ISHARES RUSSEL MIDCAP INDEX FUND Logo
US4642874998
764953
IWR

ISHARES RUSSEL MIDCAP INDEX FUND

Dividend yield TTM
1.15%
€1.09/unit
Dividend growth (CAGR 5Y)
7.30%
Next dividend
The next dividend is expected in September.

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Historical dividends

In 2026, ISHARES RUSSEL MIDCAP INDEX FUND has already paid €0.48 in dividends. The last payout was in June.

Tools for dividend investors

Dividend metrics Metrics

All metrics All
Metric Value
Price
€94.94
Yield
1.15%
Interval
Quarterly
CAGR 3Y
1.64%
CAGR 5Y
7.30%
CAGR 10Y
2.24%

All dividend data

So far in 2026, €0.48 per unit has been distributed. In 2025, ISHARES RUSSEL MIDCAP INDEX FUND distributed €1.08. The dividend yield is currently 1.15%, and distributions have increased by 1.64% over the last 3 years. The ETF pays dividends quarterly in March, June, September and December.

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Ex-dividend date
Payment date
Distribution
YoY
Yield
2026 €0.48 55.56% 0.51%
15/06/2026 18/06/2026 €0.25
17/03/2026 20/03/2026 €0.23
2025 €1.08 5.88% 1.32%
16/12/2025 19/12/2025 €0.34
16/09/2025 19/09/2025 €0.27
16/06/2025 20/06/2025 €0.23
18/03/2025 21/03/2025 €0.24
2024 €1.02 0.97% 1.20%
17/12/2024 20/12/2024 €0.31
25/09/2024 30/09/2024 €0.31
11/06/2024 17/06/2024 €0.20
21/03/2024 27/03/2024 €0.20
2023 €1.03 0.98% 1.46%
20/12/2023 27/12/2023 €0.31
26/09/2023 02/10/2023 €0.31
07/06/2023 13/06/2023 €0.17
23/03/2023 29/03/2023 €0.24
2022 €1.02 36.00% 1.63%
13/12/2022 19/12/2022 €0.31
26/09/2022 30/09/2022 €0.32
09/06/2022 15/06/2022 €0.20
24/03/2022 30/03/2022 €0.19
2021 €0.75 1.32% 1.03%
13/12/2021 17/12/2021 €0.23
24/09/2021 30/09/2021 €0.23
10/06/2021 16/06/2021 €0.13
25/03/2021 31/03/2021 €0.16
2020 €0.76 0.00% 1.35%
14/12/2020 18/12/2020 €0.19
23/09/2020 29/09/2020 €0.18
15/06/2020 19/06/2020 €0.15
25/03/2020 31/03/2020 €0.24
2019 €0.76 3.80% 1.44%
16/12/2019 20/12/2019 €0.24
24/09/2019 30/09/2019 €0.19
17/06/2019 21/06/2019 €0.17
20/03/2019 26/03/2019 €0.16
2018 €0.79 16.18% 1.94%
17/12/2018 21/12/2018 €0.19
26/09/2018 02/10/2018 €0.27
03/07/2018 10/07/2018 €0.19
22/03/2018 28/03/2018 €0.14
2017 €0.68 56.41% 1.58%
21/12/2017 28/12/2017 €0.19
26/09/2017 29/09/2017 €0.18
06/07/2017 12/07/2017 €0.17
24/03/2017 30/03/2017 €0.14
2016 €1.56 15.56% 3.66%
22/12/2016 29/12/2016 €0.25
26/09/2016 30/09/2016 €0.49
06/07/2016 12/07/2016 €0.65
23/03/2016 30/03/2016 €0.17
2015 €1.35 24.47% 3.67%
24/12/2015 31/12/2015 €0.20
25/09/2015 01/10/2015 €0.45
02/07/2015 09/07/2015 €0.58
25/03/2015 31/03/2015 €0.12
2014 €1.08 190.31% 3.15%
24/12/2014 31/12/2014 €0.17
24/09/2014 30/09/2014 €0.35
02/07/2014 09/07/2014 €0.47
25/03/2014 31/03/2014 €0.0946
2013 €0.37 6.30% 1.36%
23/12/2013 30/12/2013 €0.12
24/09/2013 30/09/2013 €0.0751
02/07/2013 09/07/2013 €0.10
25/03/2013 01/04/2013 €0.0785
2012 €0.40 39.02% 1.84%
19/12/2012 26/12/2012 €0.16
24/09/2012 28/09/2012 €0.0836
26/06/2012 02/07/2012 €0.0874
23/03/2012 29/03/2012 €0.0677
2011 €0.29 2.69% 1.51%
22/12/2011 29/12/2011 €0.0979
23/09/2011 29/09/2011 €0.0598
05/07/2011 11/07/2011 €0.0658
24/03/2011 30/03/2011 €0.0633
2010 €0.28 26.27% 1.47%
22/12/2010 29/12/2010 €0.0887
23/09/2010 29/09/2010 €0.0813
02/07/2010 09/07/2010 €0.0627
24/03/2010 30/03/2010 €0.0466
2009 €0.22 22.49% 1.54%
23/12/2009 30/12/2009 €0.0711
22/09/2009 28/09/2009 €0.0414
02/07/2009 09/07/2009 €0.0567
24/03/2009 30/03/2009 €0.052
2008 €0.29 59.62% 2.66%
23/12/2008 30/12/2008 €0.0736
24/09/2008 30/09/2008 €0.0482
02/07/2008 09/07/2008 €0.0565
24/03/2008 28/03/2008 €0.0322
27/12/2007 03/01/2008 €0.0749
2007 €0.18 31.02% 1.01%
25/09/2007 01/10/2007 €0.0535
28/06/2007 05/07/2007 €0.0597
23/03/2007 29/03/2007 €0.0656
2006 €0.26 2.65% 1.37%
20/12/2006 27/12/2006 €0.0744
26/09/2006 02/10/2006 €0.0585
22/06/2006 28/06/2006 €0.0663
24/03/2006 30/03/2006 €0.06
2005 €0.25 45.53% 1.36%
22/12/2005 29/12/2005 €0.0855
23/09/2005 29/09/2005 €0.0587
20/06/2005 24/06/2005 €0.0416
24/03/2005 31/03/2005 €0.0667
2004 €0.17 11.58% 1.19%
23/12/2004 30/12/2004 €0.0462
24/09/2004 30/09/2004 €0.0461
25/06/2004 01/07/2004 €0.0393
26/03/2004 01/04/2004 €0.0419
2003 €0.16 16.31% 1.17%
12/12/2003 23/12/2003 €0.0518
12/09/2003 23/09/2003 €0.0388
13/06/2003 24/06/2003 €0.0368
07/03/2003 18/03/2003 €0.0281
2002 €0.13 447.95% 1.15%
13/12/2002 23/12/2002 €0.0445
13/09/2002 24/09/2002 €0.0359
14/06/2002 25/06/2002 €0.04
08/03/2002 19/03/2002 €0.0133
2001 €0.0244 0.00% 0.15%
14/12/2001 26/12/2001 €0.0136
01/10/2001 10/10/2001 €0.0108

