FlexShares Credit-Scored US Long Corporate Bond Index Fund(LKOR) USD 43.9826
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.77%USD 0.338USD0.158922023-03-01
USD0.178582023-02-01
20224.51%USD 1.985USD0.180492022-12-16
USD0.17972022-12-01
USD0.17432022-11-01
USD0.170192022-10-03
USD0.168082022-09-01
USD0.168592022-08-01
USD0.159682022-07-01
USD0.165842022-06-01
USD0.156972022-05-02
USD0.161162022-04-01
USD0.144192022-03-01
USD0.156082022-02-01
20216.35%USD 2.793USD1.0972021-12-17
USD0.153482021-12-01
USD0.153032021-11-01
USD0.154912021-10-01
USD0.159872021-09-01
USD0.153192021-08-02
USD0.173562021-07-01
USD0.160622021-06-01
USD0.140672021-05-03
USD0.158952021-04-01
USD0.14662021-03-01
USD0.141612021-02-01
20209.37%USD 4.122USD2.372020-12-18
USD0.152752020-12-01
USD0.166942020-11-02
USD0.163522020-10-01
USD0.157042020-09-01
USD0.169952020-08-03
USD0.157552020-07-01
USD0.156372020-06-01
USD0.147822020-05-01
USD0.170752020-04-01
USD0.155922020-03-02
USD0.153482020-02-03
20194.89%USD 2.149USD0.173242019-12-20
USD0.141142019-12-02
USD0.17272019-11-01
USD0.168142019-10-01
USD0.203312019-09-03
USD0.174512019-08-01
USD0.176432019-07-01
USD0.2392019-06-03
USD0.1742019-05-01
USD0.1822019-04-01
USD0.1642019-03-01
USD0.1812019-02-01
20184.65%USD 2.047USD0.182018-12-21
USD0.1732018-12-03
USD0.1792018-11-01
USD0.1722018-10-01
USD0.1772018-09-04
USD0.1762018-08-01
USD0.172018-07-02
USD0.1762018-06-01
USD0.1432018-05-01
USD0.1762018-04-02
USD0.1592018-03-01
USD0.1662018-02-01
20174.70%USD 2.068USD0.1762017-12-21
USD0.172017-12-01
USD0.1762017-11-01
USD0.1552017-10-02
USD0.1472017-09-01
USD0.1772017-08-01
USD0.1722017-07-03
USD0.1612017-06-01
USD0.1782017-05-01
USD0.2212017-04-03
USD0.1622017-03-01
USD0.1732017-02-01
20165.90%USD 2.595USD0.8612016-12-22
USD0.1722016-12-01
USD0.1762016-11-01
USD0.172016-10-03
USD0.1772016-09-01
USD0.1512016-08-01
USD0.1772016-07-01
USD0.1872016-06-01
USD0.1532016-05-02
USD0.1822016-04-01
USD0.1892016-02-01
20151.38%USD 0.605USD0.192015-12-29
USD0.1832015-12-01
USD0.2322015-11-02