Nomura Global Bond Fund Class Y (IVSYX)
NASDAQ · Mutual Fund · Delayed Price · Currency is USD
9.32
+0.02 (0.22%)
Feb 13, 2026, 9:30 AM EST
IVSYX Dividend Information
IVSYX has an annual dividend of $0.34 per share, with a yield of 3.64%. The dividend is paid every month and the last ex-dividend date was Jan 22, 2026.
Dividend Yield
3.64%
Annual Dividend
$0.34
Ex-Dividend Date
Jan 22, 2026
Payout Frequency
Monthly
Payout Ratio
n/a
Dividend Growth(1Y)
13.80%
Dividend History
| Ex-Dividend Date | Cash Amount | Pay Date |
|---|---|---|
| Jan 22, 2026 | $0.01571 | Jan 22, 2026 |
| Dec 12, 2025 | $0.12205 | Dec 12, 2025 |
| Nov 21, 2025 | $0.01713 | Nov 21, 2025 |
| Oct 22, 2025 | $0.01775 | Oct 23, 2025 |
| Sep 22, 2025 | $0.01888 | Sep 23, 2025 |
| Aug 22, 2025 | $0.01545 | Aug 25, 2025 |
| Jul 22, 2025 | $0.01332 | Jul 23, 2025 |
| Jun 20, 2025 | $0.02111 | Jun 23, 2025 |
| May 22, 2025 | $0.02652 | May 23, 2025 |
| Apr 22, 2025 | $0.02248 | Apr 23, 2025 |
| Mar 21, 2025 | $0.02649 | Mar 24, 2025 |
| Feb 21, 2025 | $0.02261 | Feb 24, 2025 |
| Jan 22, 2025 | $0.01749 | Jan 23, 2025 |
| Dec 13, 2024 | $0.05483 | Dec 16, 2024 |
| Nov 22, 2024 | $0.01286 | Nov 25, 2024 |
| Oct 22, 2024 | $0.01266 | Oct 23, 2024 |
| Sep 20, 2024 | $0.01671 | Sep 23, 2024 |
| Aug 22, 2024 | $0.02713 | Aug 23, 2024 |
| Jul 22, 2024 | $0.02593 | Jul 23, 2024 |
| Jun 21, 2024 | $0.02578 | Jun 24, 2024 |
| May 22, 2024 | $0.02659 | May 23, 2024 |
| Apr 22, 2024 | $0.02649 | Apr 23, 2024 |
| Mar 22, 2024 | $0.02697 | Mar 25, 2024 |
| Feb 22, 2024 | $0.0249 | Feb 23, 2024 |
| Jan 22, 2024 | $0.04408 | Jan 23, 2024 |
| Nov 22, 2023 | $0.02645 | Nov 24, 2023 |
| Oct 20, 2023 | $0.02563 | Oct 23, 2023 |
| Sep 22, 2023 | $0.0265 | Sep 25, 2023 |
| Aug 22, 2023 | $0.02891 | Aug 23, 2023 |
| Jul 21, 2023 | $0.02457 | Jul 24, 2023 |
| Jun 22, 2023 | $0.02731 | Jun 23, 2023 |
| May 22, 2023 | $0.029 | May 23, 2023 |
| Apr 21, 2023 | $0.026 | Apr 24, 2023 |
| Mar 22, 2023 | $0.010 | Mar 23, 2023 |
| Jan 20, 2023 | $0.025 | Jan 23, 2023 |
| Dec 15, 2022 | $0.125 | Dec 16, 2022 |
| Nov 10, 2022 | $0.018 | Nov 10, 2022 |
| Oct 13, 2022 | $0.018 | Oct 13, 2022 |
| Sep 15, 2022 | $0.019 | Sep 15, 2022 |
| Aug 11, 2022 | $0.018 | Aug 11, 2022 |
| Jul 14, 2022 | $0.018 | Jul 14, 2022 |
| Jun 7, 2022 | $0.016 | Jun 7, 2022 |
| May 12, 2022 | $0.014 | May 12, 2022 |
| Apr 14, 2022 | $0.007 | Apr 14, 2022 |
| Mar 10, 2022 | $0.016 | Mar 10, 2022 |
| Feb 10, 2022 | $0.015 | Feb 10, 2022 |
| Jan 13, 2022 | $0.007 | Jan 13, 2022 |
| Dec 16, 2021 | $0.038 | Dec 16, 2021 |
| Nov 11, 2021 | $0.022 | Nov 11, 2021 |
| Oct 14, 2021 | $0.022 | Oct 14, 2021 |
| Sep 16, 2021 | $0.022 | Sep 16, 2021 |
| Aug 12, 2021 | $0.022 | Aug 12, 2021 |
| Jul 15, 2021 | $0.022 | Jul 15, 2021 |
| Jun 10, 2021 | $0.022 | Jun 10, 2021 |
| May 13, 2021 | $0.022 | May 13, 2021 |
| Apr 15, 2021 | $0.022 | Apr 15, 2021 |
| Mar 11, 2021 | $0.022 | Mar 11, 2021 |
| Feb 11, 2021 | $0.022 | Feb 11, 2021 |
* Mutual funds include both dividends and capital gains distributions. Dividend amounts are adjusted for stock
splits.