- AMERICA

Nyse Arca: Dividend declaration for many ETFs

Nyse Euronext is pleased to announce the payment for the following exchange-traded funds….

            CurrencyShares

            FXA  – 23129U101  – Rydex Australian Dollar CurrencyShares Trust  – $0.256310
            FXM  – 23130H107  – Rydex Mexican Peso CurrencyShares Trust  – $0.216670
            XRU  – 23130M106  – Rydex CurrencyShares Russian Ruble Trust  – $0.000000
            FXE  – 23130C108  – Rydex Euro CurrencyShares Trust  – $0.000000
            FXB  – 23129S106  – Rydex British Pound Sterling CurrencyShares Trust  – $0.000000
            FXF  – 23129V109  – Rydex Swiss Franc CurrencyShares Trust  – $0.000000
            FXC  – 23129X105  – Rydex Canadian Dollar CurrencyShares Trust  – $0.000000
            FXS  – 23129R108  – Rydex Swedish Krona CurrencyShares Trust  – $0.000000
            FXY  – 23130A102  – Rydex CurrencyShares Japanese Yen Trust  – $0.000000

            Record Date: 06/03/2010
            Ex – Date: 06/01/2010
            Payable Date: 06/08/2010


            iShares

            PFF  – 464288687  – iShares S&P U.S. Preferred Stock Index Fund  – $0.243633
            AGG  – 464287226  – iShares Barclays Aggregate Bond Fund  – $0.323604
            AGZ  – 464288166  – iShares Barclays Agency Bond Fund  – $0.166892
            CFT  – 464288620  – iShares Barclays Credit Bond Fund  – $0.383704
            CIU  – 464288638  – iShares Barclays Intermediate Credit Bond Fund  – $0.349981
            CLY  – 464289511  – iShares 10+ Year Credit Bond Fund  – $0.191889
            CMF  – 464288356  – iShares S&P California AMT-Free Municipal Bond Fund  – $0.349666
            CSJ  – 464288646  – iShares Barclays 1-3 Year Credit Bond Fund  – $0.213625
            EMB  – 464288281  – iShares JPMorgan USD Emerging  – Markets Bond Fund  – $0.449690
            GBF  – 464288596  – iShares Barclays Government/Credit Bond Index Fund  – $0.288650
            GLJ  – 464289479  – iShares 10+ Year Government/Credit Bond fund  – $0.208925
            GVI  – 464288612  – iShares Barclays Intermediate Government/Credit Bond F  – $0.264005
            HYG  – 464288513  – iShares iBoxx $ High Yield Corporate Bond Fund  – $0.642720
            IEF  – 464287440  – iShares Barclays 7-10 Year Treasury Bond Fund  – $0.259842
            IEI  – 464288661  – iShares Barclays 3-7 Year Treasury Bond Fund  – $0.231260
            LQD  – 464287242  – iShares iBoxx $ Investment Grade Corporate Bond Fund  – $0.443325
            MBB  – 464288588  – iShares Barclays MBS Bond Fund  – $0.334301
            MUAA  – 464289412  – iShares 2012 S&P AMT-Free Municipal Series  – $0.017843
            MUAB  – 464289388  – iShares 2013 S&P AMT-Free Municipal Series  – $0.043054
            MUAC  – 464289362  – iShares 2014 S&P AMT-Free Municipal Series  – $0.061155
            MUAD  – 464289339  – iShares 2015 S&P AMT-Free Municipal Series  – $0.063803
            MUAE  – 464289313  – iShares 2016 S&P AMT-Free Municipal Series  – $0.089738
            MUAF  – 464289271  – iShares 2017 S&P AMT-Free Municipal Series  – $0.109444
            MUB  – 464288414  – iShares S&P National AMT-Free Municipal Bond Fund  – $0.307108
            NYF  – 464288323  – iShares S&P New York AMT-Free Municipal Bond Fund  – $0.311188
            SHV  – 464288679  – iShares Barclays Short Treasury Bond Fund  – $0.005933
            SHY  – 464287457  – iShares Barclays 1-3 Year Treasury Bond Fund  – $0.070542
            SUB  – 464288158  – iShares S&P Short Term National AMT-Free Municipal Bo  – $0.090121
            TIP  – 464287176  – iShares Barclays TIPS Bond Fund  – $0.541399
            TLH  – 464288653  – iShares Barclays 10-20 Year Tresaury Bond Fund  – $0.359383
            TLT  – 464287432  – iShares Barclays 20+ Year Treasury Bond Fund  – $0.325851

