FlexShares Quality Dividend Index Fund(QDF) USD 55
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.39%USD 0.212USD0.21232023-03-17
20222.34%USD 1.287USD0.388082022-12-16
USD0.320052022-09-16
USD0.325262022-06-17
USD0.253592022-03-18
20212.12%USD 1.166USD0.373012021-12-17
USD0.294772021-09-17
USD0.272652021-06-18
USD0.225992021-03-19
20202.14%USD 1.178USD0.311062020-12-18
USD0.27292020-09-18
USD0.330412020-06-19
USD0.263472020-03-20
20192.69%USD 1.478USD0.6332019-12-20
USD0.249512019-09-20
USD0.392012019-06-21
USD0.203672019-03-15
20183.11%USD 1.709USD0.885612018-12-21
USD0.328712018-09-24
USD0.310752018-06-18
USD0.184292018-03-19
20172.21%USD 1.218USD0.399352017-12-21
USD0.295912017-09-18
USD0.281092017-06-19
USD0.241652017-03-20
20162.20%USD 1.21USD0.378752016-12-22
USD0.344092016-09-19
USD0.254942016-06-20
USD0.231892016-03-21
20151.93%USD 1.059USD0.313962015-12-29
USD0.235772015-09-18
USD0.260552015-06-19
USD0.248772015-03-20
20141.77%USD 0.976USD0.25442014-12-29
USD0.259322014-09-19
USD0.255482014-06-20
USD0.206752014-03-21
20131.26%USD 0.693USD0.296642013-12-27
USD0.203632013-09-03
USD0.134282013-06-03
USD0.058212013-03-01
20120.11%USD 0.061USD0.061282012-12-27