FlexShares Quality Dividend Index Fund(QDF) USD 55
Dividend Yield(TTM) =0.00%
Year |
Yield |
Total |
Amount |
Ex Date |
2023 | 0.39% | USD 0.212 | USD0.2123 | 2023-03-17 |
2022 | 2.34% | USD 1.287 | USD0.38808 | 2022-12-16 |
USD0.32005 | 2022-09-16 |
USD0.32526 | 2022-06-17 |
USD0.25359 | 2022-03-18 |
2021 | 2.12% | USD 1.166 | USD0.37301 | 2021-12-17 |
USD0.29477 | 2021-09-17 |
USD0.27265 | 2021-06-18 |
USD0.22599 | 2021-03-19 |
2020 | 2.14% | USD 1.178 | USD0.31106 | 2020-12-18 |
USD0.2729 | 2020-09-18 |
USD0.33041 | 2020-06-19 |
USD0.26347 | 2020-03-20 |
2019 | 2.69% | USD 1.478 | USD0.633 | 2019-12-20 |
USD0.24951 | 2019-09-20 |
USD0.39201 | 2019-06-21 |
USD0.20367 | 2019-03-15 |
2018 | 3.11% | USD 1.709 | USD0.88561 | 2018-12-21 |
USD0.32871 | 2018-09-24 |
USD0.31075 | 2018-06-18 |
USD0.18429 | 2018-03-19 |
2017 | 2.21% | USD 1.218 | USD0.39935 | 2017-12-21 |
USD0.29591 | 2017-09-18 |
USD0.28109 | 2017-06-19 |
USD0.24165 | 2017-03-20 |
2016 | 2.20% | USD 1.21 | USD0.37875 | 2016-12-22 |
USD0.34409 | 2016-09-19 |
USD0.25494 | 2016-06-20 |
USD0.23189 | 2016-03-21 |
2015 | 1.93% | USD 1.059 | USD0.31396 | 2015-12-29 |
USD0.23577 | 2015-09-18 |
USD0.26055 | 2015-06-19 |
USD0.24877 | 2015-03-20 |
2014 | 1.77% | USD 0.976 | USD0.2544 | 2014-12-29 |
USD0.25932 | 2014-09-19 |
USD0.25548 | 2014-06-20 |
USD0.20675 | 2014-03-21 |
2013 | 1.26% | USD 0.693 | USD0.29664 | 2013-12-27 |
USD0.20363 | 2013-09-03 |
USD0.13428 | 2013-06-03 |
USD0.05821 | 2013-03-01 |
2012 | 0.11% | USD 0.061 | USD0.06128 | 2012-12-27 |