            Record Date: 06/03/2010
            Ex – Date: 06/01/2010
            Payable Date: 06/07/2010


            Grail Advisors

            GMTB – 384742805 – Grail McDonnell Core Taxable Bond ETF – $0.260460
            GMMB – 384742706 – Grail McDonnell Intermediate MUNI Bond ETF – $0.632110

            Record Date: 06/03/2010
            Ex – Date: 06/01/2010
            Payable Date: 06/07/2010


            Vanguard

            BIV – 921937819 – Vanguard Intermediate-Term Bond ETF – $0.275422
            BLV – 921937793 – Vanguard Long-Term Bond ETF – $0.319759
            BND – 921937835 – Vanguard Total Bond  – Market ETF – $0.244103
            BSV – 921937827 – Vanguard Short-Term Bond ETF – $0.155225

            Record Date: 06/03/2010
            Ex – Date: 06/01/2010
            Payable Date: 06/07/2010


            SPDRS

            BIL  – 78464A680  – SPDR Barclays Capital 1-3 Month T-Bill ETF  – $0.000000
            SHM  – 78464A425  – SPDR Nuveen Barclays Capital Short Term Municipal Bond ETF  – $0.101642
            ITE  – 78464A672  – SPDR Barclays Capital Intermediate Term Treasury ETF  – $0.188530
            TLO  – 78464A664  – SPDR Barclays Capital Long Term Treasury ETF  – $0.251505
            IPE  – 78464A656  – SPDR Barclays Capital TIPS ETF  – $0.319943
            CXA  – 78464A441  – SPDR Nuveen Barclays Capital California Municipal Bond ETF  – $0.158274
            INY  – 78464A433  – SPDR Nuveen Barclays Capital New York Municipal Bond ETF  – $0.000000
            JNK  – 78464A417  – SPDR Barclays Capital High Yield Bond ETF  – $0.223840
            LAG  – 78464A649  – SPDR Barclays Capital Aggregate Bond ETF  – $0.055543
            BWX  – 78464A516  – SPDR Barclays Capital International Treasury Bond ETF  – $0.100208
            WIP  – 78464A490  – SPDR DB International Government Inflation-Protected Bond ETF  – $0.171959
            TFI  – 78464A458  – SPDR Nuveen Barclays Capital Municipal Bond ETF  – $0.145400
            MBG  – 78464A383  – SPDR Barclays Capital Mortgage Backed Bond ETF  – $0.000000
            ITR  – 78464A375  – SPDR Barclays Capital Intermediate Term Credit Bond ETF  – $0.044506
            LWC  – 78464A367  – SPDR Barclays Capital Long Term Credit Bond ETF  – $0.032910
            CWB  – 78464A359  – SPDR Barclays Capital Convertible Securities ETF  – $0.080192
            BWZ  – 78464A334  – SPDR Barclays Capital Short Term International Treasury Bond ETF  – $0.071099
            VRD  – 78464A318  – SPDR Nuveen S&P VRDO Municipal Bond ETF  – $0.070337
            SCPB  – 78464A474  – SPDR Barclays Capital Short Term Corporate Bond ETF  – $0.011965
            BABS  – 78464A276  – SPDR Nuveen Barclays Capital Build America Bond ETF  – $0.102667
            IBND  – 78464A151  – SPDR Barclays Capital International Corporate Bond ETF  – $0.000000

            Record Date: 06/03/2010
            Ex – Date: 06/01/2010
            Payable Date: 06/09/2010


            Market Vectors

            ITM  – 57060U845  – Market Vectors- Intermediate Municipal Index ETF  – $0.062000
            MLN  – 57060U886  – Market Vectors- Long Municipal Index ETF  – $0.071000
            SMB  – 57060U803  – Market Vectors- Short Municipal Index ETF  – $0.030000
            HYD  – 57060U878  – Market Vectors High Yield Municipal Index ETF  – $0.149000
            PRB  – 57060U738  – Market Vectors Pre-Refunded Muni Index ETF  – $0.029000

            Record Date: 06/03/2010
            Ex – Date: 06/01/2010
            Payable Date: 06/07/2010

            Source: ETFWorld – NYSE Euronext (NYX)


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