BlackRock Sustainable Emerging Markets Equity Fund Investor A Class (MDPCX) Dividend 2026: History, Ex-Dividend Dates & Yield

$16.09
-$0.01-0.06%Friday 00:00
Dividend Yield
1.89%
Dividend amount
$0.05
Last ex-date
Jul 17, 2025
Last pay date
Jul 18, 2025

Summary

BlackRock Sustainable Emerging Markets Equity Fund Investor A Class (MDPCX). Dividend Frequency: semi-annual. The latest recorded dividend from BlackRock Sustainable Emerging Markets Equity Fund Investor A Class was $0.05 per share. Last ex-date: July 17, 2025. The last dividend payment from BlackRock Sustainable Emerging Markets Equity Fund Investor A Class was made on July 18, 2025. The next dividend payment from BlackRock Sustainable Emerging Markets Equity Fund Investor A Class is estimated for December 11, 2026. Estimated next dividend amount: $0.25. The current dividend yield of BlackRock Sustainable Emerging Markets Equity Fund Investor A Class is 1.89%.

Upcoming

Past

Historical totals include confirmed records only, using payment dates where available and ex-dates otherwise. Rows marked as ex-dates do not confirm payment.

DateAmountChange
$0.05
-83.04%
Jul 18, 2025
$0.05
-78.44%
$0.32
+82.21%
Dec 11, 2024
$0.25
+269.2%
Jul 19, 2024
$0.07
-16.78%
$0.17
+78.98%
Dec 11, 2023
$0.08
-12.51%
Jul 21, 2023
$0.09
+172.12%
$0.10
-96.64%
Dec 8, 2022
$0.03
-45.96%
Jul 15, 2022
$0.06
-51.03%
$2.90
+3,242.04%
Dec 8, 2021
$0.02
-97.62%
Dec 8, 2021
$0.13
+443.75%
Dec 8, 2021
$1.68
+1,197.2%
Jul 16, 2021
$0.08
+71.82%
Jul 16, 2021
$1.00
+1,223.75%
$0.09
-16.5%
Dec 8, 2020
$0.04
+2.04%
Jul 17, 2020
$0.04
-46.12%
$0.10
-84.61%
Dec 6, 2019
$0.08
+229.39%
Jul 19, 2019
$0.02
-69.73%
$0.68
-79.65%
Dec 7, 2018
$0.08
-
Dec 7, 2018
$0.08
+3.67%
Dec 7, 2018
$0.41
+415.2%
Jul 20, 2018
$0.02
-99.04%
10Y Growth
0%
5Y Growth
0%
3Y Growth
0%
1Y Growth
0%

Community

FAQs

How much dividend does BlackRock Sustainable Emerging Markets Equity Fund Investor A Class pay?▼
Based on the current price and yield, the annualized dividend estimate for BlackRock Sustainable Emerging Markets Equity Fund Investor A Class is $0.30 per share.
What is the dividend yield of BlackRock Sustainable Emerging Markets Equity Fund Investor A Class?▼
The current dividend yield of BlackRock Sustainable Emerging Markets Equity Fund Investor A Class is 1.89%.
When does BlackRock Sustainable Emerging Markets Equity Fund Investor A Class pay dividends?▼
Dividend Frequency: semi-annual. The next dividend payment from BlackRock Sustainable Emerging Markets Equity Fund Investor A Class is estimated for December 11, 2026.
When is the next dividend from BlackRock Sustainable Emerging Markets Equity Fund Investor A Class?▼
The next dividend payment from BlackRock Sustainable Emerging Markets Equity Fund Investor A Class is estimated for December 11, 2026.
How safe is the dividend of BlackRock Sustainable Emerging Markets Equity Fund Investor A Class?▼
BlackRock Sustainable Emerging Markets Equity Fund Investor A Class has paid a dividend for 19 consecutive years.
What is the dividend of BlackRock Sustainable Emerging Markets Equity Fund Investor A Class?▼
The latest recorded dividend from BlackRock Sustainable Emerging Markets Equity Fund Investor A Class was $0.05 per share.
When did I have to buy the shares of BlackRock Sustainable Emerging Markets Equity Fund Investor A Class to receive the previous dividend?▼
To receive the previous dividend from BlackRock Sustainable Emerging Markets Equity Fund Investor A Class, you needed to own the shares before the ex-dividend date of July 17, 2025.
When did BlackRock Sustainable Emerging Markets Equity Fund Investor A Class pay the last dividend?▼
The last dividend payment from BlackRock Sustainable Emerging Markets Equity Fund Investor A Class was made on July 18, 2025.
What was the dividend of BlackRock Sustainable Emerging Markets Equity Fund Investor A Class in 2025?▼
BlackRock Sustainable Emerging Markets Equity Fund Investor A Class has recorded dividends totaling $0.05 per share for 2025.
In which currency is the dividend history shown?▼
Dividend history amounts are shown in USD.