WISDOMTREE TRUST US SHORT TERM CORPORATE BOND FUND Logo
US97717X1569
SFIG

WISDOMTREE TRUST US SHORT TERM CORPORATE BOND FUND

Dividend yield TTM
2.96%
€1.37/unit
Dividend growth (CAGR 5Y)
16.47%
Next dividend
The next dividend is expected in September.

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Historical dividends

In 2026, WISDOMTREE TRUST US SHORT TERM CORPORATE BOND FUND has already paid €0.74 in dividends. The last payout was in May.

Tools for dividend investors

Dividend metrics Metrics

All metrics All
Metric Value
Price
€46.09
Yield
2.96%
Interval
Monthly
CAGR 3Y
26.24%
CAGR 5Y
16.47%
CAGR 10Y
-

All dividend data

So far in 2026, €0.74 per unit has been distributed. In 2025, WISDOMTREE TRUST US SHORT TERM CORPORATE BOND FUND distributed €1.93. The dividend yield is currently 2.96%, and distributions have increased by 26.24% over the last 3 years. The ETF pays out every month.

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Ex-dividend date
Payment date
Distribution
YoY
Yield
2026 €0.74 61.66% 1.60%
26/05/2026 28/05/2026 €0.16
27/04/2026 29/04/2026 €0.15
26/03/2026 30/03/2026 €0.17
24/02/2026 26/02/2026 €0.11
27/01/2026 29/01/2026 €0.15
2025 €1.93 1.53% 4.19%
26/12/2025 30/12/2025 €0.16
24/11/2025 26/11/2025 €0.16
28/10/2025 30/10/2025 €0.16
25/09/2025 29/09/2025 €0.15
26/08/2025 28/08/2025 €0.16
28/07/2025 30/07/2025 €0.17
25/06/2025 27/06/2025 €0.15
27/05/2025 29/05/2025 €0.17
25/04/2025 29/04/2025 €0.15
26/03/2025 28/03/2025 €0.18
25/02/2025 27/02/2025 €0.14
28/01/2025 30/01/2025 €0.18
2024 €1.96 36.11% 4.22%
26/12/2024 30/12/2024 €0.21
25/11/2024 27/11/2024 €0.17
28/10/2024 30/10/2024 €0.16
25/09/2024 27/09/2024 €0.16
27/08/2024 29/08/2024 €0.16
26/07/2024 30/07/2024 €0.16
25/06/2024 27/06/2024 €0.16
24/05/2024 30/05/2024 €0.16
24/04/2024 29/04/2024 €0.16
22/03/2024 27/03/2024 €0.16
23/02/2024 28/02/2024 €0.15
25/01/2024 30/01/2024 €0.15
2023 €1.44 50.25% 3.32%
22/12/2023 28/12/2023 €0.13
24/11/2023 29/11/2023 €0.13
25/10/2023 30/10/2023 €0.13
25/09/2023 28/09/2023 €0.13
25/08/2023 30/08/2023 €0.12
25/07/2023 28/07/2023 €0.12
26/06/2023 29/06/2023 €0.12
24/05/2023 30/05/2023 €0.12
24/04/2023 27/04/2023 €0.11
27/03/2023 30/03/2023 €0.11
22/02/2023 27/02/2023 €0.11
25/01/2023 30/01/2023 €0.11
2022 €0.96 78.37% 2.18%
23/12/2022 29/12/2022 €0.11
23/11/2022 29/11/2022 €0.12
25/10/2022 28/10/2022 €0.12
26/09/2022 29/09/2022 €0.12
25/08/2022 30/08/2022 €0.0998
25/07/2022 28/07/2022 €0.0981
24/06/2022 29/06/2022 €0.0574
24/05/2022 27/05/2022 €0.0512
25/04/2022 28/04/2022 €0.0524
25/03/2022 30/03/2022 €0.0448
22/02/2022 25/02/2022 €0.0421
25/01/2022 28/01/2022 €0.0426
2021 €0.54 40.25% 1.20%
27/12/2021 30/12/2021 €0.0442
23/11/2021 29/11/2021 €0.0443
25/10/2021 28/10/2021 €0.0428
24/09/2021 29/09/2021 €0.0474
25/08/2021 30/08/2021 €0.0424
26/07/2021 29/07/2021 €0.0421
24/06/2021 29/06/2021 €0.042
24/05/2021 27/05/2021 €0.041
26/04/2021 29/04/2021 €0.0454
25/03/2021 30/03/2021 €0.0469
22/02/2021 25/02/2021 €0.0493
25/01/2021 28/01/2021 €0.0495
2020 €0.90 17.93% 2.13%
21/12/2020 24/12/2020 €0.0513
23/11/2020 27/11/2020 €0.0502
27/10/2020 30/10/2020 €0.0514
22/09/2020 25/09/2020 €0.058
25/08/2020 28/08/2020 €0.0651
28/07/2020 31/07/2020 €0.0785
23/06/2020 26/06/2020 €0.0891
26/05/2020 29/05/2020 €0.09
21/04/2020 24/04/2020 €0.10
24/03/2020 27/03/2020 €0.0851
25/02/2020 28/02/2020 €0.0907
21/01/2020 24/01/2020 €0.0898
2019 €1.10 15.69% 2.42%
23/12/2019 27/12/2019 €0.0913
25/11/2019 29/11/2019 €0.0908
22/10/2019 25/10/2019 €0.0902
24/09/2019 27/09/2019 €0.0754
27/08/2019 30/08/2019 €0.0999
23/07/2019 26/07/2019 €0.0987
24/06/2019 28/06/2019 €0.0966
28/05/2019 31/05/2019 €0.0938
23/04/2019 26/04/2019 €0.0941
26/03/2019 29/03/2019 €0.089
19/02/2019 22/02/2019 €0.0882
22/01/2019 25/01/2019 €0.0877
2018 €0.95 21.22% -
24/12/2018 28/12/2018 €0.0983
20/11/2018 23/11/2018 €0.097
23/10/2018 26/10/2018 €0.0875
25/09/2018 28/09/2018 €0.0817
21/08/2018 24/08/2018 €0.0817
24/07/2018 27/07/2018 €0.0815
25/06/2018 28/06/2018 €0.0843
22/05/2018 25/05/2018 €0.075
24/04/2018 27/04/2018 €0.0721
20/03/2018 23/03/2018 €0.0627
20/02/2018 23/02/2018 €0.063
23/01/2018 26/01/2018 €0.0623
2017 €0.78 76.80% -
26/12/2017 29/12/2017 €0.0746
21/11/2017 27/11/2017 €0.0714
24/10/2017 27/10/2017 €0.0732
26/09/2017 29/09/2017 €0.074
21/08/2017 25/08/2017 €0.0671
24/07/2017 28/07/2017 €0.0638
26/06/2017 30/06/2017 €0.0656
22/05/2017 26/05/2017 €0.0581
24/04/2017 28/04/2017 €0.0597
27/03/2017 31/03/2017 €0.0609
17/02/2017 24/02/2017 €0.0568
23/01/2017 27/01/2017 €0.0561
2016 €0.44 0.00% -
23/12/2016 30/12/2016 €0.0665
21/11/2016 28/11/2016 €0.0612
24/10/2016 28/10/2016 €0.0591
26/09/2016 30/09/2016 €0.0578
22/08/2016 26/08/2016 €0.0491
25/07/2016 29/07/2016 €0.0492
20/06/2016 24/06/2016 €0.0495
23/05/2016 27/05/2016 €0.0495

