| Ex-Date | Pay Date | Amount | Change |
|---|---|---|---|
| $0.7854 | |||
| $0.0948 | 43.64% | ||
| $0.066 | -16.88% | ||
| $0.0794 | -23.29% | ||
| $0.1035 | 28.57% | ||
| $0.0805 | -41.24% | ||
| $0.137 | -26.74% | ||
| $0.187 | 402.69% | ||
| $0.0372 | -38.1% | ||
| $0.7729 | -15.57% | ||
| $0.0601 | -8.66% | ||
| $0.0658 | 31.34% | ||
| $0.0501 | -12.87% | ||
| $0.0575 | 49.74% | ||
| $0.0384 | -44.59% | ||
| $0.0693 | -42.96% | ||
| $0.1215 | -35.17% | ||
| $0.1874 | 52.61% | ||
| $0.1228 | 1,153.06% | ||
| $0.9154 | -44.18% | ||
| $1.64 | 37.58% | ||
| $1.192 | 297.6% | ||
| $0.2998 | -36.56% | ||
| $0.4726 | -19.93% | ||
| $0.5902 | 29.06% | ||
| $0.4573 | 82.92% | ||
| $0.25 | 1,288.89% | ||
| $0.018 | -90.48% | ||
FlexShares iBoxx 3-Year Target Duration TIPS Index Fund pays a dividend yield (FWD) of 3.25%.
- ISIN
- WKN
- Symbol / Exchange
- / XNYS
- Value
- €20.91
- Dividend frequency
- monthly
- Security Type
- ETF
- Sector
-
- Country
United States
- Dividend Currency
- US Dollar

