FlexShares Morningstar US Market Factors Tilt Index Fund(TILT) USD 158.2
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.25%USD 0.402USD0.401742023-03-17
20221.51%USD 2.384USD0.810582022-12-16
USD0.587162022-09-16
USD0.587772022-06-17
USD0.398792022-03-18
20211.34%USD 2.124USD0.784972021-12-17
USD0.497072021-09-17
USD0.46322021-06-18
USD0.379242021-03-19
20201.36%USD 2.158USD0.682842020-12-18
USD0.488442020-09-18
USD0.531952020-06-19
USD0.454352020-03-20
20191.24%USD 1.961USD0.630652019-12-20
USD0.426342019-09-20
USD0.554212019-06-21
USD0.349932019-03-15
20181.25%USD 1.974USD0.562322018-12-21
USD0.62432018-09-24
USD0.458392018-06-18
USD0.328512018-03-19
20171.10%USD 1.739USD0.565042017-12-21
USD0.427322017-09-18
USD0.425712017-06-19
USD0.321152017-03-20
20160.97%USD 1.537USD0.514652016-12-22
USD0.380492016-09-19
USD0.379712016-06-20
USD0.262322016-03-21
20151.05%USD 1.656USD1.656222015-12-29
20140.74%USD 1.168USD1.168122014-12-29
20130.50%USD 0.79USD0.790362013-12-27
20120.42%USD 0.661USD0.660972012-12-27
20110.08%USD 0.119USD0.118972011-12-28