FlexShares iBoxx 5 Year Target Duration TIPS Index Fund (TDTF) Dividends

FlexShares iBoxx 5 Year Target Duration TIPS Index Fund (TDTF): $23.23

0.03 (-0.13%)

POWR Rating

Component Grades

Buy & Hold

A

Peer

D

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TDTF Ex-Dividend Date
TDTF Dividend Yield
4.08%
TDTF Annual Dividend
$0.94
TDTF Payout Ratio


TDTF Dividend History

Ex-Dividend Date Type Payout Amount Change
2024-04-01Dividend$0.12+662.50%
2023-12-15Dividend$0.02-80.72%
2023-12-01Dividend$0.08-35.16%
2023-11-01Dividend$0.13+113.33%
2023-10-02Dividend$0.06-33.33%
2023-09-01Dividend$0.09+20.00%
2023-08-01Dividend$0.08-44.85%
2023-07-03Dividend$0.14+49.45%
2023-06-01Dividend$0.09-37.67%
2023-05-01Dividend$0.15+30.36%
2023-04-03Dividend$0.11+6.67%
2022-12-16Dividend$0.11+105.88%
2022-12-01Dividend$0.05-85.00%
2022-09-01Dividend$0.34+25.93%
2022-08-01Dividend$0.27+116.00%
2022-07-01Dividend$0.13-59.94%
2022-06-01Dividend$0.31+51.46%
2022-05-02Dividend$0.21+13.81%
2022-04-01Dividend$0.18+212.07%
2022-03-01Dividend$0.06-60.81%
2022-02-01Dividend$0.15+6.47%
2021-12-17Dividend$0.14+183.67%
2021-12-01Dividend$0.05+36.11%
2021-11-01Dividend$0.04-64.71%
2021-10-01Dividend$0.10-51.66%
2021-09-01Dividend$0.21+14.67%
2021-08-02Dividend$0.18-2.65%
2021-07-01Dividend$0.19+16.67%
2021-06-01Dividend$0.16+29.60%
2021-05-03Dividend$0.13+60.26%
2021-04-01Dividend$0.08+254.55%
2020-12-18Dividend$0.02-29.03%
2020-12-01Dividend$0.03-56.94%
2020-11-02Dividend$0.07+46.94%
2020-10-01Dividend$0.05-30.99%
2020-05-01Dividend$0.07+5.97%
2020-04-01Dividend$0.07--
2019-12-20Dividend$0.07+168.00%
2019-12-02Dividend$0.03+525.00%
2019-11-01Dividend$0.00-91.49%
2019-10-01Dividend$0.05+291.67%
2019-09-03Dividend$0.01-78.95%
2019-08-01Dividend$0.06-57.78%
2019-07-01Dividend$0.14+18.42%
2019-06-03Dividend$0.11+103.57%
2018-12-21Dividend$0.06+47.37%
2018-12-03Dividend$0.04+80.95%
2018-11-01Dividend$0.02+133.33%
2018-10-01Dividend$0.01-80.43%
2018-09-04Dividend$0.05-57.01%
2018-08-01Dividend$0.11+9.18%
2018-07-02Dividend$0.10+63.33%
2018-06-01Dividend$0.06-47.37%
2018-05-01Dividend$0.11+50.00%
2018-04-02Dividend$0.08+72.73%
2017-12-21Dividend$0.04-66.15%
2017-12-01Dividend$0.13+124.14%
2017-11-01Dividend$0.06+163.64%
2017-09-01Dividend$0.02+4.76%
2017-08-01Dividend$0.02-71.23%
2017-07-03Dividend$0.07+284.21%
2017-06-01Dividend$0.02-75.00%
2017-05-01Dividend$0.08-28.30%
2017-04-03Dividend$0.11+211.76%
2016-12-22Dividend$0.03-38.18%
2016-12-01Dividend$0.06-30.38%
2016-09-01Dividend$0.08-18.56%
2016-08-01Dividend$0.10-14.16%
2016-07-01Dividend$0.11+120.70%
2015-09-01Dividend$0.05+397.09%
2014-12-01Dividend$0.01-68.79%
2014-09-02Dividend$0.03-52.79%
2014-08-01Dividend$0.07+8.20%
2014-07-01Dividend$0.06-47.35%
2014-06-02Dividend$0.12+1,046.73%
2013-12-27Dividend$0.01-66.56%
2013-06-03Dividend$0.03-67.94%
2012-12-27Dividend$0.10+102.43%
2012-12-03Dividend$0.05-33.74%
2012-07-02Dividend$0.07-44.31%
2012-06-01Dividend$0.13+622.16%
2012-05-01Dividend$0.02+90.72%
2011-12-28Dividend$0.01-43.27%
2011-12-01Dividend$0.02-34.48%
2011-11-01Dividend$0.03--


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