iShares Inc iShares MSCI Israel dividends

Last dividend for iShares Inc iShares MSCI Israel (EIS) as of April 25, 2024 is 0.26 USD. The forward dividend yield for EIS as of April 25, 2024 is 0.88%. Average dividend growth rate for stock iShares Inc iShares MSCI Israel (EIS) for past three years is 30.00%.

Dividend history for stock EIS (iShares Inc iShares MSCI Israel) including historic stock price, dividend growth rate predictions based on history, payout ratio history and split, spin-off and special dividends.

iShares Inc iShares MSCI Israel Dividends

Ex-dividend datePayable dateDividend amount (change) Adjusted PriceClose Price
2023-12-20 2023-12-27 0.2595 USD (-52.65%) 54.68 USD 54.68 USD
2023-06-07 2023-06-13 0.5480 USD (65.61%) 53.85 USD 53.85 USD
2022-12-13 2022-12-19 0.3309 USD (-44.72%) 59.14 USD 59.75 USD
2022-06-09 2022-06-15 0.5986 USD (-13.67%) 61.45 USD 62.43 USD
2021-12-13 2021-12-17 0.6934 USD (485.64%) 73.17 USD 75.03 USD
2021-06-10 2021-06-16 0.1184 USD (11.91%) 66.86 USD 69.18 USD
2020-06-15 2020-06-19 0.1058 USD (-89.55%) 50.88 USD 52.74 USD
2019-12-16 2019-12-20 1.0123 USD (496.88%) 54.78 USD 56.90 USD
2019-06-17 2019-06-21 0.1696 USD (121.12%) 49.82 USD 52.66 USD
2018-12-18 2018-12-24 0.0767 USD (-77.65%) 47.29 USD 50.15 USD
2018-06-19 2018-06-25 0.3431 USD (-50.79%) 49.40 USD 52.47 USD
2017-12-19 2017-12-26 0.6972 USD (105.60%) 46.77 USD 50.00 USD
2017-06-20 2017-06-26 0.3391 USD (-28.34%) 49.60 USD 53.76 USD
2016-12-21 2016-12-28 0.4732 USD (34.39%) 42.35 USD 46.19 USD
2016-06-22 2016-06-28 0.3521 USD (-44.95%) 42.58 USD 46.92 USD
2015-12-21 2015-12-28 0.6396 USD (4.17%) 43.93 USD 48.77 USD
2015-06-25 2015-07-01 0.6140 USD (34.44%) 46.30 USD 52.07 USD
2014-12-17 2014-12-24 0.4567 USD (10.02%) 41.70 USD 47.45 USD
2014-06-25 2014-07-02 0.4151 USD (-27.07%) 45.68 USD 52.49 USD
2013-12-18 2013-12-30 0.5692 USD (14.48%) 41.24 USD 47.76 USD
2013-06-27 2013-07-05 0.4972 USD (-6.98%) 36.67 USD 42.98 USD
2012-12-18 2012-12-27 0.5345 USD (6.07%) 35.71 USD 42.33 USD
2012-06-21 2012-06-28 0.5039 USD (-15.88%) 30.30 USD 36.38 USD
2011-12-20 2011-12-29 0.5990 USD (-23.24%) 33.66 USD 40.96 USD
2011-06-22 2011-06-28 0.7804 USD (-17.39%) 43.72 USD 54.00 USD
2010-12-21 2010-12-30 0.9447 USD (-2.67%) 46.94 USD 58.82 USD
2010-06-23 2010-06-29 0.9706 USD (86.44%) 37.96 USD 48.34 USD
2009-12-22 2009-12-31 0.5206 USD (103.12%) 41.75 USD 54.22 USD
2009-06-23 2009-06-29 0.2563 USD (-64.72%) 30.23 USD 39.64 USD
2008-12-23 2008-12-31 0.7264 USD (340.24%) 22.20 USD 29.31 USD
2002-10-10 2002-10-31 0.1650 USD 40.16 USD 49.78 USD
2002-09-12 2002-09-30 0.1650 USD 40.16 USD 49.78 USD
2002-08-13 2002-08-30 0.1650 USD 40.16 USD 49.78 USD
2002-07-11 2002-07-31 0.1650 USD 40.16 USD 49.78 USD
2002-06-12 2002-06-28 0.1650 USD 40.16 USD 49.78 USD
2002-05-13 2002-05-31 0.1650 USD 40.16 USD 49.78 USD
