FlexShares Real Assets Allocation Index Fund(ASET) USD 30.943
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.28%USD 0.086USD0.085862023-03-23
20222.62%USD 0.811USD0.150282022-12-22
USD0.253842022-09-22
USD0.290842022-06-24
USD0.116072022-03-24
20212.75%USD 0.851USD0.363892021-12-23
USD0.299282021-09-23
USD0.073652021-06-24
USD0.114052021-03-25
20201.98%USD 0.614USD0.171822020-12-24
USD0.178342020-09-24
USD0.173972020-06-25
USD0.089762020-03-26
20193.03%USD 0.939USD0.414012019-12-27
USD0.187562019-09-26
USD0.231472019-06-27
USD0.105782019-03-21
20182.49%USD 0.77USD0.235372018-12-28
USD0.224782018-09-28
USD0.231612018-06-22
USD0.078332018-03-23
20172.10%USD 0.65USD0.262322017-12-27
USD0.116952017-09-22
USD0.233532017-06-23
USD0.037272017-03-24
20162.72%USD 0.84USD0.366392016-12-28
USD0.154972016-09-26
USD0.20032016-06-27
USD0.118662016-03-28
20150.87%USD 0.27USD0.26952015-12-29