FlexShares International Quality Dividend Defensive Index Fund(IQDE) USD 20.73
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.23%USD 0.047USD0.04732023-03-17
20224.93%USD 1.023USD0.168652022-12-16
USD0.324962022-09-16
USD0.39372022-06-17
USD0.135272022-03-18
20214.54%USD 0.94USD0.182552021-12-17
USD0.343392021-09-17
USD0.279032021-06-18
USD0.135272021-03-19
20203.39%USD 0.703USD0.136822020-12-18
USD0.239762020-09-18
USD0.173362020-06-19
USD0.15282020-03-20
20195.33%USD 1.104USD0.186362019-12-20
USD0.306992019-09-20
USD0.469542019-06-21
USD0.141582019-03-15
20185.09%USD 1.056USD0.199252018-12-21
USD0.292262018-09-24
USD0.46412018-06-18
USD0.100452018-03-19
20175.55%USD 1.15USD0.416212017-12-21
USD0.225212017-09-18
USD0.416692017-06-19
USD0.092282017-03-20
20163.86%USD 0.8USD0.170672016-12-22
USD0.183892016-09-19
USD0.354532016-06-20
USD0.09092016-03-21
20155.04%USD 1.044USD0.232062015-12-29
USD0.253132015-09-18
USD0.459742015-06-19
USD0.099322015-03-20
20144.74%USD 0.982USD0.093782014-12-29
USD0.214392014-09-19
USD0.48382014-06-20
USD0.190192014-03-21
20132.34%USD 0.484USD0.126972013-12-27
USD0.093022013-09-03
USD0.264062013-06-03