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Flexshares Intl Quality Div Fund (IQDF)

Flexshares Intl Quality Div Fund (IQDF)
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Overview

Name FlexShares International Quality Dividend Index Fund
Fund Family FlexShares
Underlying Index Northern Trust International Quality Dividend Index
Inception Date 04/16/13
First Trade Date 04/16/13
Leverage Long
Asset Class Equity

Description:

The FlexShares International Quality Dividend Index Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Northern Trust International Quality Dividend Index.

Investment Information

Alpha -2.53
60-Month Beta 0.85
Standard Deviation +0.12
Shares Outstanding, K 24,300.00
Managed Assets, $K 591,325.90 K
Net Asset Value 24.33
First Trade Price 24.76
P/E Ratio 14.77
Management Fee 0.47%
Options Yes
Latest Dividend 0.232
Last Dividend Date 09/20/24
Annual Dividend 1.19
Annual Dividend Yield 4.88%
1-Year Return 9.60%
3-Year Return -1.10%
5-Year Return 5.27%
Management Expense Ratio 0.47%

IQDF Dividends

Date Value
09/20/24 $0.2320
06/21/24 $0.3830
12/15/23 $0.5720
09/15/23 $0.3540
06/16/23 $0.4400
03/17/23 $0.0450
12/16/22 $0.1950
09/16/22 $0.3430
06/17/22 $0.4570
03/18/22 $0.1590
12/17/21 $0.2660
09/17/21 $0.3450
06/18/21 $0.3250
03/19/21 $0.1200
12/18/20 $0.1140
09/18/20 $0.2540
06/19/20 $0.2560
03/20/20 $0.1760
12/20/19 $0.1890
09/20/19 $0.3290
06/21/19 $0.4600
03/15/19 $0.0990
12/21/18 $0.2850
09/24/18 $0.3650
06/18/18 $0.5300
03/19/18 $0.1020
12/21/17 $0.2870
09/18/17 $0.2430
06/19/17 $0.4170
03/20/17 $0.0950
12/22/16 $0.1790
09/19/16 $0.2420
06/20/16 $0.3280
03/21/16 $0.0950
12/29/15 $0.1560
09/18/15 $0.2495
06/19/15 $0.4413
03/20/15 $0.0716
12/29/14 $0.1877
09/19/14 $0.2269
06/20/14 $0.5198
03/21/14 $0.1393
12/27/13 $0.1545
09/03/13 $0.1567
06/03/13 $0.1216
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