ISHARES PLC (IUKD) RNS Announcements

Add to Alert list
Date Time Source Announcement
29 Sep 2025 07:10 AM
RNS
Net Asset Value(s)
26 Sep 2025 07:10 AM
RNS
Net Asset Value(s)
25 Sep 2025 07:10 AM
RNS
Net Asset Value(s)
24 Sep 2025 07:10 AM
RNS
Net Asset Value(s)
23 Sep 2025 07:10 AM
RNS
Net Asset Value(s)
22 Sep 2025 07:10 AM
RNS
Net Asset Value(s)
19 Sep 2025 07:10 AM
RNS
Net Asset Value(s)
18 Sep 2025 07:10 AM
RNS
Net Asset Value(s)
17 Sep 2025 07:10 AM
RNS
Net Asset Value(s)
16 Sep 2025 07:10 AM
RNS
Net Asset Value(s)
15 Sep 2025 07:10 AM
RNS
Net Asset Value(s)
12 Sep 2025 07:10 AM
RNS
Net Asset Value(s)
11 Sep 2025 07:10 AM
RNS
Net Asset Value(s)
10 Sep 2025 07:10 AM
RNS
Net Asset Value(s)
09 Sep 2025 07:10 AM
RNS
Net Asset Value(s)
08 Sep 2025 07:10 AM
RNS
Net Asset Value(s)
05 Sep 2025 07:10 AM
RNS
Net Asset Value(s)
04 Sep 2025 07:10 AM
RNS
Net Asset Value(s)
04 Sep 2025 07:00 AM
RNS
Dividend Declaration
03 Sep 2025 07:10 AM
RNS
Net Asset Value(s)
02 Sep 2025 07:10 AM
RNS
Net Asset Value(s)
01 Sep 2025 07:10 AM
RNS
Net Asset Value(s)
29 Aug 2025 07:10 AM
RNS
Net Asset Value(s)
28 Aug 2025 07:10 AM
RNS
Net Asset Value(s)
27 Aug 2025 07:10 AM
RNS
Net Asset Value(s)
26 Aug 2025 07:10 AM
RNS
Net Asset Value(s)
22 Aug 2025 07:10 AM
RNS
Net Asset Value(s)
21 Aug 2025 07:10 AM
RNS
Net Asset Value(s)
20 Aug 2025 07:10 AM
RNS
Net Asset Value(s)
19 Aug 2025 07:10 AM
RNS
Net Asset Value(s)
18 Aug 2025 07:10 AM
RNS
Net Asset Value(s)
15 Aug 2025 07:10 AM
RNS
Net Asset Value(s)
14 Aug 2025 07:10 AM
RNS
Net Asset Value(s)
13 Aug 2025 07:10 AM
RNS
Net Asset Value(s)
12 Aug 2025 07:10 AM
RNS
Net Asset Value(s)
11 Aug 2025 07:10 AM
RNS
Net Asset Value(s)
08 Aug 2025 07:10 AM
RNS
Net Asset Value(s)
07 Aug 2025 07:10 AM
RNS
Net Asset Value(s)
06 Aug 2025 07:10 AM
RNS
Net Asset Value(s)
05 Aug 2025 07:10 AM
RNS
Net Asset Value(s)
04 Aug 2025 07:10 AM
RNS
Net Asset Value(s)
01 Aug 2025 07:10 AM
RNS
Net Asset Value(s)
31 Jul 2025 07:10 AM
RNS
Net Asset Value(s)
30 Jul 2025 07:10 AM
RNS
Net Asset Value(s)
29 Jul 2025 07:10 AM
RNS
Net Asset Value(s)
28 Jul 2025 07:10 AM
RNS
Net Asset Value(s)
25 Jul 2025 07:10 AM
RNS
Net Asset Value(s)
24 Jul 2025 07:10 AM
RNS
Net Asset Value(s)
23 Jul 2025 07:10 AM
RNS
Net Asset Value(s)
22 Jul 2025 07:10 AM
RNS
Net Asset Value(s)

The Fund seeks to track the performance of an index composed of 50 stocks with leading dividend yields from UK listed companies, excluding investment trusts.

IUKD share price launched at 999p in 2005.

UK 100

Latest directors dealings