US Treasury 12 Month Bill Mutual Fund logo

US Treasury 12 Month Bill Mutual Fund (OBIL)

Market Closed
17 Jul, 20:00
NASDAQ (NMS) NASDAQ (NMS)
$
50. 10
+0.01
+0.01%
$
301M Market Cap
0.82% Div Yield
14,400 Volume
$ 50.09
Previous Close
Add Transaction
Day Range
50.09 50.11
Year Range
49.97 50.33
Want to track OBIL and more in your Portfolio? 🎯
Sign up for Marketlog, a portfolio tracker that will exceed your expectations!
Name Ex-Dividend Date Dividend Payment Date Record Date Declaration Date Frequency
US Treasury 12 Month Bill Mutual Fund logo
OBIL Paid
US Treasury 12 Month Bill Mutual Fund
30 Jun 2026
29 Jun 2026
$0.15
30 Jun 2026
29 Jun 2026
7 Jan 2026
Monthly
US Treasury 12 Month Bill Mutual Fund logo
OBIL Paid
US Treasury 12 Month Bill Mutual Fund
29 May 2026
28 May 2026
$0.15
29 May 2026
28 May 2026
7 Jan 2026
Monthly
US Treasury 12 Month Bill Mutual Fund logo
OBIL Paid
US Treasury 12 Month Bill Mutual Fund
29 Apr 2026
28 Apr 2026
$0.15
29 Apr 2026
28 Apr 2026
7 Jan 2026
Monthly
US Treasury 12 Month Bill Mutual Fund logo
OBIL Paid
US Treasury 12 Month Bill Mutual Fund
31 Mar 2026
30 Mar 2026
$0.14
31 Mar 2026
30 Mar 2026
27 Mar 2026
Monthly
US Treasury 12 Month Bill Mutual Fund logo
OBIL Paid
US Treasury 12 Month Bill Mutual Fund
27 Feb 2026
26 Feb 2026
$0.14
27 Feb 2026
26 Feb 2026
7 Jan 2026
Monthly
US Treasury 12 Month Bill Mutual Fund logo
OBIL Paid
US Treasury 12 Month Bill Mutual Fund
30 Jan 2026
29 Jan 2026
$0.15
30 Jan 2026
29 Jan 2026
7 Jan 2026
Monthly
US Treasury 12 Month Bill Mutual Fund logo
OBIL Paid
US Treasury 12 Month Bill Mutual Fund
31 Dec 2025
30 Dec 2025
$0.15
31 Dec 2025
30 Dec 2025
29 Dec 2025
Monthly
US Treasury 12 Month Bill Mutual Fund logo
OBIL Paid
US Treasury 12 Month Bill Mutual Fund
3 Dec 2025
2 Dec 2025
$0.15
3 Dec 2025
2 Dec 2025
1 Dec 2025
Monthly
US Treasury 12 Month Bill Mutual Fund logo
OBIL Paid
US Treasury 12 Month Bill Mutual Fund
4 Nov 2025
3 Nov 2025
$0.15
4 Nov 2025
3 Nov 2025
31 Oct 2025
Monthly
US Treasury 12 Month Bill Mutual Fund logo
OBIL Paid
US Treasury 12 Month Bill Mutual Fund
2 Oct 2025
1 Oct 2025
$0.15
2 Oct 2025
1 Oct 2025
30 Sep 2025
Monthly
US Treasury 12 Month Bill Mutual Fund logo
OBIL Paid
US Treasury 12 Month Bill Mutual Fund
3 Sep 2025
2 Sep 2025
$0.16
3 Sep 2025
2 Sep 2025
29 Aug 2025
Monthly
US Treasury 12 Month Bill Mutual Fund logo
OBIL Paid
US Treasury 12 Month Bill Mutual Fund
4 Aug 2025
1 Aug 2025
$0.16
4 Aug 2025
1 Aug 2025
31 Jul 2025
Monthly
US Treasury 12 Month Bill Mutual Fund logo
OBIL Paid
US Treasury 12 Month Bill Mutual Fund
2 Jul 2025
1 Jul 2025
$0.18
2 Jul 2025
1 Jul 2025
30 Jun 2025
Monthly
US Treasury 12 Month Bill Mutual Fund logo
OBIL Paid
US Treasury 12 Month Bill Mutual Fund
3 Jun 2025
2 Jun 2025
$0.16
3 Jun 2025
2 Jun 2025
30 May 2025
Monthly
US Treasury 12 Month Bill Mutual Fund logo
OBIL Paid
US Treasury 12 Month Bill Mutual Fund
