Dividend History
August 07, 2025 |
$0.17 |
08/01/2025 |
08/01/2025 |
July 08, 2025 |
$0.16 |
07/01/2025 |
07/01/2025 |
June 06, 2025 |
$0.18 |
06/02/2025 |
06/02/2025 |
May 07, 2025 |
$0.16 |
05/01/2025 |
05/01/2025 |
April 07, 2025 |
$0.17 |
04/01/2025 |
04/01/2025 |
March 07, 2025 |
$0.17 |
03/03/2025 |
03/03/2025 |
February 07, 2025 |
$0.17 |
02/03/2025 |
02/03/2025 |
December 27, 2024 |
$0.16 |
12/20/2024 |
12/20/2024 |
December 06, 2024 |
$0.16 |
12/02/2024 |
12/02/2024 |
November 07, 2024 |
$0.16 |
11/01/2024 |
11/01/2024 |
October 07, 2024 |
$0.16 |
10/01/2024 |
10/01/2024 |
September 09, 2024 |
$0.17 |
09/03/2024 |
09/03/2024 |
August 07, 2024 |
$0.17 |
08/01/2024 |
08/01/2024 |
July 08, 2024 |
$0.16 |
07/01/2024 |
07/01/2024 |
June 07, 2024 |
$0.16 |
06/03/2024 |
06/03/2024 |
May 07, 2024 |
$0.16 |
05/01/2024 |
05/02/2024 |
April 05, 2024 |
$0.16 |
04/01/2024 |
04/02/2024 |
March 07, 2024 |
$0.13 |
03/01/2024 |
03/04/2024 |
February 07, 2024 |
$0.13 |
02/01/2024 |
02/02/2024 |
December 21, 2023 |
$0.15 |
12/15/2023 |
12/18/2023 |
December 07, 2023 |
$0.15 |
12/01/2023 |
12/04/2023 |
November 07, 2023 |
$0.14 |
11/01/2023 |
11/02/2023 |
October 06, 2023 |
$0.21 |
10/02/2023 |
10/03/2023 |
September 08, 2023 |
$0.15 |
09/01/2023 |
09/05/2023 |
August 07, 2023 |
$0.15 |
08/01/2023 |
08/02/2023 |
July 10, 2023 |
$0.14 |
07/03/2023 |
07/05/2023 |
June 07, 2023 |
$0.14 |
06/01/2023 |
06/02/2023 |
May 05, 2023 |
$0.13 |
05/01/2023 |
05/02/2023 |
April 10, 2023 |
$0.13 |
04/03/2023 |
04/04/2023 |
March 07, 2023 |
$0.12 |
03/01/2023 |
03/02/2023 |
February 07, 2023 |
$0.14 |
02/01/2023 |
02/02/2023 |
December 22, 2022 |
$0.10 |
12/16/2022 |
12/19/2022 |
December 07, 2022 |
$0.11 |
12/01/2022 |
12/02/2022 |
November 07, 2022 |
$0.11 |
11/01/2022 |
11/02/2022 |
October 07, 2022 |
$0.13 |
10/03/2022 |
10/04/2022 |
September 08, 2022 |
$0.13 |
09/01/2022 |
09/02/2022 |
August 05, 2022 |
$0.10 |
08/01/2022 |
08/02/2022 |
July 08, 2022 |
$0.09 |
07/01/2022 |
07/05/2022 |
June 07, 2022 |
$0.09 |
06/01/2022 |
06/02/2022 |
May 06, 2022 |
$0.09 |
05/02/2022 |
05/03/2022 |
April 07, 2022 |
$0.09 |
04/01/2022 |
04/04/2022 |
March 07, 2022 |
$0.08 |
03/01/2022 |
03/02/2022 |
February 07, 2022 |
$0.08 |
02/01/2022 |
02/02/2022 |
December 23, 2021 |
$0.08 |
12/17/2021 |
12/20/2021 |
December 07, 2021 |
$0.08 |
12/01/2021 |
12/02/2021 |
November 05, 2021 |
$0.11 |
11/01/2021 |
11/02/2021 |
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Dividends Summary
- FlexShares ESG & Climate Investment Grade Corporate Core Index Fund has issued 46 dividend payments over the past 4 years
- The most recent dividend was paid 12 days ago, on August 7, 2025
- The first recorded dividend was paid on November 5, 2021
- The highest dividend payout was $0.21 per share
- The average dividend over this 4 year span is $0.14 per share
- FlexShares ESG & Climate Investment Grade Corporate Core Index Fund has increased its dividend payments by 54.24% since 2021
Page data last updated 08/19/2025 16:49:09 UTC
Dividend yield is calculated using only dividends that have already been
paid. Future or declared dividends are not included