FlexShares Quality Dividend Index Fund
QDF
#918
ETF rank
A$3.11 B
Marketcap
๐Ÿ‡บ๐Ÿ‡ธ US
Market
A$128.48
Share price
-0.18%
Change (1 day)
8.88%
Change (1 year)

FlexShares Quality Dividend Index Fund (QDF) - Distributions and Dividends

Distributions paid over the last 12 months: 1.346366 USD
Current distribution yield: 1.45%

Yearly distributions/payments for FlexShares Quality Dividend Index Fund (QDF)

Distributions Yield for FlexShares Quality Dividend Index Fund (QDF)

Distributions History

DatePay DateRecord DateAmountCurrency
2026-06-252026-06-252026-06-180.3555USD
2026-03-262026-03-262026-03-200.1983USD
2025-12-262025-12-262025-12-190.4694USD
2025-09-252025-09-252025-09-190.3232USD
2025-06-262025-06-262025-06-200.3478USD
2025-03-272025-03-272025-03-210.1899USD
2024-12-272024-12-272024-12-200.4830USD
2024-09-262024-09-262024-09-200.3443USD
2024-06-272024-06-272024-06-210.3419USD
2024-03-212024-03-212024-03-180.1939USD
2023-12-212023-12-212023-12-180.4512USD
2023-09-212023-09-212023-09-180.2871USD
2023-06-232023-06-232023-06-200.3939USD
2023-03-232023-03-232023-03-200.2123USD
2022-12-222022-12-222022-12-190.3881USD
2022-09-222022-09-222022-09-190.3201USD
2022-06-242022-06-242022-06-210.3253USD
2022-03-242022-03-242022-03-210.2536USD
2021-12-232021-12-232021-12-200.3730USD
2021-09-232021-09-232021-09-200.2948USD
2021-06-242021-06-242021-06-210.2727USD
2021-03-252021-03-252021-03-220.2260USD
2020-12-242020-12-242020-12-210.3111USD
2020-09-242020-09-242020-09-210.2729USD
2020-06-252020-06-252020-06-220.3304USD
2020-03-262020-03-262020-03-230.2635USD
2019-12-272019-12-272019-12-230.6335USD
2019-09-262019-09-262019-09-230.2495USD
2019-06-272019-06-272019-06-240.3920USD
2019-03-212019-03-212019-03-180.2037USD
2018-12-282018-12-282018-12-240.8856USD
2018-09-282018-09-282018-09-250.3287USD
2018-06-222018-06-222018-06-190.3107USD
2018-03-232018-03-232018-03-200.1843USD
2017-12-282017-12-282017-12-220.3993USD
2017-09-222017-09-222017-09-190.2959USD
2017-06-232017-06-232017-06-210.2811USD
2017-03-242017-03-242017-03-220.2416USD
2016-12-292016-12-292016-12-270.3787USD
2016-09-232016-09-232016-09-210.3441USD
2016-06-242016-06-242016-06-220.2549USD
2016-03-282016-03-282016-03-230.2319USD
2016-01-052016-01-052015-12-310.3140USD
2015-09-242015-09-242015-09-220.2358USD
2015-06-252015-06-252015-06-230.2606USD
2015-03-262015-03-262015-03-240.2488USD
2015-01-052015-01-052014-12-310.2544USD
2014-09-252014-09-252014-09-230.2593USD
2014-06-262014-06-262014-06-240.2555USD
2014-03-272014-03-272014-03-250.2068USD
2014-01-032014-01-032013-12-310.2966USD
2013-09-092013-09-092013-09-050.2036USD
2013-06-072013-06-072013-06-050.1343USD
2013-03-072013-03-072013-03-050.0582USD
2013-01-032013-01-032012-12-310.0613USD