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

Past dividends on FlexShares Quality Dividend Index Fund ETF - USD

18/06/2026 Quarterly 0.355512 USD
20/03/2026 Quarterly 0.19832 USD
19/12/2025 Quarterly 0.469351 USD
19/09/2025 Quarterly 0.323183 USD
20/06/2025 Quarterly 0.347803 USD
21/03/2025 Quarterly 0.189879 USD
20/12/2024 Quarterly 0.482973 USD
20/09/2024 Quarterly 0.344311 USD
21/06/2024 Quarterly 0.341912 USD
15/03/2024 Quarterly 0.193898 USD
15/12/2023 Quarterly 0.451177 USD
15/09/2023 Quarterly 0.287064 USD
16/06/2023 Quarterly 0.393909 USD
17/03/2023 Quarterly 0.212296 USD
16/12/2022 Quarterly 0.388079 USD
16/09/2022 Quarterly 0.320051 USD
17/06/2022 Quarterly 0.325262 USD
18/03/2022 Quarterly 0.253589 USD
17/12/2021 Quarterly 0.373005 USD
17/09/2021 Quarterly 0.294766 USD
18/06/2021 Quarterly 0.272654 USD
19/03/2021 Quarterly 0.22599 USD
18/12/2020 Quarterly 0.311063 USD
18/09/2020 Quarterly 0.272898 USD
19/06/2020 Quarterly 0.330405 USD
20/03/2020 Quarterly 0.263469 USD
20/12/2019 Quarterly 0.633461 USD
20/09/2019 Quarterly 0.249509 USD
21/06/2019 Quarterly 0.392014 USD
15/03/2019 Quarterly 0.203667 USD
21/12/2018 0.3492 USD
21/12/2018 Quarterly 0.536365 USD
24/09/2018 Quarterly 0.328711 USD
18/06/2018 Quarterly 0.3107 USD
19/03/2018 Quarterly 0.184294 USD
21/12/2017 Quarterly 0.399347 USD
18/09/2017 Quarterly 0.295909 USD
19/06/2017 Quarterly 0.2811 USD
20/03/2017 Quarterly 0.241649 USD
22/12/2016 Quarterly 0.378745 USD
19/09/2016 Quarterly 0.344089 USD
20/06/2016 Quarterly 0.25494 USD
21/03/2016 Quarterly 0.231892 USD
29/12/2015 Quarterly 0.313959 USD
18/09/2015 0.235766 USD
19/06/2015 0.260552 USD
20/03/2015 0.2487719 USD
29/12/2014 0.254396 USD
19/09/2014 0.25932 USD
20/06/2014 0.255475 USD
21/03/2014 0.20675 USD
27/12/2013 0.29664 USD
03/09/2013 0.203631 USD
03/06/2013 0.1342779 USD
01/03/2013 0.058211 USD
27/12/2012 0.06128 USD