2002-04-11 2002-04-30 0.1650 USD 40.16 USD 49.78 USD
2002-03-13 2002-03-29 0.1650 USD 40.16 USD 49.78 USD
2002-02-13 2002-02-28 0.1650 USD (-34%) 40.16 USD 49.78 USD
2001-10-17 2001-10-26 0.2500 USD 40.16 USD 49.78 USD
2001-07-18 2001-07-27 0.2500 USD 40.16 USD 49.78 USD
2001-04-25 2001-05-04 0.2500 USD (-16.67%) 40.16 USD 49.78 USD
2000-12-20 2001-01-26 0.3000 USD (20%) 40.16 USD 49.78 USD
2000-10-18 2000-10-27 0.2500 USD 40.16 USD 49.78 USD
2000-07-19 2000-07-28 0.2500 USD 40.16 USD 49.78 USD
2000-04-18 2000-04-28 0.2500 USD (-3.85%) 40.16 USD 49.78 USD
1999-12-21 2000-01-28 0.2600 USD (4%) 40.16 USD 49.78 USD
1999-10-20 1999-10-29 0.2500 USD 40.16 USD 49.78 USD
1999-07-21 1999-07-30 0.2500 USD 40.16 USD 49.78 USD
1999-04-21 1999-04-30 0.2500 USD (-7.41%) 40.16 USD 49.78 USD
1998-12-16 1999-01-29 0.2700 USD (3.85%) 40.16 USD 49.78 USD
1998-10-21 1998-10-30 0.2600 USD (-3.70%) 40.16 USD 49.78 USD
1998-07-22 1998-07-31 0.2700 USD (17.39%) 40.16 USD 49.78 USD
1998-04-15 1998-04-24 0.2300 USD (-37.84%) 40.16 USD 49.78 USD
1997-12-17 1998-01-30 0.3700 USD (42.31%) 40.16 USD 49.78 USD
1997-10-22 1997-10-31 0.2600 USD 40.16 USD 49.78 USD
1997-07-16 1997-07-25 0.2600 USD (-7.14%) 40.16 USD 49.78 USD
1997-04-16 1997-04-25 0.2800 USD (-26.32%) 40.16 USD 49.78 USD
1996-12-18 1997-01-31 0.3800 USD (46.15%) 40.16 USD 49.78 USD
1996-10-16 1996-10-25 0.2600 USD 40.16 USD 49.78 USD
1996-07-17 1996-07-26 0.2600 USD (-7.14%) 40.16 USD 49.78 USD
1996-04-17 1996-04-26 0.2800 USD (-15.15%) 40.16 USD 49.78 USD
1995-12-20 1996-01-26 0.3300 USD (22.22%) 40.16 USD 49.78 USD
1995-10-18 1995-10-27 0.2700 USD (3.85%) 40.16 USD 49.78 USD
1995-07-19 1995-07-28 0.2600 USD 40.16 USD 49.78 USD
1995-04-17 1995-04-28 0.2600 USD (-7.14%) 40.16 USD 49.78 USD
1994-12-19 1995-01-27 0.2800 USD (12%) 40.16 USD 49.78 USD
1994-10-17 1994-10-28 0.2500 USD 40.16 USD 49.78 USD
1994-07-18 1994-07-29 0.2500 USD 40.16 USD 49.78 USD
1994-04-18 1994-04-29 0.2500 USD (-16.67%) 40.16 USD 49.78 USD
1993-12-20 1994-01-28 0.3000 USD (7.14%) 40.16 USD 49.78 USD
1993-10-18 1993-10-29 0.2800 USD (-3.45%) 40.16 USD 49.78 USD
1993-07-19 1993-07-30 0.2900 USD (-6.45%) 40.16 USD 49.78 USD
1993-04-19 1993-04-30 0.3100 USD (-16.22%) 40.16 USD 49.78 USD
1992-12-21 1993-01-29 0.3700 USD 40.16 USD 49.78 USD

EIS

Price: $58.30

52 week price:
44.52
64.93

5-year range yield:
0.34%
3.56%

Forward Dividend Yield: 0.88%

Payout Ratio: 6.77%

Payout Ratio Range:
-130.75%
6.77%

Dividend Per Share: 0.52 USD

Earnings Per Share: 7.66 USD

P/E Ratio: 7.87

Exchange: PCX

Sector: Miscellaneous

Industry: Investment Trusts/Mutual Funds

Volume: 4700

Market Capitalization: 152.9 million

Average Dividend Frequency: 3

Years Paying Dividends: 16

DGR3: 30.00%

DGR5: 30.00%

DGR10: 30.00%

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