2 May 2025
1 May 2025
$0.16
2 May 2025
1 May 2025
30 Apr 2025
Monthly
US Treasury 12 Month Bill Mutual Fund logo
OBIL Paid
US Treasury 12 Month Bill Mutual Fund
2 Apr 2025
1 Apr 2025
$0.17
2 Apr 2025
1 Apr 2025
31 Mar 2025
Monthly
US Treasury 12 Month Bill Mutual Fund logo
OBIL Paid
US Treasury 12 Month Bill Mutual Fund
4 Mar 2025
3 Mar 2025
$0.17
4 Mar 2025
3 Mar 2025
28 Feb 2025
Monthly
US Treasury 12 Month Bill Mutual Fund logo
OBIL Paid
US Treasury 12 Month Bill Mutual Fund
4 Feb 2025
3 Feb 2025
$0.17
4 Feb 2025
3 Feb 2025
31 Jan 2025
Monthly
US Treasury 12 Month Bill Mutual Fund logo
OBIL Paid
US Treasury 12 Month Bill Mutual Fund
31 Dec 2024
30 Dec 2024
$0.17
31 Dec 2024
30 Dec 2024
27 Dec 2024
Monthly
US Treasury 12 Month Bill Mutual Fund logo
OBIL Paid
US Treasury 12 Month Bill Mutual Fund
3 Dec 2024
2 Dec 2024
$0.17
3 Dec 2024
2 Dec 2024
29 Nov 2024
Monthly
US Treasury 12 Month Bill Mutual Fund logo
OBIL Paid
US Treasury 12 Month Bill Mutual Fund
4 Nov 2024
1 Nov 2024
$0.16
4 Nov 2024
1 Nov 2024
31 Oct 2024
Monthly
US Treasury 12 Month Bill Mutual Fund logo
OBIL Paid
US Treasury 12 Month Bill Mutual Fund
2 Oct 2024
1 Oct 2024
$0.17
2 Oct 2024
1 Oct 2024
30 Sep 2024
Monthly
US Treasury 12 Month Bill Mutual Fund logo
OBIL Paid
US Treasury 12 Month Bill Mutual Fund
4 Sep 2024
3 Sep 2024
$0.19
4 Sep 2024
3 Sep 2024
30 Aug 2024
Monthly
US Treasury 12 Month Bill Mutual Fund logo
OBIL Paid
US Treasury 12 Month Bill Mutual Fund
2 Aug 2024
1 Aug 2024
$0.2
2 Aug 2024
1 Aug 2024
31 Jul 2024
Monthly
US Treasury 12 Month Bill Mutual Fund logo
OBIL Paid
US Treasury 12 Month Bill Mutual Fund
2 Jul 2024
1 Jul 2024
$0.21
2 Jul 2024
1 Jul 2024
28 Jun 2024
Monthly
US Treasury 12 Month Bill Mutual Fund logo
OBIL Paid
US Treasury 12 Month Bill Mutual Fund
4 Jun 2024
3 Jun 2024
$0.21
4 Jun 2024
3 Jun 2024
31 May 2024
Monthly
US Treasury 12 Month Bill Mutual Fund logo
OBIL Paid
US Treasury 12 Month Bill Mutual Fund
3 May 2024
1 May 2024
$0.2
3 May 2024
2 May 2024
30 Apr 2024
Monthly
US Treasury 12 Month Bill Mutual Fund logo
OBIL Paid
US Treasury 12 Month Bill Mutual Fund
3 Apr 2024
1 Apr 2024
$0.2
3 Apr 2024
2 Apr 2024
28 Mar 2024
Monthly
US Treasury 12 Month Bill Mutual Fund logo
OBIL Paid
US Treasury 12 Month Bill Mutual Fund
5 Mar 2024
1 Mar 2024
$0.2
5 Mar 2024
4 Mar 2024
29 Feb 2024
Monthly
US Treasury 12 Month Bill Mutual Fund logo
OBIL Paid
US Treasury 12 Month Bill Mutual Fund
5 Feb 2024
1 Feb 2024
$0.2
5 Feb 2024
2 Feb 2024
31 Jan 2024
Monthly
US Treasury 12 Month Bill Mutual Fund logo
OBIL Paid
US Treasury 12 Month Bill Mutual Fund
29 Dec 2023
27 Dec 2023
$0.21
29 Dec 2023
28 Dec 2023
26 Dec 2023
Monthly
US Treasury 12 Month Bill Mutual Fund logo
OBIL Paid
US Treasury 12 Month Bill Mutual Fund
5 Dec 2023
1 Dec 2023
$0.22
5 Dec 2023
4 Dec 2023
30 Nov 2023
Monthly
US Treasury 12 Month Bill Mutual Fund logo
OBIL Paid
