DIVIDEND INFORMATION
13.10.2025, 11:33:35
THE FOLLOWING INSTRUMENTS ARE TRADED CUM DIVIDEND ON 14.10.2025 AND EX DIVIDEND ON 15.10.2025. DE0002635281 / iSharesESTOXXSelDiv30UCETF(DE) / EX12 / 0,2975 DE0002635299 / iShares ESTSelDiv30 UC ETF(DE) / EX13 / 0,32915 DE000A0F5UH1 / iShares GlobSelDivid UCITS ETF / EX46 / 0,41116 DE000A0F5UJ7 / iShares Eur Banks UCITS ETF / EX28 / 0,14262 DE000A0F5UK5 / iShares EurBasicRes UCITS ETF / EX38 / 0,36464 DE000A0H08E0 / iShares Eur Chem UCITS ETF / EX29 / 0,1889 DE000A0H08F7 / iSharesEurConstrMat UCITS ETF / EX42 / 0,22997 DE000A0H08H3 / iShares Eur FoodBev UCITS ETF / EX30 / 0,16104 DE000A0H08J9 / iShares EurIndGdsSrv UCITSETF / EX39 / 0,1514 DE000A0H08K7 / iShares Eur Insur UCITS ETF / EX32 / 0,12866 DE000A0H08M3 / iShares Eur Oil Gas UCITS ETF / EX33 / 0,48639 DE000A0H08N1 / iShar

