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iShares 0-3 Month Treasury Bond ETF SGOV | NYSE

$100.67 $0.00 | 0.00%

Company Overview:

Market Cap: $0
Trailing PE: 0x
FWD PE: —
Payout Ratio (TTM): —
52-Week Range: $100.27 - $100.73

6.3 Year SGOV Performance Metrics:

Total Return (with DRIP): 19.1% (2.81% CAGR)
Total Return (no DRIP): 17.5% (2.60% CAGR)
Share Price: 0.7% (0.10% CAGR)
Yield on Cost (with DRIP): 4.36%
Total Invested: $10,000
Total Value (with DRIP): $11,907
Total Return $ (with DRIP): $1,907
Dividend Increase: 4,413% (85.44% CAGR)
Dividend Yield (FWD): 3.66% ($3.69)
SGOV 6.3-yr Total Return ($10K invested)
1Y 2Y 5Y 10Y All
SGOV Share Price
1Y 2Y 5Y 10Y All
SGOV Price CAGR:1Y: -0.03%2Y: -0.02%5Y: 0.13%10Y: 0.10%

SGOV Dividend Payments, Yield & Growth charts

Dividend Payments & Yield
SGOV Dividend CAGR:1Y: -14.73%2Y: -16.79%5Y: 176.39%10Y: 88.83%
Annual Dividends (Total Paid Per Year)
Dividend Growth Year Over Year

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SGOV Dividends Info:

Annual Dividend: $3.6852
Forward Yield: 3.66%
Ex-Dividend Date: 2026-09-01
Lifetime Dividends / Share: $17.24