Frequently asked questions

What percentage of dividends does WISDOMTREE TRUST US SHORT TERM CORPORATE BOND FUND pay?

The dividend yield is currently 2.96%, and payouts have increased by 26.24% over the past 3 years.

When were the most recent dividend payment dates for WISDOMTREE TRUST US SHORT TERM CORPORATE BOND FUND?

The most recent payment was made on 28/05/2026. Previous payments were made on: 29/04/2026, 30/03/2026 and 26/02/2026.

When did you need to hold WISDOMTREE TRUST US SHORT TERM CORPORATE BOND FUND in your portfolio to receive the latest dividend?

If you held WISDOMTREE TRUST US SHORT TERM CORPORATE BOND FUND in your portfolio on 26/05/2026, you received the payout.

How much was the dividend from WISDOMTREE TRUST US SHORT TERM CORPORATE BOND FUND in 2025?

In 2025, WISDOMTREE TRUST US SHORT TERM CORPORATE BOND FUND paid €1.93 in dividends.

How much was the dividend from WISDOMTREE TRUST US SHORT TERM CORPORATE BOND FUND in 2024?

In 2024, WISDOMTREE TRUST US SHORT TERM CORPORATE BOND FUND paid €1.96 in dividends.

When is the next dividend from WISDOMTREE TRUST US SHORT TERM CORPORATE BOND FUND expected?

WISDOMTREE TRUST US SHORT TERM CORPORATE BOND FUND is expected to pay the next dividend in September.

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