FlexShares Morningstar Emerging Markets Factor Tilt Index Fund(TLTE) USD 49.67
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20224.16%USD 2.067USD0.631212022-12-16
USD0.823742022-09-16
USD0.553662022-06-17
USD0.058862022-03-18
20213.82%USD 1.897USD0.929112021-12-17
USD0.520512021-09-17
USD0.348242021-06-18
USD0.099042021-03-19
20202.28%USD 1.132USD0.198292020-12-18
USD0.45982020-09-18
USD0.406642020-06-19
USD0.067572020-03-20
20193.45%USD 1.714USD0.485672019-12-20
USD0.71052019-09-20
USD0.489132019-06-21
USD0.028282019-03-15
20182.91%USD 1.447USD0.226752018-12-21
USD0.753672018-09-24
USD0.374172018-06-18
USD0.092412018-03-19
20172.54%USD 1.263USD0.362562017-12-21
USD0.684732017-09-18
USD0.216152017-06-19
20162.12%USD 1.055USD0.318922016-12-22
USD0.43712016-09-19
USD0.256982016-06-20
USD0.042222016-03-21
20151.68%USD 0.835USD0.835392015-12-23
20142.01%USD 1.001USD1.000552014-12-29
20130.87%USD 0.43USD0.430062013-12-27
20120.10%USD 0.052USD0.051952012-12-27