27.19
0.32%
0.0875
After Hours:
27.17
-0.0152
-0.06%
Flexshares Developed Markets Ex Us Quality Low Volatility Index Fund Stock (QLVD) Dividend Overview
- Flexshares Developed Markets Ex Us Quality Low Volatility Index Fund (QLVD) currently pays a dividend of $0.1307 per share with annual dividend yield of 1.92% and price-to-earnings ratio of -.
- Flexshares Developed Markets Ex Us Quality Low Volatility Index Fund (QLVD) pays out a dividend four times per year. Quarterly payment frequency should be carefully considered as it can affect investors’ investment strategy.
- Flexshares Developed Markets Ex Us Quality Low Volatility Index Fund (QLVD) most recent ex-dividend date occurred on September 20, 2024 with dividend payment of $0.1307 per share received on September 26, 2024. Shareholders eligible for this dividend payment owned QLVD stock before or on this ex-dividend date.
Ex-dividend date
09/20/2024
Annual Dividend
$0.5228
Dividend Yield
1.92%
P/E Ratio
-
Flexshares Developed Markets Ex Us Quality Low Volatility Index Fund Stock (QLVD) Dividend History
Table below shows the detailed dividend history of Flexshares Developed Markets Ex Us Quality Low Volatility Index Fund Stock (QLVD). In 2024, the first Flexshares Developed Markets Ex Us Quality Low Volatility Index Fund’s dividend date was on June 21, 2024 with a dividend of $0.4502 per share, representing a 84.43% increase from $0.2441 per share on December 15, 2023. This rise in QLVD’s dividend pay out can signal a positive financial performance of the company; however, further research should be conducted to understand the company’s change in dividend payment. We recommend investors to review dividend dates and payments carefully with the aim to gain insights on the company’s strategy.
Ex/EFF Date | Type | Cash amount | Declaration date | Record date | Payment date |
---|---|---|---|---|---|
09/20/2024 | CD | $0.1307 | 01/29/2024 | 09/20/2024 | 09/26/2024 |
06/21/2024 | CD | $0.4502 | 01/29/2024 | 06/21/2024 | 06/27/2024 |
12/15/2023 | CD | $0.2441 | 01/20/2023 | 12/18/2023 | 12/21/2023 |
09/15/2023 | CD | $0.1122 | 01/20/2023 | 09/18/2023 | 09/21/2023 |
06/16/2023 | CD | $0.4409 | 01/20/2023 | 06/20/2023 | 06/23/2023 |
03/17/2023 | CD | $0.0683 | 01/20/2023 | 03/20/2023 | 03/23/2023 |
12/16/2022 | CD | $0.0818 | 01/31/2022 | 12/19/2022 | 12/22/2022 |
09/16/2022 | CD | $0.1119 | 01/31/2022 | 09/19/2022 | 09/22/2022 |
06/17/2022 | CD | $0.3506 | 01/31/2022 | 06/21/2022 | 06/24/2022 |
03/18/2022 | CD | $0.0498 | 01/31/2022 | 03/21/2022 | 03/24/2022 |
12/17/2021 | CD | $0.2631 | 12/16/2021 | 12/20/2021 | 12/23/2021 |
09/17/2021 | CD | $0.1537 | 01/08/2021 | 09/20/2021 | 09/23/2021 |
06/18/2021 | CD | $0.3409 | 01/08/2021 | 06/21/2021 | 06/24/2021 |
03/19/2021 | CD | $0.1025 | 01/08/2021 | 03/22/2021 | 03/25/2021 |
12/18/2020 | CD | $0.1234 | 01/30/2020 | 12/21/2020 | 12/24/2020 |
09/18/2020 | CD | $0.1185 | 01/30/2020 | 09/21/2020 | 09/24/2020 |
06/19/2020 | CD | $0.1862 | 01/30/2020 | 06/22/2020 | 06/25/2020 |
03/20/2020 | CD | $0.0444 | 01/30/2020 | 03/23/2020 | 03/26/2020 |
12/20/2019 | CD | $0.1901 | 07/22/2019 | 12/23/2019 | 12/27/2019 |
09/20/2019 | CD | $0.089 | 07/22/2019 | 09/23/2019 | 09/26/2019 |
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