FlexShares® High Yield Value-Scored Bond Index Fund(HYGV) USD 40.5
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20232.21%USD 0.894USD0.31062023-04-03
USD0.272952023-03-01
USD0.310742023-02-01
20227.52%USD 3.045USD0.282142022-12-16
USD0.280642022-12-01
USD0.285072022-11-01
USD0.281512022-10-03
USD0.261452022-09-01
USD0.249952022-08-01
USD0.253082022-07-01
USD0.25382022-06-01
USD0.228872022-05-02
USD0.231142022-04-01
USD0.208542022-03-01
USD0.228782022-02-01
20218.64%USD 3.501USD1.1312021-12-17
USD0.215442021-12-01
USD0.212142021-11-01
USD0.197272021-10-01
USD0.206692021-09-01
USD0.178522021-08-02
USD0.204842021-07-01
USD0.222762021-06-01
USD0.226172021-05-03
USD0.244322021-04-01
USD0.209262021-03-01
USD0.25282021-02-01
20207.49%USD 3.033USD0.275162020-12-18
USD0.266322020-12-01
USD0.273542020-11-02
USD0.262132020-10-01
USD0.287542020-09-01
USD0.257322020-08-03
USD0.247342020-07-01
USD0.219692020-06-01
USD0.223862020-05-01
USD0.244742020-04-01
USD0.226072020-03-02
USD0.249682020-02-03
20199.53%USD 3.859USD0.251292019-12-20
USD0.227542019-12-02
USD0.255492019-11-01
USD0.3522019-10-01
USD0.332019-09-03
USD0.4212019-08-01
USD0.3792019-07-01
USD0.291672019-06-03
USD0.277522019-05-01
USD0.385182019-04-01
USD0.300622019-03-01
USD0.387672019-02-01
20186.32%USD 2.558USD0.427682018-12-21
USD0.455282018-12-03
USD0.431222018-11-01
USD0.461262018-10-01
USD0.47232018-09-04
USD0.310582018-08-01