"Total Return" performance includes dividend payments over the period, as if they were reinvested at 100%.

Past dividends on FlexShares International Quality Dividend Index Fund ETF - USD

2026-06-17 Quarterly 0.515324 USD
2026-03-19 Quarterly 0.06768 USD
2025-12-18 Quarterly 0.172753 USD
2025-09-18 Quarterly 0.28717 USD
2025-06-19 Quarterly 0.443499 USD
2025-03-20 Quarterly 0.090398 USD
2024-12-19 Quarterly 0.948071 USD
2024-09-19 Quarterly 0.232216 USD
2024-06-20 Quarterly 0.382561 USD
2023-12-14 Quarterly 0.571867 USD
2023-09-14 Quarterly 0.354418 USD
2023-06-15 Quarterly 0.439682 USD
2023-03-16 Quarterly 0.044537 USD
2022-12-15 Quarterly 0.195392 USD
2022-09-15 Quarterly 0.342966 USD
2022-06-16 Quarterly 0.456802 USD
2022-03-17 Quarterly 0.158533 USD
2021-12-16 Quarterly 0.26577 USD
2021-09-16 Quarterly 0.345198 USD
2021-06-17 Quarterly 0.324606 USD
2021-03-18 Quarterly 0.119675 USD
2020-12-17 Quarterly 0.11438 USD
2020-09-17 Quarterly 0.25365 USD
2020-06-18 Quarterly 0.25558 USD
2020-03-19 Quarterly 0.176427 USD
2019-12-19 Quarterly 0.189137 USD
2019-09-19 Quarterly 0.329307 USD
2019-06-20 Quarterly 0.45984 USD
2019-03-14 Quarterly 0.098683 USD
2018-12-20 Quarterly 0.284656 USD
2018-09-23 Quarterly 0.364605 USD
2018-06-17 Quarterly 0.530157 USD
2018-03-18 Quarterly 0.102015 USD
2017-12-20 Quarterly 0.286988 USD
2017-09-17 Quarterly 0.242594 USD
2017-06-18 Quarterly 0.417 USD
2017-03-19 Quarterly 0.095347 USD
2016-12-21 Quarterly 0.17931 USD
2016-09-18 Quarterly 0.242404 USD
2016-06-19 Quarterly 0.327764 USD
2016-03-20 Quarterly 0.0954528 USD
2015-12-28 Quarterly 0.156043 USD
2015-09-17 Quarterly 0.249502 USD
2015-06-18 Quarterly 0.44126 USD
2015-03-19 Quarterly 0.071588 USD
2014-12-28 0.1876619 USD
2014-09-18 0.226935 USD
2014-06-19 0.519831 USD
2014-03-20 0.13931 USD
2013-12-26 0.154474 USD
2013-09-02 0.156725 USD
2013-06-02 0.1215679 USD