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iShares Trust iShares 0-1 Year Treasury Bond ETF SHV | NYSE

$110.04 -$0.28 | -0.25%
SIGNAL:Signal available — unlock to view |2026-09-23 |F&G 65 |RSI 65.6

Company Overview:

Market Cap: $20.99B
Trailing PE: N/A
FWD PE: —
Payout Ratio (TTM): —
52-Week Range: $110.02 - $110.50

10 Year SHV Performance Metrics:

Total Return (with DRIP): 25.1% (2.27% CAGR)
Total Return (no DRIP): 22.4% (2.04% CAGR)
Share Price: -0.4% (-0.04% CAGR)
Yield on Cost (with DRIP): 4.62%
Total Invested: $10,000
Total Value (with DRIP): $12,514
Total Return $ (with DRIP): $2,514
Dividend Increase: 840% (25.36% CAGR)
Dividend Yield (FWD): 3.69% ($4.06)
SHV 10-yr Total Return ($10K invested)
1M 3M 6M YTD 1Y 3Y 5Y 10Y
SHV Share Price
1M 3M 6M YTD 1Y 3Y 5Y 10Y All
SHV Price CAGR:1Y: -0.10%2Y: -0.07%5Y: -0.08%10Y: -0.04%

SHV Dividend Payments & Yield

Dividend Payments & Yield
SHV Dividend CAGR:1Y: -12.71%2Y: -15.65%5Y: 29.98%10Y: 67.04%
Annual Dividends (Total Paid Per Year)
Dividend Growth Year Over Year

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SHV Dividends Info:

Annual Dividend: $4.05984
Forward Yield: 3.69%
Ex-Dividend Date: 2026-09-01
Lifetime Dividends / Share: $32.96

SHV Dividend History: Dates, Payments & Yield list

Below is a schedule of all SHV dividend payments, ex-dates, share price on the day of the payment as well as the annualized yield & forward yield

