Schroder ISF Emerging Markets Debt Absolute Return - A USD DIS Logo
LU0080733339
987787

Schroder ISF Emerging Markets Debt Absolute Return - A USD DIS

Dividend yield TTM
4.67%
€0.31/unit
Dividend growth (CAGR 5Y)
-2.86%
Next dividend
€0.11 on 10/02/2026

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Historical dividends

In 2026, Schroder ISF Emerging Markets Debt Absolute Return - A USD DIS has already paid €0.24 in dividends. The last payout was in July.

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Dividend metrics Metrics

All metrics All
Metric Value
Price
€6.65
Yield
4.67%
Interval
Quarterly
CAGR 3Y
8.51%
CAGR 5Y
2.86%
CAGR 10Y
5.07%

All dividend data

So far in 2026, €0.24 per unit has been distributed. The next dividend of €0.11 will be paid on 10/02/2026. In 2025, Schroder ISF Emerging Markets Debt Absolute Return - A USD DIS distributed €0.27. The dividend yield is currently 4.67%, and distributions have decreased by 8.51% over the last 3 years. The ETF pays dividends quarterly in January, April, July, and October.

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Ex-dividend date
Payment date
Distribution
YoY
Yield
2026 €0.35 32.50% 3.67%
09/24/2026
A
10/02/2026 €0.11
06/25/2026 07/06/2026 €0.11
03/26/2026 04/02/2026 €0.0669
12/18/2025 01/02/2026 €0.0662
2025 €0.27 2.67% 4.05%
09/25/2025 10/08/2025 €0.0664
06/26/2025 07/09/2025 €0.0639
03/27/2025 04/08/2025 €0.0663
12/19/2024 01/03/2025 €0.0699
2024 €0.27 37.38% 4.02%
09/26/2024 10/08/2024 €0.0685
06/27/2024 07/10/2024 €0.0669
03/28/2024 04/11/2024 €0.0693
12/28/2023 01/08/2024 €0.0691
2023 €0.20 42.75% 2.94%
09/28/2023 10/11/2023 €0.067
06/15/2023 06/27/2023 €0.0673
03/23/2023 04/11/2023 €0.065
2022 €0.35 17.84% 5.33%
12/15/2022 12/28/2022 €0.0666
09/29/2022 10/13/2022 €0.0698
06/30/2022 07/13/2022 €0.0693
03/31/2022 04/11/2022 €0.0704
12/16/2021 01/05/2022 €0.072
2021 €0.30 4.12% 4.15%
09/30/2021 10/13/2021 €0.0728
06/24/2021 07/07/2021 €0.0744
03/25/2021 04/07/2021 €0.0732
12/17/2020 01/07/2021 €0.075
2020 €0.31 4.85% 4.09%
09/24/2020 10/09/2020 €0.0738
06/25/2020 07/06/2020 €0.0778
03/26/2020 04/07/2020 €0.0753
12/19/2019 01/17/2020 €0.0812
2019 €0.32 1.47% 4.02%
09/26/2019 10/08/2019 €0.0817
06/27/2019 07/08/2019 €0.082
03/28/2019 04/08/2019 €0.0807
12/20/2018 01/18/2019 €0.0794
2018 €0.32 9.88% 4.08%
09/27/2018 10/10/2018 €0.0782
06/28/2018 07/09/2018 €0.0794
03/29/2018 04/11/2018 €0.0811
12/21/2017 01/12/2018 €0.0804
2017 €0.35 5.72% 4.36%
09/28/2017 10/10/2017 €0.0837
06/29/2017 07/07/2017 €0.0871
03/30/2017 04/07/2017 €0.093
12/15/2016 01/13/2017 €0.0903
2016 €0.38 16.53% 4.12%
09/29/2016 10/11/2016 €0.0903
06/30/2016 07/12/2016 €0.0895
03/31/2016 04/11/2016 €0.0858
12/17/2015 01/06/2016 €0.11
2015 €0.45 45.16% 5.29%
09/24/2015 10/08/2015 €0.11
06/25/2015 07/03/2015 €0.11
03/26/2015 04/10/2015 €0.12
12/18/2014 01/05/2015 €0.11
2014 €0.31 26.19% 3.63%
09/25/2014 10/08/2014 €0.11
06/26/2014 07/07/2014 €0.10
03/27/2014 04/07/2014 €0.10
2013 €0.42 38.24% 5.32%
12/12/2013 12/27/2013 €0.10
09/26/2013 10/08/2013 €0.10
06/27/2013 07/10/2013 €0.11
03/28/2013 04/11/2013 €0.11
2012 €0.68 13.92% 7.48%
12/11/2012 12/28/2012 €0.16
09/27/2012 10/09/2012 €0.16
06/28/2012 07/10/2012 €0.17
03/29/2012 04/11/2012 €0.19
2011 €0.79 6.76% 8.44%
12/15/2011 12/28/2011 €0.14
09/29/2011 10/11/2011 €0.16
06/30/2011 07/12/2011 €0.16
03/31/2011 04/11/2011 €0.16
12/30/2010 01/25/2011 €0.17
2010 €0.74 10.45% 7.49%
09/30/2010 10/12/2010 €0.18
06/30/2010 07/12/2010 €0.19
03/31/2010 04/13/2010 €0.18
12/30/2009 01/27/2010 €0.19
2009 €0.67 103.03% 6.91%
09/24/2009 10/05/2009 €0.17
06/25/2009 07/06/2009 €0.17
03/26/2009 04/03/2009 €0.15
12/30/2008 01/26/2009 €0.18
2008 €0.33 53.52% 3.57%
09/25/2008 10/16/2008 €0.17
06/26/2008 07/15/2008 €0.16
2007 €0.71 5.97% 7.42%
12/28/2007 12/28/2007 €0.17
09/27/2007 09/27/2007 €0.17
06/28/2007 06/28/2007 €0.18
03/29/2007 03/29/2007 €0.19
2006 €0.67 1.47% 6.28%
12/28/2006 12/28/2006 €0.16
09/28/2006 09/28/2006 €0.16
06/29/2006 06/29/2006 €0.16
03/30/2006 03/30/2006 €0.19
2005 €0.68 15.00% 6.00%
12/22/2005 12/22/2005 €0.16
09/29/2005 09/29/2005 €0.17
06/30/2005 06/30/2005 €0.17
03/31/2005 03/31/2005 €0.18
2004 €0.80 35.85% 7.39%
12/21/2004 12/21/2004 €0.15
09/30/2004 09/30/2004 €0.16
07/01/2004 07/01/2004 €0.17
04/01/2004 04/01/2004 €0.12
01/29/2004 01/29/2004 €0.20
2003 €0.59 36.95% 5.27%
10/16/2003 10/16/2003 €0.47
07/17/2003 07/17/2003 €0.0594
04/17/2003 04/17/2003 €0.0595
2002 €0.43 50.00% 3.29%
12/20/2002 12/20/2002 €0.43
2001 €0.86 3.37% 6.87%
12/21/2001 12/21/2001 €0.86
2000 €0.89 11.25% 7.15%
12/22/2000 12/22/2000 €0.89
1999 €0.80 110.53% -
10/25/1999 10/25/1999 €0.58
01/04/1999 01/04/1999 €0.22
1998 €0.38 0.00% -
07/02/1998 07/02/1998 €0.23
01/02/1998 01/02/1998 €0.15

