Home

FlexShares International Quality Dividend Dynamic Index Fund (IQDY)

28.62
-0.18 (-0.62%)
SummaryNewsPress ReleasesChartHistorical
DateOpenHighLowCloseVolumeAdjusted Close
1/31/202528.8628.9928.6228.6215,64528.62
1/30/202529.1929.1928.8028.8014,42728.80
1/29/202528.5628.6028.5128.5593,21628.55
1/28/202528.6028.6028.3828.576,63728.57
1/27/202528.5128.6028.5028.603,97628.60
1/24/202528.7528.7728.7028.752,58528.75
1/23/202528.4928.6128.4628.618,29828.61
1/22/202528.5228.5428.3628.459,99628.45
1/21/202528.4528.5728.4228.576,51728.57
1/17/202528.0628.1928.0628.075,54628.07
1/16/202527.9228.0127.9027.906,67427.90
1/15/202527.8327.8727.7527.852,44127.85
1/14/202527.4027.4927.4027.4981527.49
1/13/202527.1027.2226.9927.2236,00927.22
1/10/202527.5327.7027.3127.313,09127.31
1/08/202527.6527.7627.6427.764,00027.76
1/07/202528.1628.1627.7927.815,17927.81
1/06/202528.0328.1127.9527.952,18227.95
1/03/202527.6127.7027.5927.673,57327.67
1/02/202527.6327.6327.4327.507,43827.50
12/31/202427.640.0027.6527.65027.65
12/30/202427.5627.7127.4627.6429,81427.64
12/27/202427.6027.7927.5627.7836,21127.78
12/26/202427.6427.7527.6227.68191,43027.68
12/24/202427.6127.6127.4727.5517,88127.55
12/23/202427.3327.5127.2527.5113,48127.51
12/20/202427.1627.5627.1627.384,34027.38
12/19/202428.6928.7028.5228.524,93128.52
12/18/202429.2029.2328.4928.525,18828.52
12/17/202429.2229.2729.2029.234,27829.23
12/16/202429.3829.4229.3529.373,26729.37
12/13/202429.5029.5229.4329.511,73529.51
12/12/202429.7129.7129.5429.541,80629.54
12/11/202429.8229.8829.7529.856,56729.85
12/10/202429.9029.9029.8029.803,66029.80
12/09/202430.1930.2330.0530.054,25430.05
12/06/202429.7729.7729.6729.712,51329.71
12/05/202429.7529.7529.7229.721,19629.72
12/04/202429.6029.6129.5229.561,70029.56
12/03/202429.4429.5329.4429.493,77029.49
12/02/202429.2129.3629.1329.335,38029.33
11/29/202428.8629.1928.8629.197,57629.19
11/27/202428.9128.9128.8328.862,23428.86
11/26/202428.8628.8628.6628.738,73828.73
11/25/202429.0029.0228.8828.926,46128.92
11/22/202428.6328.8328.6328.812,68128.81
11/21/202428.6828.7528.6328.754,52928.75
11/20/202428.7128.7328.6428.734,57928.73
11/19/202428.6628.8028.6628.808,41228.80
11/18/202428.8228.9428.8228.927,68728.92
11/15/202428.7228.7328.6928.728,43228.72
11/14/202428.8728.9328.7928.793,09528.79
11/13/202428.9128.9128.6628.774,38628.77
11/12/202429.1129.1128.8928.985,90228.98
11/11/202429.5129.5529.4529.469,52429.46
11/08/202429.8129.8129.5429.643,70929.64
11/07/202430.1330.3330.1330.2821,91630.28
11/06/202429.4729.7729.4729.634,34429.63
11/05/202429.8130.0329.8129.963,97829.96
11/04/202429.8129.8329.6929.693,05829.69
11/01/202429.7629.7629.5429.561,35629.56