iShares Corporate Bond Index Fund (UK)

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iShares Corporate Bond Index Fund (UK) D Inc

Category GBP Corporate Bond


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This fund can be held in an Investment ISA, SIPP and Investment Account
Last buy/sell price

115.769p

arrow-up0.039p (+0.03%)

Fund Code

MCCBI

B7J60R4

GB00B7J60R40

Prices updated as at 12 Dec 2025
|
Prices in GBX

Investment objective
The aim of the Fund is to provide a return on investor's investment (generated through an increase in the value of the assets held by the Fund and/or income received from those assets) by tracking closely the performance of the Markit iBoxx GBP Non-Gilts Overall TR Index (the “Benchmark Index”). In seeking to achieve its investment objective, the Fund will invest directly into the fixed income securities (i.e. bonds) in the Benchmark Index and at times invest indirectly via other fixed income-related investments (i.e. other investments whose value is related to debt) giving exposure to such fixed income securities, or in other fixed income securities not in the Index.

Dividend information

Dividend information
4.34
-
-
Monthly
01 Dec 2025

Dividend history

Ex-div datePer share amountReinvestment price
01 Dec 20250.0037191.157851
03 Nov 20250.0041261.161127
01 Oct 20250.0039491.14198
01 Sep 20250.0040491.135782
01 Aug 20250.0040411.142351
01 Jul 20250.0040091.148977
02 Jun 20250.0038771.131392
01 May 20250.0039061.139552
01 Apr 20250.0040211.129291
03 Mar 20250.0035481.138144
03 Feb 20250.0040231.141129
02 Jan 20250.0039411.1325
02 Dec 20240.0035091.141695
01 Nov 20240.0037641.130441
01 Oct 20240.0036171.149612
02 Sep 20240.0037071.146493
01 Aug 20240.0037511.150063
01 Jul 20240.0035431.130057
03 Jun 20240.0036441.130587
01 May 20240.0035021.119384
02 Apr 20240.0035931.140512
01 Mar 20240.0033541.129861
01 Feb 20240.0035071.141032
02 Jan 20240.00351.14847
01 Dec 20230.0032621.11065
01 Nov 20230.0033451.079836
02 Oct 20230.0030451.082436
01 Sep 20230.0030951.086378
01 Aug 20230.0029811.088796
03 Jul 20230.0028411.070192
01 Jun 20230.0029311.087551
02 May 20230.0028041.109923
03 Apr 20230.0028631.115988
01 Mar 20230.0024841.109266
01 Feb 20230.0026581.137095
03 Jan 20230.0025031.105204
01 Dec 20220.0023771.126456
01 Nov 20220.0024821.092185
10 Mar 20220.0022851.276272
03 Oct 20220.0022851.049437
01 Sep 20220.0023321.13282
01 Aug 20220.0023181.213011
01 Jul 20220.0022741.184997
01 Jun 20220.0023711.217399
03 May 20220.0021541.23048
04 Jan 20220.0022991.356
01 Apr 20220.0022991.271011
01 Mar 20220.0021641.305238
01 Feb 20220.0022831.323
01 Dec 20210.0022311.377
01 Nov 20210.0023131.365
01 Oct 20210.002261.366
01 Sep 20210.002391.396
02 Aug 20210.0023441.403
01 Jul 20210.0022741.383
01 Jun 20210.0023861.375
04 May 20210.0022811.375
01 Apr 20210.0024171.37
01 Mar 20210.0021761.374
01 Feb 20210.002411.418
04 Jan 20210.002451.437
01 Dec 20200.0023991.416
02 Nov 20200.0024811.399
01 Oct 20200.0024391.397
01 Sep 20200.0025261.39
01 Jul 20200.0024911.387
03 Aug 20200.0025671.408
01 Jun 20200.0026061.374
01 May 20200.0025131.364
01 Apr 20200.0026551.306
02 Mar 20200.0024531.392
03 Feb 20200.002621.394
02 Jan 20200.0026481.361
02 Dec 20190.0025431.362
01 Nov 20190.0026131.369
01 Oct 20190.0025441.372
02 Sep 20190.0026171.383
01 Aug 20190.0027551.362
01 Jul 20190.0025421.339
03 Jun 20190.0026471.326
01 May 20190.0025471.314
01 Apr 20190.0026531.317
01 Mar 20190.0023871.29
01 Feb 20190.0026171.291
02 Jan 20190.0026351.279
03 Dec 20180.0025481.263
01 Nov 20180.0026551.281
01 Oct 20180.0025291.279
03 Sep 20180.0026021.295
01 Aug 20180.0026431.289
02 Jul 20180.0025391.292
01 Jun 20180.0025981.296
01 May 20180.0025941.298
03 Apr 20180.0026541.302
01 Mar 20180.0023951.3
01 Feb 20180.002591.305
02 Jan 20180.0026751.319
01 Dec 20170.0025311.313
01 Nov 20170.002631.311
02 Oct 20170.0025271.309
01 Sep 20170.0026471.334
01 Aug 20170.0026731.32
03 Jul 20170.0028691.312
01 Jun 20170.0027271.329
02 May 20170.0025971.318
03 Apr 20170.0028131.316
Please note that past performance is not a reliable indicator of future returns.


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