Ex-Date Payment Date Amount Yield Forward Yield Price on Ex-Date
09/01/202609/04/2026$0.3383.69%3.69%$110.13
08/03/202608/06/2026$0.3403.7%3.7%$110.11
07/01/202607/07/2026$0.3193.48%3.48%$110.10
06/01/202606/04/2026$0.3313.61%3.61%$110.09
05/01/202605/06/2026$0.3283.57%3.57%$110.13
04/01/202604/07/2026$0.3243.53%3.53%$110.14
03/02/202603/05/2026$0.3043.32%3.32%$110.13
02/02/202602/05/2026$0.3423.73%3.73%$110.16
12/19/202512/24/2025$0.3573.89%3.89%$110.07
12/01/202512/04/2025$0.3523.83%3.83%$110.16
11/03/202511/06/2025$0.3714.04%4.04%$110.19
10/01/202510/06/2025$0.3674%4%$110.19
09/02/202509/05/2025$0.3884.22%4.22%$110.23
08/01/202508/06/2025$0.3854.19%4.19%$110.16
07/01/202507/07/2025$0.3714.05%4.04%$110.13
06/02/202506/05/2025$0.3974.33%4.33%$110.12
05/01/202505/05/2025$0.3724.05%4.05%$110.13
04/01/202504/04/2025$0.3844.18%4.18%$110.17
03/03/202503/06/2025$0.3583.9%3.9%$110.15
02/03/202502/06/2025$0.4034.4%4.39%$110.16
12/18/202412/23/2024$0.4274.66%4.66%$109.99
12/02/202412/05/2024$0.4164.53%4.53%$110.17
11/01/202411/06/2024$0.4675.09%5.09%$110.17
10/01/202410/04/2024$0.4544.95%4.95%$110.24
09/03/202409/06/2024$0.4755.18%5.17%$110.26
08/01/202408/06/2024$0.4885.32%5.31%$110.18
07/01/202407/05/2024$0.4665.08%5.08%$110.14
06/03/202406/07/2024$0.4725.15%5.15%$110.15
05/01/202405/07/2024$0.4645.06%5.05%$110.13
04/01/202404/05/2024$0.4825.25%5.25%$110.17
03/01/202403/07/2024$0.4484.88%4.88%$110.20
02/01/202402/07/2024$0.4735.16%5.15%$110.20
12/14/202312/20/2023$0.5045.5%5.5%$109.92
12/01/202312/07/2023$0.4855.29%5.28%$110.24
11/01/202311/07/2023$0.4685.11%5.1%$110.17
10/02/202310/06/2023$0.4655.07%5.06%$110.15
09/01/202309/08/2023$0.4615.02%5.02%$110.16
08/01/202308/07/2023$0.4675.1%5.1%$110.08
07/03/202307/10/2023$0.4324.71%4.7%$110.11
06/01/202306/07/2023$0.4825.26%5.25%$110.05
05/01/202305/05/2023$0.3984.34%4.33%$110.14
04/03/202304/07/2023$0.3914.26%4.26%$110.20
03/01/202303/07/2023$0.2903.17%3.17%$110.01
02/01/202302/07/2023$0.3704.03%4.03%$109.97
12/15/202212/21/2022$0.3133.42%3.42%$109.81
12/01/202212/07/2022$0.2903.17%3.17%$109.93
11/01/202211/07/2022$0.2422.65%2.64%$109.83
10/03/202210/07/2022$0.2012.2%2.19%$109.89
09/01/202209/08/2022$0.1611.76%1.76%$109.98
08/01/202208/05/2022$0.1311.43%1.43%$109.98
07/01/202207/08/2022$0.0770.85%0.84%$110.02
06/01/202206/07/2022$0.0570.62%0.62%$110.17
05/02/202205/06/2022$0.0330.36%0.36%$110.19
04/01/202204/07/2022$0.0180.19%0.19%$110.21
12/01/202012/07/2020$0.1621.76%1.76%$110.52
11/02/202011/06/2020$0.0070.08%0.08%$110.68
10/01/202010/07/2020$0.0130.14%0.14%$110.69
09/01/202009/08/2020$0.0140.15%0.15%$110.70
08/03/202008/07/2020$0.0160.17%0.17%$110.72
06/01/202006/05/2020$0.0710.77%0.77%$110.71
05/01/202005/07/2020$0.0910.99%0.99%$110.80
04/01/202004/07/2020$0.1341.45%1.45%$110.94
03/02/202003/06/2020$0.1501.63%1.63%$110.87
02/03/202002/07/2020$0.1611.75%1.75%$110.48
12/19/201912/26/2019$0.1701.85%1.85%$110.41
12/02/201912/06/2019$0.1691.84%1.84%$110.51
11/01/201911/07/2019$0.1862.02%2.02%$110.54
10/01/201910/07/2019$0.1942.11%2.11%$110.55
09/03/201909/09/2019$0.1982.15%2.15%$110.51
08/01/201908/07/2019$0.2102.28%2.28%$110.52
07/01/201907/08/2019$0.2092.27%2.27%$110.49
06/03/201906/07/2019$0.2212.4%2.4%$110.49
05/01/201905/07/2019$0.2182.37%2.37%$110.40
04/01/201904/05/2019$0.2202.39%2.39%$110.40
03/01/201903/07/2019$0.2152.34%2.34%$110.39
02/01/201902/07/2019$0.2082.26%2.26%$110.40
12/18/201812/24/2018$0.2012.19%2.19%$110.25
12/03/201812/07/2018$0.1902.07%2.07%$110.33
11/01/201811/07/2018$0.1862.03%2.03%$110.29
10/01/201810/05/2018$0.1821.98%1.98%$110.30
09/04/201809/10/2018$0.1731.88%1.88%$110.34
08/01/201808/07/2018$0.1651.8%1.8%$110.31
07/02/201807/09/2018$0.1511.65%1.65%$110.32
06/01/201806/07/2018$0.1381.5%1.5%$110.29
05/01/201805/07/2018$0.1231.34%1.34%$110.28
04/02/201804/06/2018$0.1131.23%1.23%$110.27
03/01/201803/07/2018$0.1041.13%1.13%$110.22
02/01/201802/07/2018$0.1001.09%1.09%$110.25
12/21/201712/28/2017$0.0921%1%$110.24
12/01/201712/07/2017$0.0910.99%0.99%$110.26
11/01/201711/07/2017$0.0900.98%0.98%$110.27
10/02/201710/06/2017$0.0840.92%0.92%$110.30
