FlexShares Morningstar Global Upstream Natural Resources Index Fund(GUNR) USD 44.01
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.38%USD 0.165USD0.165322023-03-17
20224.07%USD 1.791USD0.243872022-12-16
USD0.583032022-09-16
USD0.613162022-06-17
USD0.350742022-03-18
20213.24%USD 1.425USD0.404212021-12-17
USD0.543632021-09-17
USD0.23852021-06-18
USD0.238432021-03-19
20202.06%USD 0.907USD0.189292020-12-18
USD0.273992020-09-18
USD0.189292020-06-19
USD0.254482020-03-20
20192.48%USD 1.09USD0.212572019-12-20
USD0.291962019-09-20
USD0.296642019-06-21
USD0.288922019-03-15
20182.18%USD 0.958USD0.222052018-12-21
USD0.292882018-09-24
USD0.278772018-06-18
USD0.16462018-03-19
20171.52%USD 0.667USD0.119892017-12-21
USD0.22052017-09-18
USD0.204462017-06-19
USD0.122512017-03-20
20161.13%USD 0.496USD0.093022016-12-22
USD0.125762016-09-19
USD0.155972016-06-20
USD0.12142016-03-21
20152.28%USD 1.001USD1.001332015-12-23
20141.95%USD 0.857USD0.85662014-12-29
20131.58%USD 0.695USD0.695192013-12-27
20120.84%USD 0.368USD0.367912012-12-27
20110.20%USD 0.088USD0.088382011-12-28