FlexShares Quality Dividend Index Fund (QDF)

News/Announcements: None

Updated: 2024-07-11

Last Close Price: $67.88

Yield: 1.87%

Payout Ratio: --

PE Ratio: 16.03

Market Cap: 1.8B

Frequency: Quarterly

Dividend History (adjusted for splits)

Ex-Dividend DatePayout DateCash Amount% Change
2024-12-162024-12-20$0.3419unconfirmed/estimated
2024-09-162024-09-20$0.3419unconfirmed/estimated
2024-06-212024-06-27$0.341976.33%
2024-03-152024-03-21$0.1939-57.02%
2023-12-152023-12-21$0.45117757.17%
2023-09-152023-09-21$0.287064-27.12%
2023-06-162023-06-23$0.39390985.55%
2023-03-172023-03-23$0.212296-45.3%
2022-12-162022-12-22$0.38807921.26%
2022-09-162022-09-22$0.320051-1.6%
2022-06-172022-06-24$0.32526228.26%
2022-03-182022-03-24$0.253589-32.01%
2021-12-172021-12-23$0.37300526.54%
2021-09-172021-09-23$0.2947668.11%
2021-06-182021-06-24$0.27265420.65%
2021-03-192021-03-25$0.225994-27.35%
2020-12-182020-12-24$0.31106313.99%
2020-09-182020-09-24$0.272898-17.41%
2020-06-192020-06-25$0.33040525.41%
2020-03-202020-03-26$0.263469-58.41%
2019-12-202019-12-27$0.633461153.88%
2019-09-202019-09-26$0.249509-36.35%
2019-06-212019-06-27$0.39201492.48%
2019-03-152019-03-21$0.203667-41.68%
2018-12-212018-12-28$0.34926.23%
2018-09-242018-09-28$0.3287115.78%
2018-06-182018-06-22$0.31074868.62%
2018-03-192018-03-23$0.184294-53.85%
2017-12-212017-12-28$0.39934734.96%
2017-09-182017-09-22$0.2959095.27%
2017-06-192017-06-23$0.28108916.32%
2017-03-202017-03-24$0.241649-36.2%
2016-12-222016-12-29$0.37874510.07%
2016-09-192016-09-23$0.34408934.97%
2016-06-202016-06-24$0.254949.94%
2016-03-212016-03-28$0.231892-26.14%
2015-12-292016-01-05$0.31395933.17%
2015-09-182015-09-24$0.235766-9.51%
2015-06-192015-06-25$0.2605524.74%
2015-03-202015-03-26$0.248772-2.21%
2014-12-292015-01-05$0.254396-1.9%
2014-09-192014-09-25$0.259321.51%
2014-06-202014-06-26$0.255475



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