Alpha Architect International Quantitative Value ETF

Symbol

IVAL

Price

$25.72

Exchange

NASDAQ

Industry

Asset Management

Dividend Yield

2.46%

Ex-Dividend Date

09-12-2024

Dividend Details


Ex-Dividend DateClose PriceAmountDividend YieldRecord DatePayment Date

09.12.2024

$24.82

$0.042735

0.17%

09.12.2024

09.13.2024

06.20.2024

$25.4

$0.4382

1.73%

06.20.2024

06.21.2024

03.13.2024

$26.36

$0.14811

0.56%

03.14.2024

03.15.2024

12.20.2023

$24.99

$0.32549

1.30%

12.21.2023

12.22.2023

09.27.2023

$24.34

$0.65326

2.68%

09.28.2023

09.29.2023

06.28.2023

$23.54

$0.12397

0.53%

06.29.2023

06.30.2023

03.29.2023

$23.08

$0.18587

0.81%

03.30.2023

03.31.2023

12.29.2022

$23.64

$1.752

7.41%

12.30.2022

01.06.2023

12.30.2021

$27.18

$0.674

2.48%

12.31.2021

01.05.2022

09.13.2021

-

$0.267

1.04%

09.14.2021

09.20.2021

06.14.2021

-

$0.098

0.38%

06.15.2021

06.21.2021

12.30.2020

$27.55

$0.17

0.62%

12.31.2020

01.05.2021

09.14.2020

-

$0.132

0.51%

09.15.2020

09.21.2020

06.15.2020

-

$0.113

0.44%

06.16.2020

06.22.2020

03.16.2020

-

$0.151

0.59%

03.17.2020

03.23.2020

12.30.2019

-

$0.204

0.79%

12.31.2019

01.06.2020

09.16.2019

-

$0.141

0.55%

09.17.2019

09.23.2019

06.17.2019

-

$0.371

1.44%

06.18.2019

06.24.2019

03.18.2019

-

$0.025

0.10%

03.19.2019

03.25.2019

12.27.2018

-

$0.22

0.86%

12.28.2018

01.07.2019

09.17.2018

-

$0.081

0.31%

09.18.2018

09.24.2018

06.18.2018

-

$0.383

1.49%

06.19.2018

06.25.2018

03.19.2018

-

$0.048

0.19%

03.20.2018

03.26.2018

12.27.2017

-

$0.331

1.29%

12.28.2017

01.03.2018

09.18.2017

-

$0.048

0.19%

09.19.2017

09.25.2017

06.19.2017

-

$0.193

0.75%

06.21.2017

06.26.2017

12.28.2016

-

$0.282

1.10%

12.30.2016

01.04.2017

06.20.2016

-

$0.214

0.83%

06.22.2016

06.27.2016

03.21.2016

-

$0.02365

0.09%

03.23.2016

03.28.2016

12.28.2015

-

$0.1

0.39%

12.30.2015

01.04.2016

09.16.2015

-

$0.061

0.24%

09.18.2015

09.23.2015

06.17.2015

-

$0.223

0.87%

06.19.2015

06.24.2015

03.18.2015

-

$0.062

0.24%

03.20.2015

03.25.2015

12.29.2014

-

$0.052

0.20%

12.31.2014

01.05.2015

Holdings

NameWeight (%)
Ampol Ltd2.067%
Volvo AB2.054%
ENEOS Holdings Inc2.04%
Saipem SpA2.034%
TUI AG2.034%
Hafnia Ltd2.02%
Buzzi SpA2.013%
SKF AB2.013%
Eiffage SA2.007%
Galp Energia SGPS SA2.007%
Nokia Oyj2.007%
Heidelberg Materials AG2%
AGL Energy Ltd1.993%
Rexel SA1.993%
Cie de Saint-Gobain SA1.993%
Toyota Tsusho Corp1.986%
Iveco Group NV1.986%
Yangzijiang Shipbuilding Holdings Ltd1.986%
Subaru Corp1.98%
Takashimaya Co Ltd1.98%
Fortum Oyj1.98%
IMPERIAL BRANDS PLC1.98%
Shell PLC1.98%
SSAB AB1.98%
Honda Motor Co Ltd1.973%
Yamaha Motor Co Ltd1.973%
Engie SA1.973%
easyJet PLC1.973%
Fortescue Ltd1.966%
Yamazaki Baking Co Ltd1.959%
Suntory Beverage & Food Ltd1.959%
Niterra Co Ltd1.959%
Cie Generale des Etablissements Michelin SCA1.959%
Persol Holdings Co Ltd1.953%
Rio Tinto Ltd1.953%
Toyo Tire Corp1.946%
Bridgestone Corp1.946%
Komatsu Ltd1.946%
Aisin Corp1.946%
Shimamura Co Ltd1.946%
Daito Trust Construction Co Ltd1.939%
Sekisui Chemical Co Ltd1.939%
Kuraray Co Ltd1.933%
Yokohama Rubber Co Ltd/The1.933%
Toyota Motor Corp1.933%
Enel SpA1.919%
Japan Airlines Co Ltd1.906%
Suzuki Motor Corp1.885%
ORANGE S.A.1.885%
Nitto Denko Corp1.865%
Cash & Other0.943%
First American Government Obligations Fund 12/01/20310.471%
EURO0.007%