FlexShares International Quality Dividend Dynamic Index Fund(IQDY) USD 27.01
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.19%USD 0.051USD0.051062023-03-17
20224.93%USD 1.332USD0.1772022-12-16
USD0.355142022-09-16
USD0.656142022-06-17
USD0.143752022-03-18
20214.36%USD 1.178USD0.364162021-12-17
USD0.369082021-09-17
USD0.324612021-06-18
USD0.119682021-03-19
20202.73%USD 0.737USD0.088632020-12-18
USD0.253652020-09-18
USD0.255582020-06-19
USD0.138972020-03-20
20193.78%USD 1.021USD0.163712019-12-20
USD0.329312019-09-20
USD0.429742019-06-21
USD0.098682019-03-15
20184.80%USD 1.296USD0.284662018-12-21
USD0.364612018-09-24
USD0.530162018-06-18
USD0.116452018-03-19
20173.78%USD 1.021USD0.275912017-12-21
USD0.227912017-09-18
USD0.407342017-06-19
USD0.110142017-03-20
20163.34%USD 0.903USD0.095422016-12-22
USD0.270992016-09-19
USD0.430792016-06-20
USD0.105772016-03-21
20153.39%USD 0.916USD0.242682015-12-29
USD0.201882015-09-18
USD0.408822015-06-19
USD0.062352015-03-20
20143.99%USD 1.078USD0.386122014-12-29
USD0.122862014-09-19
USD0.409682014-06-20
USD0.159222014-03-21
20132.41%USD 0.651USD0.143022013-12-27
USD0.242582013-09-03
USD0.265212013-06-03