FlexShares Morningstar Developed Markets ex-US Factor Tilt Index Fund(TLTD) USD 66.2
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.18%USD 0.121USD0.121492023-03-17
20222.52%USD 1.668USD0.173812022-12-16
USD0.3142022-09-16
USD1.0522022-06-17
USD0.1282022-03-18
20213.74%USD 2.477USD1.239272021-12-17
USD0.335132021-09-17
USD0.716262021-06-18
USD0.18642021-03-19
20202.04%USD 1.349USD0.270852020-12-18
USD0.274412020-09-18
USD0.569942020-06-19
USD0.234252020-03-20
20193.39%USD 2.245USD0.779362019-12-20
USD0.29032019-09-20
USD0.991782019-06-21
USD0.183242019-03-15
20182.65%USD 1.755USD0.362482018-12-21
USD0.31182018-09-24
USD0.926132018-06-18
USD0.154962018-03-19
20172.84%USD 1.878USD0.742772017-12-21
USD0.244222017-09-18
USD0.772972017-06-19
USD0.118372017-03-20
20162.50%USD 1.653USD0.466112016-12-22
USD0.273852016-09-19
USD0.733872016-06-20
USD0.178852016-03-21
20152.13%USD 1.41USD1.410342015-12-23
20142.71%USD 1.796USD1.795692014-12-29
20131.09%USD 0.722USD0.721682013-12-27
20120.17%USD 0.113USD0.113312012-12-27