Frequently asked questions

When does Schroder ISF Emerging Markets Debt Absolute Return - A USD DIS pay dividends?

Schroder ISF Emerging Markets Debt Absolute Return - A USD DIS pays dividends in October, January, April, and July.

How often does Schroder ISF Emerging Markets Debt Absolute Return - A USD DIS pay dividends?

Schroder ISF Emerging Markets Debt Absolute Return - A USD DIS pays dividends quarterly.

What percentage of dividends does Schroder ISF Emerging Markets Debt Absolute Return - A USD DIS pay?

The dividend yield is currently 4.67%, and payouts have decreased by 8.51% over the past 3 years.

When were the most recent dividend payment dates for Schroder ISF Emerging Markets Debt Absolute Return - A USD DIS?

The most recent payment was made on 07/06/2026. Previous payments were made on: 04/02/2026, 01/02/2026, and 10/08/2025.

When did you need to hold Schroder ISF Emerging Markets Debt Absolute Return - A USD DIS in your portfolio to receive the latest dividend?

If you held Schroder ISF Emerging Markets Debt Absolute Return - A USD DIS in your portfolio on 06/25/2026, you received the payout.

How much was the dividend from Schroder ISF Emerging Markets Debt Absolute Return - A USD DIS in 2025?

In 2025, Schroder ISF Emerging Markets Debt Absolute Return - A USD DIS paid €0.27 in dividends.

How much was the dividend from Schroder ISF Emerging Markets Debt Absolute Return - A USD DIS in 2024?

In 2024, Schroder ISF Emerging Markets Debt Absolute Return - A USD DIS paid €0.27 in dividends.

When is the ex-dividend date for the next Schroder ISF Emerging Markets Debt Absolute Return - A USD DIS dividend?

To receive the next dividend, Schroder ISF Emerging Markets Debt Absolute Return - A USD DIS must be in your portfolio on 09/24/2026.

How much is the next dividend from Schroder ISF Emerging Markets Debt Absolute Return - A USD DIS?

On 10/02/2026, €0.11 per unit is expected to be paid as a dividend.

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