SGOV Dividend History: Dates, Payments & Yield list

Below is a schedule of all SGOV 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$0.3073.67%3.67%$100.47
08/03/202608/06/2026$0.3073.67%3.66%$100.46
07/01/202607/07/2026$0.2963.54%3.53%$100.46
06/01/202606/04/2026$0.2993.58%3.58%$100.42
05/01/202605/06/2026$0.2983.56%3.56%$100.44
04/01/202604/07/2026$0.2933.5%3.5%$100.45
03/02/202603/05/2026$0.2723.26%3.26%$100.41
02/02/202602/05/2026$0.3093.7%3.7%$100.40
12/19/202512/24/2025$0.3233.87%3.86%$100.31
12/01/202512/04/2025$0.3133.74%3.74%$100.43
11/03/202511/06/2025$0.3484.15%4.15%$100.43
10/01/202510/06/2025$0.3474.14%4.14%$100.42
09/02/202509/05/2025$0.3604.3%4.3%$100.44
08/01/202508/06/2025$0.3624.33%4.33%$100.43
07/01/202507/07/2025$0.3474.15%4.15%$100.44
06/02/202506/05/2025$0.3584.28%4.28%$100.41
05/01/202505/05/2025$0.3354.01%4%$100.41
04/01/202504/04/2025$0.3464.14%4.14%$100.41
03/03/202503/06/2025$0.3133.75%3.74%$100.40
02/03/202502/06/2025$0.3634.35%4.34%$100.38
12/18/202412/23/2024$0.3724.46%4.45%$100.22
12/02/202412/05/2024$0.3784.52%4.52%$100.36
11/01/202411/06/2024$0.4154.97%4.96%$100.37
10/01/202410/04/2024$0.4305.14%5.14%$100.38
09/03/202409/06/2024$0.4445.3%5.3%$100.42
08/01/202408/06/2024$0.4535.42%5.42%$100.38
07/01/202407/05/2024$0.4395.25%5.25%$100.39
06/03/202406/07/2024$0.4405.26%5.26%$100.41
05/01/202405/07/2024$0.4285.12%5.11%$100.38
04/01/202404/05/2024$0.4505.38%5.38%$100.38
03/01/202403/07/2024$0.4104.9%4.9%$100.41
02/01/202402/07/2024$0.4585.48%5.48%$100.37
12/01/202312/07/2023$0.4435.3%5.3%$100.40
11/01/202311/07/2023$0.4275.11%5.11%$100.36
10/02/202310/06/2023$0.4124.93%4.92%$100.37
09/01/202309/08/2023$0.4315.15%5.15%$100.36
08/01/202308/07/2023$0.4425.29%5.28%$100.29
07/03/202307/10/2023$0.4174.99%4.98%$100.33
06/01/202306/07/2023$0.4325.17%5.17%$100.29
05/01/202305/05/2023$0.3924.7%4.69%$100.26
04/03/202304/07/2023$0.3624.33%0%$0.00
03/01/202303/07/2023$0.2783.33%3.33%$100.24
02/01/202302/07/2023$0.3944.72%4.72%$100.16
12/01/202212/07/2022$0.2833.4%3.4%$100.18
11/01/202211/07/2022$0.2412.89%2.88%$100.16
10/03/202210/07/2022$0.1571.88%1.88%$100.17
09/01/202209/08/2022$0.1682.01%2.01%$100.11
08/01/202208/05/2022$0.1161.39%1.39%$100.06
07/01/202207/08/2022$0.0690.83%0.83%$100.06
06/01/202206/07/2022$0.0410.5%0.5%$100.04
05/02/202205/06/2022$0.0250.29%0.29%$100.04
04/01/202204/07/2022$0.0180.22%0.22%$100.03
03/01/202203/07/2022$0.0080.1%0.1%$100.03
02/01/202202/07/2022$0.0020.02%0.02%$100.03
12/16/202112/22/2021$0.0050.06%0.06%$100.02
12/01/202112/07/2021$0.0030.04%0.04%$100.02
11/01/202111/05/2021$0.0030.03%0.03%$100.02
10/01/202110/07/2021$0.0030.04%0.04%$100.01
09/01/202109/08/2021$0.0030.03%0.03%$100.03
08/02/202108/06/2021$0.0020.02%0.02%$100.03
07/01/202107/08/2021$0.0020.02%0.02%$100.02
06/01/202106/07/2021$0.0020.02%0.02%$100.02
05/03/202105/07/2021$0.0040.04%0.04%$100.02
04/01/202104/08/2021$0.0010.01%0.01%$100.03
02/01/202102/05/2021$0.0050.06%0.06%$100.01
12/17/202012/23/2020$0.0060.07%0.07%$100.01
12/01/202012/07/2020$0.0050.07%0.07%$100.01
11/02/202011/06/2020$0.0050.06%0.06%$100.01
10/01/202010/07/2020$0.0050.06%0.06%$100.01
09/01/202009/08/2020$0.0070.08%0.08%$100.01
08/03/202008/07/2020$0.0110.13%0.13%$100.02
07/01/202007/08/2020$0.0060.07%0.07%$100.01

Projected Future Returns & Dividends for SGOV

Based on past 6.3-year performance, here are SGOV growth metrics:

Share price CAGR of +0.1%
Dividend CAGR of +89.05%

Using SGOV CAGR metrics, we can estimate that your initial $10000 investment, over the next 10 years, is modelled to grow as follows:

SGOV (DRIP)SGOV - No DRIP
Current Price$100.67$100.67
Start Shares99.3399.33
Start Value$10,000$10,000
  
After 10 years:
Final Share Count143.1799.33
Dividends Payment$0.31$0.31
Annual Dividends$533$370
Yield on cost5.33%3.70%
Share Price$101.73$101.73
Total Dividends$4,435$3,678
Final Value$14,564$13,783

Estimated Future Value + Dividends - SGOV

NOTE: Above numbers are our estimate based on SGOV's Dividend and Price CAGR over past 6.3 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 0-3 Month Treasury Bond ETF (SGOV) had its IPO on 2020-06-01, and is traded on NYSE stock exchange.

The iShares 0-3 Month Treasury Bond ETF is designed to mirror the financial performance of a benchmark index. This index is specifically constructed from short-dated United States Treasury securities, all of which possess a remaining maturity period of three months or less.

SGOV website: https://www.ishares.com/us/products/314116/ishares-0-3-month-treasury-bond-etf


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