FlexShares International Quality Dividend Index Fund(IQDF) USD 22.85
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.19%USD 0.045USD0.044542023-03-17
20225.05%USD 1.154USD0.195392022-12-16
USD0.342972022-09-16
USD0.45682022-06-17
USD0.158532022-03-18
20214.61%USD 1.053USD0.265772021-12-17
USD0.34522021-09-17
USD0.317262021-06-18
USD0.1252021-03-19
20203.35%USD 0.764USD0.114382020-12-18
USD0.244122020-09-18
USD0.229562020-06-19
USD0.176432020-03-20
20194.74%USD 1.083USD0.189142019-12-20
USD0.30192019-09-20
USD0.459842019-06-21
USD0.131832019-03-15
20185.32%USD 1.215USD0.243292018-12-21
USD0.363632018-09-24
USD0.506172018-06-18
USD0.102022018-03-19
20174.56%USD 1.042USD0.286992017-12-21
USD0.242592017-09-18
USD0.417032017-06-19
USD0.095352017-03-20
20163.70%USD 0.845USD0.179312016-12-22
USD0.24242016-09-19
USD0.327762016-06-20
USD0.095452016-03-21
20154.02%USD 0.918USD0.156042015-12-29
USD0.24952015-09-18
USD0.441262015-06-19
USD0.071592015-03-20
20144.70%USD 1.074USD0.187662014-12-29
USD0.226942014-09-19
USD0.519832014-06-20
USD0.139312014-03-21
20131.89%USD 0.433USD0.154472013-12-27
USD0.156732013-09-03
USD0.121572013-06-03