Components FlexShares International Quality Dividend Dynamic Index Fund ETF - USD

ETF

IQDY

US33939L8292

Market Closed - NYSE 16:10:00 2026-07-23 EDT 5-day change 1st Jan Change
41.88 USD -1.95% Intraday chart for FlexShares International Quality Dividend Dynamic Index Fund ETF - USD -0.92% +14.31%

Components: FlexShares International Quality Dividend Dynamic Index Fund ETF - USD

2,405.00TWD+0.21%+55.16%3.57%
4,834.00JPY-0.41%-1.45%1.97%
1,527.00GBX-0.91%+30.09%1.93%
62,040.00JPY-5.93%+80.54%1.74%
3,750.00JPY0.00%+50.38%1.69%
320.30DKK+0.25%-1.52%1.66%
59.68AUD-1.57%+31.12%1.44%
9.818EUR0.00%+10.60%1.3%
6.281EUR0.00%+6.08%1.3%
3,875.00TWD+0.65%+170.98%1.3%
103.76EUR-2.83%+28.43%1.14%
270,000.00KRW+3.65%+125.19%1.1%
76.36EUR-0.62%-7.69%1%
4,596.00JPY-2.77%+58.26%0.99%
53.86EUR-1.36%-4.40%0.96%
29,010.00JPY-5.81%+47.54%0.88%
56.34EUR-1.30%+20.56%0.87%
17.02EUR-2.58%+5.81%0.86%
293.67CAD-1.44%+25.51%0.85%
73.80CHF-0.83%-5.09%0.84%
86.18EUR-0.51%-2.75%0.82%
6,676.00JPY+0.82%+33.36%0.81%
366.40SEK-0.92%+14.11%0.81%
4,480.00GBX-2.93%+6.31%0.81%
1,579.20EUR-0.65%+71.39%0.81%
647.60CHF+0.68%+67.82%0.8%
18.68AUD-0.43%-15.13%0.8%
43,370.00JPY-3.90%+45.99%0.79%
34.03EUR-1.56%-24.24%0.79%
129.30HKD-2.05%+43.83%0.79%
30.09USD-0.20%+4.84%0.78%
76.18EUR+2.54%+37.04%0.78%
503.00TWD+0.40%+34.49%0.78%
50.50TWD-1.75%-9.34%0.77%
15.70HKD+0.32%+14.33%0.77%
689.80SEK-0.17%+9.53%0.77%
47.62HKD-1.45%+20.91%0.77%
87.20TWD+3.32%+27.11%0.76%
232.90PLN-1.31%+13.55%0.76%
215.50SEK-1.06%+10.46%0.76%
203.50TWD-1.21%+7.11%0.76%
11.21HKD-1.67%-21.26%0.76%
147.80HKD+0.41%+17.94%0.75%
120.80EUR-1.51%+8.58%0.75%
6,856.00GBX-0.68%+14.38%0.75%
42.40BRL+8.25%+17.29%0.75%
15.92BRL-1.30%+14.86%0.75%
22.49EUR0.00%+15.51%0.74%

ETF Ratings

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Description

US33939L8292
Total Expense Ratio 0.51%
Asset Class Stocks
Size
Currency
Provider
Underlying Northern Trust International Quality Dividend Dynamic Net Total Return Index - USD
Autres ETFs

Features and characteristics

Dividend Policy Distribution
Replication Method Physique
Jurisdiction
Date of creation
2013-04-11
Geographical Focus

Distribution

Retail investor

AuM evolution - 2026-02-26

AuM (USD) 102M
AuM 1M 97.95M
AuM 3 months 86.58M
AuM 6 months 80.73M
AuM 12 months 71.99M
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