US Treasury 12 Month Bill Mutual Fund
3 Nov 2023
1 Nov 2023
$0.22
3 Nov 2023
2 Nov 2023
31 Oct 2023
Monthly
US Treasury 12 Month Bill Mutual Fund logo
OBIL Paid
US Treasury 12 Month Bill Mutual Fund
4 Oct 2023
2 Oct 2023
$0.22
4 Oct 2023
3 Oct 2023
29 Sep 2023
Monthly
US Treasury 12 Month Bill Mutual Fund logo
OBIL Paid
US Treasury 12 Month Bill Mutual Fund
6 Sep 2023
1 Sep 2023
$0.21
6 Sep 2023
5 Sep 2023
31 Aug 2023
Monthly
US Treasury 12 Month Bill Mutual Fund logo
OBIL Paid
US Treasury 12 Month Bill Mutual Fund
3 Aug 2023
1 Aug 2023
$0.21
3 Aug 2023
2 Aug 2023
31 Jul 2023
Monthly
US Treasury 12 Month Bill Mutual Fund logo
OBIL Paid
US Treasury 12 Month Bill Mutual Fund
6 Jul 2023
3 Jul 2023
$0.2
6 Jul 2023
5 Jul 2023
30 Jun 2023
Monthly
US Treasury 12 Month Bill Mutual Fund logo
OBIL Paid
US Treasury 12 Month Bill Mutual Fund
5 Jun 2023
1 Jun 2023
$0.2
5 Jun 2023
2 Jun 2023
31 May 2023
Monthly
US Treasury 12 Month Bill Mutual Fund logo
OBIL Paid
US Treasury 12 Month Bill Mutual Fund
3 May 2023
1 May 2023
$0.2
3 May 2023
2 May 2023
28 Apr 2023
Monthly
US Treasury 12 Month Bill Mutual Fund logo
OBIL Paid
US Treasury 12 Month Bill Mutual Fund
5 Apr 2023
3 Apr 2023
$0.19
5 Apr 2023
4 Apr 2023
31 Mar 2023
Monthly
US Treasury 12 Month Bill Mutual Fund logo
OBIL Paid
US Treasury 12 Month Bill Mutual Fund
3 Mar 2023
1 Mar 2023
$0.19
3 Mar 2023
2 Mar 2023
28 Feb 2023
Monthly
US Treasury 12 Month Bill Mutual Fund logo
OBIL Paid
US Treasury 12 Month Bill Mutual Fund
3 Feb 2023
1 Feb 2023
$0.19
3 Feb 2023
2 Feb 2023
31 Jan 2023
Monthly
US Treasury 12 Month Bill Mutual Fund logo
OBIL Paid
US Treasury 12 Month Bill Mutual Fund
30 Dec 2022
28 Dec 2022
$0.17
30 Dec 2022
29 Dec 2022
27 Dec 2022
Monthly
US Treasury 12 Month Bill Mutual Fund logo
OBIL Paid
US Treasury 12 Month Bill Mutual Fund
5 Dec 2022
1 Dec 2022
$0.09
5 Dec 2022
2 Dec 2022
30 Nov 2022
Monthly

OBIL Dividend FAQ

What is the dividend yield?

The current dividend yield for OBIL is 0.82%, based on the most recent dividend payment and the current stock price of $50.10 on the NASDAQ (NMS).

How often are dividends paid?

Dividends are paid on a monthly basis, with typical payment being every month.

When is the next dividend payment date?

US Treasury 12 Month Bill Mutual Fund has not announced any upcoming dividend.

What is the dividend history?

The company has a dividend payment history that includes 3 years of consistent payments. The most recent payment was 0.15498 per share on 2026-06-29.

What is the average annual dividend growth rate?

The average annual dividend growth rate over the past 3 years is approximately 19.86%, reflecting the OBIL's commitment to rewarding shareholders.

How can I track OBIL dividends?

You can easily track OBIL dividend payments using our Dividend Tracker. It helps you monitor upcoming payment dates, yields, history, and more - all in one place.