Frequently asked questions

When does ISHARES RUSSEL MIDCAP INDEX FUND pay dividends?

ISHARES RUSSEL MIDCAP INDEX FUND pays dividends in September, December, March and June.

How often does ISHARES RUSSEL MIDCAP INDEX FUND pay dividends?

ISHARES RUSSEL MIDCAP INDEX FUND pays dividends quarterly.

What percentage of dividends does ISHARES RUSSEL MIDCAP INDEX FUND pay?

The dividend yield is currently 1.15%, and payouts have increased by 1.64% over the past 3 years.

When were the most recent dividend payment dates for ISHARES RUSSEL MIDCAP INDEX FUND?

The most recent payment was made on 18/06/2026. Previous payments were made on: 20/03/2026, 19/12/2025 and 19/09/2025.

When did you need to hold ISHARES RUSSEL MIDCAP INDEX FUND in your portfolio to receive the latest dividend?

If you held ISHARES RUSSEL MIDCAP INDEX FUND in your portfolio on 15/06/2026, you received the payout.

How much was the dividend from ISHARES RUSSEL MIDCAP INDEX FUND in 2025?

In 2025, ISHARES RUSSEL MIDCAP INDEX FUND paid €1.08 in dividends.

How much was the dividend from ISHARES RUSSEL MIDCAP INDEX FUND in 2024?

In 2024, ISHARES RUSSEL MIDCAP INDEX FUND paid €1.02 in dividends.

When is the next dividend from ISHARES RUSSEL MIDCAP INDEX FUND expected?

ISHARES RUSSEL MIDCAP INDEX FUND is expected to pay the next dividend in September.

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