VictoryShares Short-Term Bond ETF (USTB)
NASDAQ: USTB · Real-Time Price · USD
51.04
+0.01 (0.03%)
Mar 3, 2026, 4:00 PM EST - Market closed

USTB Dividend Information

USTB has a dividend yield of 4.58% and paid $2.34 per share in the past year. The dividend is paid every month and the last ex-dividend date was Feb 9, 2026.

Dividend Yield
4.58%
Annual Dividend
$2.34
Ex-Dividend Date
Feb 9, 2026
Payout Frequency
Monthly
Payout Ratio
n/a
Dividend Growth
-5.66%

Dividend History

Ex-Div Date AmountRecord DatePay Date
2026-02-09$0.18312026-02-092026-02-10
2026-01-08$0.034142026-01-082026-01-09
2025-12-11$0.362472025-12-112025-12-12
2025-11-07$0.184412025-11-072025-11-10
2025-10-09$0.209982025-10-092025-10-10
2025-09-08$0.188072025-09-082025-09-09
2025-08-06$0.174232025-08-062025-08-07
2025-07-10$0.216382025-07-102025-07-11
2025-06-09$0.191742025-06-092025-06-10
2025-05-08$0.188572025-05-082025-05-09
2025-04-10$0.209392025-04-102025-04-11
2025-03-10$0.193022025-03-102025-03-11
2025-02-07$0.189222025-02-072025-02-10
2025-01-08$0.043892025-01-082025-01-09
2024-12-12$0.359762024-12-122024-12-13
2024-11-07$0.210322024-11-072024-11-08
2024-10-08$0.168672024-10-082024-10-09
2024-09-11$0.237662024-09-112024-09-12
2024-08-08$0.205232024-08-082024-08-09
2024-07-10$0.196332024-07-102024-07-11
2024-06-12$0.236982024-06-122024-06-13
2024-05-09$0.197422024-05-102024-05-13
2024-04-11$0.224682024-04-122024-04-15
2024-03-11$0.205472024-03-122024-03-13
2024-02-09$0.198812024-02-122024-02-13
2024-01-11$0.094492024-01-122024-01-16
2023-12-18$0.345982023-12-192023-12-20
2023-11-08$0.216672023-11-092023-11-10
2023-10-11$0.238492023-10-122023-10-13
2023-09-06$0.172192023-09-072023-09-08
2023-08-08$0.244082023-08-092023-08-10
2023-07-10$0.168992023-07-112023-07-12
2023-06-09$0.166252023-06-122023-06-13
2023-05-10$0.187682023-05-112023-05-12
2023-04-11$0.154572023-04-122023-04-13
2023-03-10$0.160532023-03-132023-03-14
2023-02-10$0.14552023-02-132023-02-14
2023-01-12$0.023332023-01-132023-01-17
2022-12-16$0.275442022-12-192022-12-20
2022-11-08$0.12442022-11-092022-11-10
2022-10-11$0.13882022-10-122022-10-13
2022-09-09$0.122972022-09-122022-09-13
2022-08-09$0.097882022-08-102022-08-11
2022-07-11$0.084912022-07-122022-07-13
2022-06-10$0.082462022-06-132022-06-14
2022-05-10$0.088172022-05-112022-05-12
2022-04-11$0.06932022-04-122022-04-13
2022-03-11$0.07882022-03-142022-03-15
2022-02-10$0.06392022-02-112022-02-14
2022-01-12$0.0102022-01-132022-01-14
2021-12-16$0.1102021-12-172021-12-20
2021-12-09$0.17222021-12-102021-12-13
2021-11-08$0.06832021-11-092021-11-10
2021-10-08$0.06322021-10-122021-10-13
2021-09-09$0.06772021-09-102021-09-13
2021-08-09$0.07342021-08-102021-08-11
2021-07-09$0.06712021-07-122021-07-13
2021-06-10$0.06682021-06-112021-06-14
2021-05-10$0.05822021-05-112021-05-12
2021-04-09$0.05832021-04-122021-04-13
2021-03-11$0.07732021-03-122021-03-15
2021-02-10$0.057262021-02-112021-02-12
* Dividend amounts are adjusted for stock splits when applicable.

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