Dec 2018
$0.32(-28.9%)
-
$4.73(-1.4%)
Dec 2018
$0.45(0.0%)
-
$4.80(+1.4%)
Nov 2018
$0.45(+25.0%)
-
$4.73(-6.5%)
Oct 2018
$0.36(-14.3%)
-
$5.06(+7.7%)
Sept 2018
$0.42(+5.0%)
-
$4.70(+0.2%)
Aug 2018
$0.40(-4.8%)
-
$4.69(-8.6%)
July 2018
$0.42(+5.0%)
-
$5.13(+8.9%)
June 2018
$0.40(+2.6%)
-
$4.71(-0.7%)
May 2018
$0.39(+14.7%)
-
$4.74(-9.4%)
Apr 2018
$0.34(-11.7%)
-
$5.23(+6.9%)
Mar 2018
$0.39(-2.5%)
-
$4.89(-1.4%)
DateLastAnnualTTM
Feb 2018
$0.40(+2.3%)
-
$4.96(-1.4%)
Dec 2017
$0.39(+0.9%)
-
$5.03(-1.3%)
Dec 2017
$0.38(+0.8%)
-
$5.09(-0.5%)
Nov 2017
$0.38(-5.0%)
-
$5.12(-9.2%)
Oct 2017
$0.40(-2.4%)
-
$5.64(+7.6%)
Sept 2017
$0.41(0.0%)
-
$5.24(-0.8%)
Aug 2017
$0.41(-4.7%)
-
$5.28(-0.4%)
July 2017
$0.43(-0.7%)
-
$5.30(+0.2%)
June 2017
$0.43(+1.4%)
-
$5.29(-6.6%)
May 2017
$0.43(-6.2%)
-
$5.66(+8.2%)
Apr 2017
$0.46(+0.7%)
-
$5.24(+1.1%)
Mar 2017
$0.45(-2.4%)
-
$5.18(+0.4%)
Feb 2017
$0.46(+2.9%)
-
$5.16(-6.8%)
Dec 2016
$0.45(+9.8%)
-
$5.54(+8.8%)
Dec 2016
$0.41(-6.8%)
-
$5.09(-8.1%)
Nov 2016
$0.44(-4.3%)
-
$5.54(+8.6%)
Oct 2016
$0.46(+2.2%)
-
$5.10(+1.0%)
Sept 2016
$0.45(+4.7%)
-
$5.05(+1.2%)
Aug 2016
$0.43(+2.4%)
-
$4.99(+0.4%)
July 2016
$0.42(+6.0%)
-
$4.97(0.0%)
June 2016
$0.40(-3.3%)
-
$4.97(+0.3%)
May 2016
$0.41(+2.5%)
-
$4.95(+0.6%)
Apr 2016
$0.40(-7.0%)
-
$4.92(+0.8%)
Mar 2016
$0.43(0.0%)
-
$4.88(+1.0%)
Feb 2016
$0.43(+4.9%)
-
$4.83(+1.0%)
Dec 2015
$0.41(-4.7%)
-
$4.78(-17.5%)
Dec 2015
$0.43(0.0%)
-
$5.80(+0.9%)
Nov 2015
$0.43(+4.9%)
-
$5.75(+1.2%)
Sept 2015
$0.41(+5.1%)
-
$5.68(+1.2%)
Aug 2015
$0.39(-4.9%)
-
$5.61(+0.9%)
July 2015
$0.41(-2.4%)
-
$5.56(+1.3%)
June 2015
$0.42(+10.5%)
-
$5.49(-5.7%)
May 2015
$0.38(0.0%)
-
$5.82(+7.0%)
Apr 2015
$0.38(+5.6%)
-
$5.44(-0.1%)
Mar 2015
$0.36(-5.3%)
-
$5.44(-6.5%)
Feb 2015
$0.38(0.0%)
-
$5.82(-0.3%)
Jan 2015
$0.38(-19.1%)
-
$5.84(+7.0%)
Dec 2014
$0.47(-50.9%)
-
$5.46(-3.3%)
Dec 2014
$0.96(+151.7%)
-
$5.65(+10.3%)
Nov 2014
$0.38(+5.6%)
-
$5.12(+8.0%)
Oct 2014
$0.36(+5.9%)
-
$4.74(-0.9%)
Sept 2014
$0.34(0.0%)
-
$4.79(-8.1%)
Aug 2014
$0.34(0.0%)
-
$5.21(+7.0%)
July 2014
$0.34(-5.6%)
-
$4.87(+0.4%)
June 2014
$0.36(-7.7%)
-
$4.85(-6.9%)
May 2014
$0.39(+1.0%)
-
$5.21(+8.1%)
Apr 2014
$0.39(+4.3%)
-
$4.82(+0.8%)
Mar 2014
$0.37(0.0%)
-
$4.78(-0.4%)
Feb 2014
$0.37(-7.5%)
-
$4.80(-0.8%)
Jan 2014
$0.40(0.0%)
-
$4.84(-0.8%)
Dec 2013
$0.40(+57.4%)
-
$4.88(-1.6%)
Dec 2013
$0.25(-40.9%)
-
$4.96(-3.8%)
Nov 2013
$0.43(+6.2%)
-
$5.16(+9.1%)
Oct 2013
$0.41(+3.8%)
-
$4.72(-0.5%)
Sept 2013
$0.39(+5.4%)
-
$4.75(-11.0%)
Aug 2013
$0.37(+15.6%)
-
$5.34(+7.4%)
July 2013
$0.32(-11.1%)
-
$4.97(-11.8%)
June 2013
$0.36(0.0%)
-
$5.63(+6.8%)
May 2013
$0.36(+2.9%)
-
$5.28(-1.9%)
Apr 2013
$0.35(-10.3%)
-
$5.38(-8.2%)
Mar 2013
$0.39(-4.9%)
-
$5.86(-1.3%)
Feb 2013
$0.41(-6.8%)
-
$5.93(+7.4%)
Jan 2013
$0.44(-8.3%)
-
$5.53(-8.6%)
Dec 2012
$0.48(+6.7%)
-
$6.04(+8.6%)
Nov 2012
$0.45(+4.7%)
-
$5.57(-1.5%)
Oct 2012
$0.43(-2.3%)
-
$5.65(-8.0%)
Sept 2012
$0.44(-18.5%)
-
$6.14(+7.7%)
Aug 2012
$0.54(+8.0%)
-
$5.70(+0.3%)
July 2012
$0.50(+3.1%)
-
$5.68(-1.4%)
June 2012
$0.48(+5.4%)
-
$5.76(+9.2%)
May 2012
$0.46(+7.0%)
-
$5.28(+9.6%)
Apr 2012
$0.43(+7.5%)
-
$4.82(+9.8%)
Mar 2012
$0.40(-14.9%)
-
$4.39(+10.0%)
Feb 2012
$0.47(-2.1%)
-
$3.99(+13.4%)
Jan 2012
$0.48(0.0%)
-
$3.52(+15.8%)
Dec 2011
$0.48(-10.3%)
-
$3.04(+18.8%)
Nov 2011
$0.53(+29.3%)
-
$2.56(+26.5%)
Oct 2011
$0.41(-18.2%)
-
$2.02(+25.7%)
Sept 2011
$0.51(-2.8%)
-
$1.61(+46.0%)
Aug 2011
$0.52(+24.5%)
-
$1.10(+89.6%)
July 2011
$0.42(+157.4%)
-
$0.58(+257.4%)
June 2011
$0.16
-
$0.16

