FlexShares International Quality Dividend Index Fund (IQDF)

ARCX

$35.60 as of Aug 14, 2026

Yield (TTM)2.9%
Annual dividend$1.04
Growth streak0 yrs
3y growth0.7%
5y growth5.1%
FrequencyQuarterly
Last ex-divJun 18, 2026
Last paidJun 25, 2026

FlexShares International Quality Dividend Index Fund (IQDF) currently yields 2.9%. IQDF pays quarterly; the most recent ex-dividend date was Jun 18, 2026.

Dividends per share by year
2017$1.042018201920202021202220232024$1.5620252026 YTD$0.58

Dividend history

Ex-datePay dateAmountFrequency
2026
2026-06-182026-06-25$0.515Quarterly
2026-03-202026-03-26$0.068Quarterly
2026 total$0.583
2025
2025-12-192025-12-26$0.173Quarterly
2025-09-192025-09-25$0.287Quarterly
2025-06-202025-06-26$0.443Quarterly
2025-03-212025-03-27$0.090Quarterly
2025 total$0.994
2024
2024-12-202024-12-27$0.948Quarterly
2024-09-202024-09-26$0.232Quarterly
2024-06-212024-06-27$0.383Quarterly
2024 total$1.563
2023
2023-12-152023-12-21$0.572Quarterly
2023-09-152023-09-21$0.354Quarterly
2023-06-162023-06-23$0.440Quarterly
2023-03-172023-03-23$0.045Quarterly
2023 total$1.411
2022
2022-12-162022-12-22$0.195Quarterly
2022-09-162022-09-22$0.343Quarterly
2022-06-172022-06-24$0.457Quarterly
2022-03-182022-03-24$0.159Quarterly
2022 total$1.154
2021
2021-12-172021-12-23$0.266Quarterly
2021-09-172021-09-23$0.345Quarterly
2021-06-182021-06-24$0.325Quarterly
2021-03-192021-03-25$0.120Quarterly
2021 total$1.055
2020
2020-12-182020-12-24$0.114Quarterly
2020-09-182020-09-24$0.254Quarterly
2020-06-192020-06-25$0.256Quarterly
2020-03-202020-03-26$0.176Quarterly
2020 total$0.800
2019
2019-12-202019-12-27$0.189Quarterly
2019-09-202019-09-26$0.302Quarterly
2019-06-212019-06-27$0.460Quarterly
2019-03-152019-03-21$0.132Quarterly
2019 total$1.083
2018
2018-12-212018-12-28$0.285Quarterly
2018-09-242018-09-28$0.365Quarterly
2018-06-182018-06-22$0.530Quarterly
2018-03-192018-03-23$0.102Quarterly
2018 total$1.281
2017
2017-12-212017-12-28$0.287Quarterly
2017-09-182017-09-22$0.243Quarterly
2017-06-192017-06-23$0.417Quarterly
2017-03-202017-03-24$0.095Quarterly
2017 total$1.042
2016
2016-12-222016-12-29$0.179Quarterly
2016-09-192016-09-23$0.242Quarterly
2016-06-202016-06-24$0.328Quarterly
2016-03-212016-03-28$0.095Quarterly
2016 total$0.845
2015
2015-12-292016-01-05$0.156Quarterly
2015-09-182015-09-24$0.250Quarterly
2015-06-192015-06-25$0.441Quarterly
2015-03-202015-03-26$0.072Quarterly
2015 total$0.918
2014
2014-12-292015-01-05$0.188Quarterly
2014-09-192014-09-25$0.227Quarterly
2014-06-202014-06-26$0.520Quarterly
2014-03-212014-03-27$0.139Quarterly
2014 total$1.074
2013
2013-12-272014-01-03$0.154Quarterly
2013-09-032013-09-09$0.157Quarterly
2013-06-032013-06-07$0.122Irregular
2013 total$0.433