09/01/201709/08/2017$0.0740.8%0.8%$110.34
08/01/201708/07/2017$0.0670.73%0.73%$110.32
07/03/201707/10/2017$0.0610.67%0.67%$110.29
06/01/201706/07/2017$0.0560.61%0.61%$110.26
05/01/201705/05/2017$0.0510.56%0.56%$110.24
04/03/201704/07/2017$0.0470.52%0.52%$110.25
03/01/201703/07/2017$0.0440.48%0.48%$110.27
02/01/201702/07/2017$0.0400.44%0.44%$110.35
12/22/201612/29/2016$0.0800.87%0.87%$110.31
12/01/201612/07/2016$0.0370.4%0.4%$110.30
11/01/201611/07/2016$0.0360.39%0.39%$110.37
10/03/201610/07/2016$0.0330.36%0.36%$110.39
09/01/201609/08/2016$0.0330.36%0.36%$110.36
08/01/201608/05/2016$0.0300.33%0.33%$110.38
07/01/201607/08/2016$0.0320.35%0.35%$110.41
06/01/201606/07/2016$0.0310.34%0.34%$110.38
05/02/201605/06/2016$0.0220.24%0.24%$110.41
04/01/201604/07/2016$0.0200.22%0.22%$110.37
03/01/201603/07/2016$0.0100.11%0.11%$110.29
02/01/201602/05/2016$0.0090.1%0.1%$110.29
12/24/201512/31/2015$0.0110.12%0.12%$110.22
12/01/201512/07/2015$0.0060.07%0.07%$110.20
11/02/201511/06/2015$0.0070.08%0.08%$110.22
10/01/201510/07/2015$0.0090.1%0.1%$110.32
09/01/201509/08/2015$0.0010.01%0.01%$110.28
12/26/201301/02/2014$0.0020.02%0.02%$110.23
03/01/201303/07/2013$0.0010.01%0.01%$110.22
02/01/201302/07/2013$0.0030.03%0.03%$110.22
12/03/201212/07/2012$0.0020.02%0.02%$110.22
10/01/201210/05/2012$0.0020.02%0.02%$110.21
09/04/201209/10/2012$0.0010.01%0.01%$110.22
12/27/201101/04/2012$0.0030.03%0.03%$110.21
12/01/201112/07/2011$0.0060.07%0.07%$110.22
11/01/201111/07/2011$0.0040.04%0.04%$110.24
10/03/201110/07/2011$0.0060.07%0.07%$110.23
09/01/201109/08/2011$0.0050.05%0.05%$110.23
08/01/201108/05/2011$0.0050.05%0.05%$110.25
07/01/201107/08/2011$0.0080.09%0.09%$110.24
06/01/201106/07/2011$0.0090.1%0.1%$110.23
05/02/201105/06/2011$0.0090.1%0.1%$110.28
04/01/201104/07/2011$0.0100.11%0.11%$110.25
09/01/201009/08/2010$0.0090.1%0.1%$110.20
11/02/200911/06/2009$0.0140.15%0.15%$110.18
08/03/200908/07/2009$0.0280.31%0.31%$110.14
08/01/200808/07/2008$0.2052.24%2.24%$110.02
04/01/200811/30/-0001$0.2152.34%2.34%$110.18
05/01/200811/30/-0001$0.1661.81%1.81%$110.14
06/02/200811/30/-0001$0.2062.25%2.25%$109.96
11/01/200711/30/-0001$0.3924.29%4.29%$109.55
07/01/200811/30/-0001$0.1952.13%2.13%$109.96
09/02/200811/30/-0001$0.1701.85%1.85%$109.98
10/01/200811/30/-0001$0.1451.58%1.58%$110.31
11/03/200811/30/-0001$0.1801.96%1.96%$110.33
12/01/200811/30/-0001$0.1451.58%1.58%$110.44
03/03/200811/30/-0001$0.2272.47%2.47%$110.08
02/01/200811/30/-0001$0.3003.27%3.27%$110.10
02/01/200711/30/-0001$0.3143.47%3.47%$108.69
03/01/200711/30/-0001$0.2572.83%2.83%$108.86
04/02/200711/30/-0001$0.2853.14%3.14%$109.00
05/01/200711/30/-0001$0.3313.64%3.64%$109.10
06/01/200711/30/-0001$0.4174.58%4.58%$109.18
07/02/200711/30/-0001$0.4745.21%5.21%$109.17
08/01/200711/30/-0001$0.4284.7%4.7%$109.18
09/04/200711/30/-0001$0.4184.58%4.58%$109.44
10/01/200711/30/-0001$0.3654%4%$109.46
12/03/200711/30/-0001$0.3623.96%3.96%$109.79
12/27/200711/30/-0001$0.3914.28%4.28%$109.61
12/29/200811/30/-0001$0.1401.52%1.52%$110.42
02/02/200911/30/-0001$0.0330.36%0.36%$110.31
03/02/200911/30/-0001$0.0650.71%0.71%$110.20
06/01/201011/30/-0001$0.0060.07%0.07%$110.19
07/01/201011/30/-0001$0.0070.08%0.08%$110.18
08/02/201011/30/-0001$0.0080.09%0.09%$110.19
10/01/201011/30/-0001$0.0090.1%0.1%$110.22
11/01/201011/30/-0001$0.0090.1%0.1%$110.19
12/01/201011/30/-0001$0.0090.1%0.1%$110.19
12/28/201011/30/-0001$0.0100.11%0.11%$110.24
02/01/201111/30/-0001$0.0100.11%0.11%$110.23
03/01/201111/30/-0001$0.0090.1%0.1%$110.20
10/01/201411/30/-0001$0.0010.01%0.01%$110.27
05/03/201011/30/-0001$0.0060.07%0.07%$110.16
04/01/201011/30/-0001$0.0030.03%0.03%$110.16
04/01/200911/30/-0001$0.0510.56%0.56%$110.22
05/01/200911/30/-0001$0.0480.52%0.52%$110.19
06/01/200911/30/-0001$0.0360.39%0.39%$110.24
07/01/200911/30/-0001$0.0270.29%0.29%$110.18
09/01/200911/30/-0001$0.0290.32%0.32%$110.11
10/01/200911/30/-0001$0.0220.24%0.24%$110.18
12/01/200911/30/-0001$0.0100.11%0.11%$110.21
12/29/200911/30/-0001$0.0140.15%0.15%$110.20
02/01/201011/30/-0001$0.0020.02%0.02%$110.19
03/01/201011/30/-0001$0.0080.09%0.09%$110.21
12/24/201411/30/-0001$0.0000%0%$110.24

