FlexShares Quality Dividend Index Fund (QDF)

Dividend Yield

QDF has a dividend yield of 1.62% based on $1.33 in yearly dividends. The most recent payment was on 2025-12-26 in the amount of $0.47.
Dividend Yield1.62%Annual Dividends$1.33
Price82.23Payments per Year4
Declaration Date2025-01-24Ex Dividend Date2025-12-19
Record Date2025-12-19Payment Date2025-12-26
Stock Index ETFs
SPYS&P 500 ETFSPY  692.02-3.40(-0.49%)
QQQNasdaq 100 ETFQQQ  626.90-6.32(-1.00%)
DIADow Jones ETFDIA  489.69-0.44(-0.09%)
Prices provided by Massive

QDF Dividend History

QDF Dividend Payments

DividendEx Div DatePay Date
$0.472025-12-192025-12-26
$0.322025-09-192025-09-25
$0.352025-06-202025-06-26
$0.192025-03-212025-03-27
$0.482024-12-202024-12-27
$0.342024-09-202024-09-26
$0.342024-06-212024-06-27
$0.192024-03-152024-03-21
$0.452023-12-152023-12-21
$0.292023-09-152023-09-21
$0.392023-06-162023-06-23
$0.212023-03-172023-03-23
$0.392022-12-162022-12-22
$0.322022-09-162022-09-22
$0.332022-06-172022-06-24
$0.252022-03-182022-03-24
$0.372021-12-172021-12-23
$0.292021-09-172021-09-23
$0.272021-06-182021-06-24
$0.232021-03-192021-03-25
$0.312020-12-182020-12-24
$0.272020-09-182020-09-24
$0.332020-06-192020-06-25
$0.262020-03-202020-03-26
$0.632019-12-202019-12-27
$0.252019-09-202019-09-26
$0.392019-06-212019-06-27
$0.202019-03-152019-03-21
$0.352018-12-212018-12-28
$0.332018-09-242018-09-28
$0.312018-06-182018-06-22
$0.182018-03-192018-03-23
$0.402017-12-212017-12-28
$0.302017-09-182017-09-22
$0.282017-06-192017-06-23
$0.242017-03-202017-03-24
$0.382016-12-222016-12-29
$0.342016-09-192016-09-23
$0.252016-06-202016-06-24
$0.232016-03-212016-03-28
$0.312015-12-292016-01-05
$0.242015-09-182015-09-24
$0.262015-06-192015-06-25
$0.252015-03-202015-03-26
$0.252014-12-292015-01-05
$0.262014-09-192014-09-25
$0.262014-06-202014-06-26
$0.212014-03-212014-03-27
$0.302013-12-272014-01-03
$0.202013-09-032013-09-09
$0.132013-06-032013-06-07
$0.062013-03-012013-03-07
$0.062012-12-272013-01-03