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FlexShares Quality Dividend Defensive Index Fund Stock Dividends

QDEFARCA
Logo brought to you by Benzinga Data
$81.08
-0.48-0.59%
Last update: Dec 16, 3:19 PM

FlexShares Quality Dividend Defensive Index Fund Dividends | ARCA:QDEF | Benzinga

FlexShares Quality Dividend Defensive Index Fund issues dividends to shareholders from excess cash FlexShares Quality Dividend Defensive Index Fund generates. Most companies pay dividends on a quarterly basis, but dividends may also be paid monthly, annually or at irregular intervals.

FlexShares Quality Dividend Defensive Index Fund Dividend Overview

FlexShares Quality Dividend Defensive Index Fund does not currently pay a dividend or dividend information is unavailable.

FlexShares Quality Dividend Defensive Index Fund last traded ex-dividend on Sep 19 and the next ex-dividend date is unknown.

Key Highlights:

  • Annual Payout: -
  • Current Yield: -
  • Next Ex-Dividend Date: Unknown
  • Last Ex-Dividend Date: Sep 19
  • Payments per Year: 4
Last Dividend
Sep 19

Dividends for FlexShares Quality Dividend Defensive Index Fund

Get Alert
09/19/20254$0.321.61%09/18/202509/19/202509/25/2025Get Alert
06/20/20254$0.341.88%06/19/202506/20/202506/26/2025Get Alert
03/21/20254$0.211.2%03/20/202503/21/202503/27/2025Get Alert
12/20/20244$0.452.52%12/19/202412/20/202412/27/2024Get Alert
09/20/20244$0.331.88%09/19/202409/20/202409/26/2024Get Alert
06/21/20244$0.342.06%06/20/202406/21/202406/27/2024Get Alert
03/15/20244$0.181.16%03/14/202403/18/202403/21/2024Get Alert
12/15/20234$0.463.11%12/14/202312/18/202312/21/2023Get Alert
09/15/20234$0.271.93%09/14/202309/18/202309/21/2023Get Alert
06/16/20234$0.382.76%06/15/202306/20/202306/23/2023Get Alert
03/17/20234$0.191.53%03/16/202303/20/202303/23/2023Get Alert
12/16/20224$0.392.95%12/15/202212/19/202212/22/2022Get Alert
09/16/20224$0.322.52%09/15/202209/19/202209/22/2022Get Alert
06/17/20224$0.322.61%06/16/202206/21/202206/24/2022Get Alert
03/18/20224$0.211.53%03/17/202203/21/202203/24/2022Get Alert
12/17/20214$0.362.46%12/16/202112/20/202112/23/2021Get Alert
09/17/20214$0.261.88%09/16/202109/20/202109/23/2021Get Alert
06/18/20214$0.272.04%06/17/202106/21/202106/24/2021Get Alert
03/19/20214$0.21.59%03/18/202103/22/202103/25/2021Get Alert
12/18/20204$0.352.93%12/17/202012/21/202012/24/2020Get Alert
09/18/20204$0.272.39%09/17/202009/21/202009/24/2020Get Alert
06/19/20204$0.323.01%06/18/202006/22/202006/25/2020Get Alert
03/20/20204$0.263.09%03/19/202003/23/202003/26/2020Get Alert
12/20/20194$0.725.98%12/19/201912/23/201912/27/2019Get Alert
09/20/20194$0.252.18%09/19/201909/23/201909/26/2019Get Alert
06/21/20194$0.343.01%06/20/201906/24/201906/27/2019Get Alert
03/15/20194$0.211.91%03/14/201903/18/201903/21/2019Get Alert
12/21/20184$0.343.25%12/20/201812/24/201812/28/2018Get Alert
09/24/20184$0.352.96%09/21/201809/25/201809/28/2018Get Alert
06/18/20184$0.292.53%06/15/201806/19/201806/22/2018Get Alert
03/19/20184$0.181.64%03/16/201803/20/201803/23/2018Get Alert
12/21/20174$0.423.77%12/20/201712/22/201712/28/2017Get Alert
09/18/20174$0.323.06%09/15/201709/19/201709/22/2017Get Alert
06/19/20174$0.262.59%06/18/201706/21/201706/23/2017Get Alert
03/20/20174$0.191.9%03/17/201703/22/201703/24/2017Get Alert
12/22/20164$0.373.69%12/21/201612/27/201612/29/2016Get Alert
09/19/20164$0.262.81%09/16/201609/21/201609/23/2016Get Alert
06/20/20164$0.242.61%06/17/201606/22/201606/24/2016Get Alert
03/21/20164$0.262.89%03/18/201603/23/201603/28/2016Get Alert
12/29/20154$0.333.73%12/28/201512/31/201501/05/2016Get Alert
09/18/20154$0.242.74%09/17/201509/22/201509/24/2015Get Alert
06/19/20154$0.262.85%06/18/201506/23/201506/25/2015Get Alert
03/20/20154$0.222.39%03/19/201503/24/201503/26/2015Get Alert
12/29/20144$0.222.41%12/26/201412/31/201401/05/2015Get Alert
09/19/20144$0.212.37%09/18/201409/23/201409/25/2014Get Alert
06/20/20144$0.263.04%06/19/201406/24/201406/26/2014Get Alert
03/21/20144$0.222.69%03/20/201403/25/201403/27/2014Get Alert
12/27/20134$0.334.02%12/26/201312/31/201301/03/2014Get Alert
09/03/20134$0.182.49%08/30/201309/05/201309/09/2013Get Alert
06/03/20134$0.141.87%05/31/201306/05/201306/07/2013Get Alert
03/01/20134$0.030.5%02/28/201303/05/201303/07/2013Get Alert

FAQ

Q

When does FlexShares Quality Dividend Defensive Index Fund (QDEF) pay its next dividend?

A

There are no upcoming dividends for FlexShares Quality Dividend Defensive Index Fund.The last dividend paid out to investors was $0.32 on September 25, 2025

Q

What date did I need to own FlexShares Quality Dividend Defensive Index Fund (QDEF) stock to get the latest dividend?

A

There are no upcoming dividends for FlexShares Quality Dividend Defensive Index Fund.The last dividend paid last dividend payout September 25, 2025 and was $0.32.

Q

How much per share is the next FlexShares Quality Dividend Defensive Index Fund (QDEF) dividend?

A

There are no upcoming dividends for FlexShares Quality Dividend Defensive Index Fund.The last dividend paid out to investors was $0.32 on September 25, 2025

Q

What is the dividend yield for FlexShares Quality Dividend Defensive Index Fund (ARCA:QDEF)?

A

FlexShares Quality Dividend Defensive Index Fund has no upcoming dividends reported. The last reported dividend for FlexShares Quality Dividend Defensive Index Fund (QDEF) was $0.32 and was paid out on September 25, 2025.

Q

What was the announcement date for the next FlexShares Quality Dividend Defensive Index Fund (QDEF) dividend?

A

There are no upcoming dividends announced for FlexShares Quality Dividend Defensive Index Fund. The last dividend was announced on September 18, 2025

Q

Why is FlexShares Quality Dividend Defensive Index Fund (QDEF) dividend considered low?

A

There is not enough data to provide an evaluation.

Q

Is FlexShares Quality Dividend Defensive Index Fund (QDEF) a good dividend?

A

There is not enough data to provide an evaluation.

Q

Is the FlexShares Quality Dividend Defensive Index Fund (QDEF) dividend sustainable?

A

There is not enough data to provide an evaluation.

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