Projected Future Returns & Dividends for SHV

Based on past 10-year performance, here are SHV growth metrics:

Share price CAGR of -0.04%
Dividend CAGR of +26.33%

Using SHV CAGR metrics, we can estimate that your initial $10000 investment, over the next 10 years, should grow as follows:

SHV (DRIP)SHV - No DRIP
Current Price$110.04$110.04
Start Shares90.8890.88
Start Value$10,000$10,000
  
After 10 years:
Final Share Count334.5490.88
Dividends Payment$3.50$3.50
Annual Dividends$14,058$3,819
Yield on cost140.58%38.19%
Share Price$109.65$109.65
Total Dividends$26,745$13,104
Final Value$36,683$23,068

Estimated Future Value + Dividends - SHV

NOTE: Above numbers are our estimate based on SHV's Dividend and Price CAGR over past 10 years. These numbers should only be considered as "potential future returns"! DRIP assumes reinvesting dividends; No-DRIP assumes collecting dividends as cash.

We cannot guarantee that your actual returns will meet these estimates.

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Company Info

iShares Trust iShares 0-1 Year Treasury Bond ETF (SHV) had its IPO on 2007-01-11, and is traded on NYSE stock exchange.

iShares Trust - iShares 0-1 Year Treasury Bond ETF is an exchange traded fund launched by BlackRock, Inc. It is managed by BlackRock Fund Advisors. The fund invests in fixed income markets of the United States. It invests in U.S. dollar denominated fixed rate treasury bonds with a remaining maturity of less than or equal to one year. The fund seeks to track the performance of the ICE Short US Treasury Securities Index, by using representative sampling technique. iShares Trust - iShares 0-1 Year Treasury Bond ETF was formed on January 5, 2007 and is domiciled in the United States.

SHV website: https://www.ishares.com/us/products/239466/ishares-short-treasury-bond-etf


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Loading signals…

DCF model unavailable for SHV — no fundamentals on file (ETFs and funds are not modelable).