FlexShares Core Select Bond Fund(BNDC) USD 22.365
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.70%USD 0.158USD0.05692023-04-10
USD0.050482023-03-07
USD0.050132023-02-07
20222.59%USD 0.58USD0.054932022-12-22
USD0.04092022-12-07
USD0.06072022-11-07
USD0.042752022-10-07
USD0.056782022-09-08
USD0.053052022-08-05
USD0.045642022-07-08
USD0.056882022-06-07
USD0.046132022-05-06
USD0.046532022-04-07
USD0.037592022-03-07
USD0.037832022-02-07
20212.01%USD 0.449USD0.053042021-12-23
USD0.03292021-12-07
USD0.035252021-11-05
USD0.02672021-10-07
USD0.03332021-09-08
USD0.033532021-08-06
USD0.035242021-07-08
USD0.036222021-06-07
USD0.038572021-05-07
USD0.040672021-04-08
USD0.040172021-03-05
USD0.042982021-02-05
20203.15%USD 0.704USD0.2032020-12-24
USD0.043822020-12-07
USD0.057952020-11-06
USD0.040622020-10-07
USD0.044712020-09-08
USD0.042762020-08-07
USD0.043712020-07-08
USD0.045552020-06-05
USD0.031242020-05-07
USD0.05042020-04-07
USD0.076122020-03-06
USD0.024432020-02-07
20193.29%USD 0.737USD0.070462019-12-27
USD0.052762019-12-06
USD0.057872019-11-07
USD0.054382019-10-07
USD0.053232019-09-09
USD0.056152019-08-07
USD0.062672019-07-08
USD0.062162019-06-07
USD0.083242019-05-07
USD0.059672019-04-05
USD0.059922019-03-07
USD0.064162019-02-07
20183.06%USD 0.685USD0.05912018-12-28
USD0.05972018-12-07
USD0.065332018-11-07
USD0.057042018-10-05
USD0.055612018-09-10
USD0.055622018-08-07
USD0.060672018-07-09
USD0.058292018-06-07
USD0.053692018-05-07
USD0.057912018-04-06
USD0.053372018-03-07
USD0.048952018-02-07
20172.80%USD 0.627USD0.057922017-12-27
USD0.055342017-12-07
USD0.050292017-11-07
USD0.052542017-10-06
USD0.054482017-09-08
USD0.055392017-08-07
USD0.053532017-07-10
USD0.050952017-06-07
USD0.05342017-05-05
USD0.057272017-04-07
USD0.043342017-03-07
USD0.042362017-02-07
20160.71%USD 0.159USD0.159222016-12-28