USX:MPA - Blackrock Muniyield Pennsylvania Quality Fund BlackRock MuniYield Pennsylvan
Sector: Financials, Industry: Asset Management & Custody Banks
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Summary


ExDate Payable Date Type Amount (%)
11 Feb 2016 1 Mar 2016 CASH USD 0.0715 (0.47%)
13 Jan 2016 1 Feb 2016 CASH USD 0.0715 (0.47%)
10 Dec 2015 31 Dec 2015 CASH USD 0.0715 (0.51%)
12 Nov 2015 1 Dec 2015 CASH USD 0.0715 (0.51%)
13 Oct 2015 2 Nov 2015 CASH USD 0.0715 (0.52%)
11 Sep 2015 1 Oct 2015 CASH USD 0.0715 (0.52%)
12 Aug 2015 1 Sep 2015 CASH USD 0.0715 (0.52%)
13 Jul 2015 3 Aug 2015 CASH USD 0.0715 (0.53%)
11 Jun 2015 1 Jul 2015 CASH USD 0.0715 (0.53%)
13 May 2015 1 Jun 2015 CASH USD 0.0371 (0.27%)
8 Apr 2015 1 Jun 2015 CASH USD 0.1059 (0.73%)
11 Mar 2015 1 Apr 2015 CASH USD 0.071 (0.48%)
11 Feb 2015 2 Mar 2015 CASH USD 0.0735 (0.49%)
13 Jan 2015 2 Feb 2015 CASH USD 0.0735 (0.49%)
10 Dec 2014 31 Dec 2014 CASH USD 0.0735 (0.51%)
12 Nov 2014 1 Dec 2014 CASH USD 0.0735 (0.52%)
10 Oct 2014 3 Nov 2014 CASH USD 0.0735 (0.52%)
11 Sep 2014 1 Oct 2014 CASH USD 0.0735 (0.52%)
13 Aug 2014 2 Sep 2014 CASH USD 0.0735 (0.52%)
11 Jul 2014 1 Aug 2014 CASH USD 0.0735 (0.52%)
12 Jun 2014 1 Jul 2014 CASH USD 0.0735 (0.52%)
13 May 2014 2 Jun 2014 CASH USD 0.0735 (0.52%)
11 Apr 2014 1 May 2014 CASH USD 0.0735 (0.53%)
12 Mar 2014 1 Apr 2014 CASH USD 0.0735 (0.53%)
12 Feb 2014 3 Mar 2014 CASH USD 0.0735 (0.55%)
13 Jan 2014 3 Feb 2014 CASH USD 0.0735 (0.56%)
11 Dec 2013 31 Dec 2013 CASH USD 0.0735 (0.59%)
13 Nov 2013 2 Dec 2013 CASH USD 0.0735 (0.57%)
11 Oct 2013 1 Nov 2013 CASH USD 0.0735 (0.56%)
12 Sep 2013 1 Oct 2013 CASH USD 0.0735 (0.57%)
13 Aug 2013 3 Sep 2013 CASH USD 0.0735 (0.58%)
11 Jul 2013 1 Aug 2013 CASH USD 0.0735 (0.53%)
12 Jun 2013 1 Jul 2013 CASH USD 0.0735 (0.52%)
13 May 2013 3 Jun 2013 CASH USD 0.0735 (0.47%)
11 Apr 2013 1 May 2013 CASH USD 0.0735 (0.47%)
13 Mar 2013 1 Apr 2013 CASH USD 0.0735 (0.47%)
13 Feb 2013 1 Mar 2013 CASH USD 0.0735 (0.45%)
11 Jan 2013 1 Feb 2013 CASH USD 0.0735 (0.44%)
13 Jul 2000 2 Aug 2000* CASH USD 0.065 (0.52%)
12 Oct 1994 1 Nov 1994* CASH USD 0.071 (0.59%)
13 Sep 1994 3 Oct 1994* CASH USD 0.073 (0.58%)
15 Aug 1994 4 Sep 1994* CASH USD 0.07 (0.53%)
12 Jul 1994 1 Aug 1994* CASH USD 0.069 (0.50%)
14 Jun 1994 4 Jul 1994* CASH USD 0.071 (0.52%)
11 May 1994 31 May 1994* CASH USD 0.074 (0.52%)
12 Apr 1994 2 May 1994* CASH USD 0.075 (0.52%)
15 Mar 1994 4 Apr 1994* CASH USD 0.079 (0.51%)
9 Feb 1994 1 Mar 1994* CASH USD 0.08 (0.49%)
11 Jan 1994 31 Jan 1994* CASH USD 0.081 (0.50%)
14 Dec 1993 3 Jan 1994* CASH USD 0.202 (1.30%)
12 Nov 1993 2 Dec 1993* CASH USD 0.083 (0.50%)
12 Oct 1993 1 Nov 1993* CASH USD 0.082 (0.50%)
14 Sep 1993 4 Oct 1993* CASH USD 0.083 (0.50%)
16 Aug 1993 5 Sep 1993* CASH USD 0.081 (0.51%)
13 Jul 1993 2 Aug 1993* CASH USD 0.079 (0.50%)
14 Jun 1993 4 Jul 1993* CASH USD 0.081 (0.50%)
12 May 1993 1 Jun 1993* CASH USD 0.077 (0.49%)
13 Apr 1993 3 May 1993* CASH USD 0.08 (0.50%)
15 Mar 1993 4 Apr 1993* CASH USD 0.077 (0.48%)
9 Feb 1993 1 Mar 1993* CASH USD 0.083 (0.54%)
12 Jan 1993 1 Feb 1993* CASH USD 0.129 (0.84%)
*These dividends have unknown paydates and are simply assumed to be 20 days after ExDate

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