Nyse Euronext announces the payment for the following exchange-traded funds….
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Ticker – Cusip – Fund Name – Distribution Rate
- PEY – 73935X302 – Powershares High Yield Dividend Achievers – $0.028490
- PGF – 73935X229 – Powershares Financial Preferred – $0.099320
- PCY – 73936T573 – Powershares Emerging Market Sovereign Debt Port – $0.132800
- PLW – 73936T524 – Powershares 1-30 Laddered Treasury Portfolio – $0.082000
- PZA – 73936T474 – Powershares Insured National Muni Bond Portfolio – $0.095460
- PZT – 73936T458 – Powershares Insured NY Muni Bond Portfolio – $0.088530
- PWZ – 73936T441 – Powershares Insured CA Muni Bond Portfolio – $0.090230
- PHB – 73936T557 – Powershares High Yield USD Bond Portfolio – $0.102080
- PVI – 73936T433 – Powershares Weekly VRDO Tax-Free Portfolio – $0.015320
- PGX – 73936T565 – Powershares Aggregate Preferred Portfolio – $0.077900
- $0.033200 PLK – 73935B409 – Powershares Active Low Duration Fund 01/19/2011 01/14/2011 01/31/2011
- BAB – 73937B407 – Powershares Build America Bond Portfolio – $0.125950
- PCEF – 73936Q843 – Powershares CEF Income Composite Portfolio – $0.166620
- PICB – 73936Q835 – Powershares International Corporate Bond Portfolio – $0.078000
- KBWD – 73936Q793 – Powershares KBW High Yield Dividend Financial Portfolio – $0.192010
- $0.120700 KBWY – 73936Q819 – Powershares KBW Premium Yield Equity REIT Portfolio 01/19/2011 01/14/2011 01/31/2011
Record Date: 01/19/2011
Ex – Date: 01/14/2011
Payable Date: 01/31/2011
Source: ETFWorld – NYSE Arca
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