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IQDF

FlexShares International Quality Dividend Index Fund

Price Chart
Latest Quote

$34.34

+0.36 (+1.04%)
Current Price
Previous Close $33.98
Open $34.49
Day High $34.47
Day Low $34.17
Volume 82,764
Fetched: 2026-06-25T20:11:29
Fund Information
Quarterly Dividend / Yield N/A / 2.78%
Net Assets $1.15B
Expense Ratio 0.47%
Category Foreign Large Value
Fund Family Flexshares Trust
Net Asset Value $34.02
Premium/Discount 0.94%
Quarterly Dividend Yield 2.78%
P/E Ratio 14.41
Exchange PCX
📊 ETF Analysis
Company Data
Financial Ratios
Returns & Margins
Ownership
Insider & Institutional transactions data not available
Valuation Ratios
Analyst Data
Technical Indicators
SMA20$34.38
SMA50$33.84
SMA200$31.02
RSI48.10
ATR0.6295
Rel Volume1.32
Performance History
Week-1.07%
Month-0.56%
Quarter+10.65%
6 Months+15.51%
YTD+13.04%
Year+32.71%
3 Years+81.01%
5 Years+65.47%
10 Years+167.21%
ETF Scoring Not Available

Exchange-traded funds (ETFs) are not scored using our fundamental analysis metrics, as they represent baskets of securities rather than individual companies.

Recent Price History
Date Close Volume
2026-06-25 $34.33 82,764
2026-06-24 $33.98 74,100
2026-06-23 $34.20 107,100
2026-06-22 $35.14 67,900
2026-06-18 $34.97 72,000
2026-06-17 $34.71 73,000
2026-06-16 $34.90 118,000
2026-06-15 $35.09 45,500
2026-06-12 $34.71 25,700
2026-06-11 $34.43 40,800
2026-06-10 $33.34 54,400
2026-06-09 $33.70 50,100
2026-06-08 $33.60 76,800
2026-06-05 $33.31 83,500
2026-06-04 $34.57 34,100
2026-06-03 $34.49 54,500
2026-06-02 $34.84 63,000
2026-06-01 $34.58 51,700
2026-05-29 $34.31 47,900
2026-05-28 $34.39 28,800
2026-05-27 $34.49 53,200
2026-05-26 $34.53 35,100
About FlexShares International Quality Dividend Index Fund

The index is designed to reflect the performance of a selection of companies that, in aggregate, provide exposure to a high-quality income-oriented universe of long-only international securities issued by non-U.S.- based companies. The fund will invest at least 80% of its total assets in the securities of the index and in ADRs and GDRs based on the securities in the index.

Period:
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