FlexShares iBoxx 3-Year Target Duration TIPS Index Fund(TDTT) USD 23.96
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.44%USD 0.106USD0.10642023-04-03
20226.84%USD 1.64USD0.095192022-12-16
USD0.049872022-12-01
USD0.3052022-09-01
USD0.252022-08-01
USD0.1112022-07-01
USD0.2982022-06-01
USD0.1862022-05-02
USD0.1572022-04-01
USD0.0472022-03-01
USD0.1412022-02-01
20214.97%USD 1.192USD0.127072021-12-17
USD0.041942021-12-01
USD0.026272021-11-01
USD0.094592021-10-01
USD0.20612021-09-01
USD0.1742021-08-02
USD0.180812021-07-01
USD0.152272021-06-01
USD0.117742021-05-03
USD0.070842021-04-01
20201.25%USD 0.299USD0.01232020-12-18
USD0.03682020-12-01
USD0.070662020-11-02
USD0.03812020-10-01
USD0.06782020-05-01
USD0.073622020-04-01
20191.97%USD 0.471USD0.061132019-12-20
USD0.023582019-12-02
USD0.003722019-11-01
USD0.046652019-10-01
USD0.009972019-09-03
USD0.056032019-08-01
USD0.13552019-07-01
USD0.134852019-06-03
20182.47%USD 0.591USD0.050282018-12-21
USD0.03322018-12-03
USD0.018182018-11-01
USD0.005182018-10-01
USD0.043272018-09-04
USD0.115672018-08-01
USD0.099452018-07-02
USD0.058012018-06-01
USD0.110442018-05-01
USD0.057752018-04-02
20171.91%USD 0.458USD0.034022017-12-21
USD0.123332017-12-01
USD0.044092017-11-01
USD0.015182017-09-01
USD0.013352017-08-01
USD0.063772017-07-03
USD0.010382017-06-01
USD0.066782017-05-01
USD0.086782017-04-03
20161.04%USD 0.249USD0.020692016-12-22
USD0.04692016-12-01
USD0.069512016-09-01
USD0.086942016-08-01
USD0.024632016-07-01
20140.86%USD 0.207USD0.018482014-12-29
USD0.000612014-12-01
USD0.019642014-09-02
USD0.056862014-08-01
USD0.052062014-07-01
USD0.059432014-06-02
20130.20%USD 0.048USD0.047962013-06-03
20121.01%USD 0.242USD0.006142012-12-27
USD0.047972012-12-03
USD0.07172012-07-02
USD0.115722012-06-01
20110.29%USD 0.069USD0.035292011-12-28
USD0.01132011-12-01
USD0.022252011-11-01