FAQ

  • Does PIMCO 0-5 Year High Yield Corporate Bond Index Exchange-Traded Fund pay dividends?
  • How often does PIMCO 0-5 Year High Yield Corporate Bond Index Exchange-Traded Fund pay dividends?
  • What is PIMCO 0-5 Year High Yield Corporate Bond Index Exchange-Traded Fund TTM dividend per share?
  • What is the all time high TTM dividend per share for PIMCO 0-5 Year High Yield Corporate Bond Index Exchange-Traded Fund?
  • What is HYS TTM dividend per share year-to-date change?
  • What is PIMCO 0-5 Year High Yield Corporate Bond Index Exchange-Traded Fund TTM dividend per share year-on-year change?
  • When will PIMCO 0-5 Year High Yield Corporate Bond Index Exchange-Traded Fund pay dividend?

Does PIMCO 0-5 Year High Yield Corporate Bond Index Exchange-Traded Fund pay dividends?

Yes, HYS pays dividend. Last payment was $0.60 per share, with an ex-dividend date on 01 November 2024

How often does PIMCO 0-5 Year High Yield Corporate Bond Index Exchange-Traded Fund pay dividends?

Over the past 365 days, PIMCO 0-5 Year High Yield Corporate Bond Index Exchange-Traded Fund paid dividends 11 times

What is PIMCO 0-5 Year High Yield Corporate Bond Index Exchange-Traded Fund TTM dividend per share?

The current TTM dividend per share of HYS is $6.32

What is the all time high TTM dividend per share for PIMCO 0-5 Year High Yield Corporate Bond Index Exchange-Traded Fund?

PIMCO 0-5 Year High Yield Corporate Bond Index Exchange-Traded Fund all-time high TTM dividend per share is $7.31

What is HYS TTM dividend per share year-to-date change?

PIMCO 0-5 Year High Yield Corporate Bond Index Exchange-Traded Fund TTM dividend per share has changed by +$0.33 (+5.51%) since the beginning of the year

What is PIMCO 0-5 Year High Yield Corporate Bond Index Exchange-Traded Fund TTM dividend per share year-on-year change?

Over the past year, HYS TTM dividend per share has changed by +$0.38 (+6.40%)

When will PIMCO 0-5 Year High Yield Corporate Bond Index Exchange-Traded Fund pay dividend?

Next dividend for HYS has not been announced yet