FlexShares STOXX US ESG Select Index Fund ( ESG) Dividends
Last dividend for FlexShares STOXX US ESG Select Index Fund (ESG) as of July 19, 2025 is 0.41 USD. The forward dividend yield for ESG as of July 19, 2025 is 1.11%. Average dividend growth rate for stock FlexShares STOXX US ESG Select Index Fund (ESG) for past three years is 5.39%.
Dividend history for stock ESG (FlexShares STOXX US ESG Select Index Fund) including historic stock price, dividend growth rate predictions based on history and split, spin-off and special dividends.
FlexShares STOXX US ESG Select Index Fund Dividends
Ex-dividend date | Payable date | Dividend amount (change) | Adjusted Price | Close Price |
---|---|---|---|---|
2025-06-20 | 2025-06-26 | 0.4097 USD (56.31%) | 146.03 USD | 146.03 USD |
2025-03-21 | 2025-03-27 | 0.2621 USD (-48.70%) | 133.44 USD | 133.44 USD |
2024-12-20 | 2024-12-27 | 0.5109 USD (24.22%) | 137.95 USD | 137.95 USD |
2024-09-20 | 2024-09-26 | 0.4113 USD (-0.39%) | 135.85 USD | 135.85 USD |
2024-06-21 | 2024-06-27 | 0.4129 USD (42.23%) | 128.48 USD | 128.48 USD |
2024-03-15 | 2024-03-21 | 0.2903 USD (-25.74%) | 126.59 USD | 126.59 USD |
2023-12-15 | 2023-12-21 | 0.3909 USD (29.05%) | 112.34 USD | 112.34 USD |
2023-09-15 | 2023-09-21 | 0.3029 USD (-11.54%) | 106.29 USD | 106.29 USD |
2023-06-16 | 2023-06-23 | 0.3424 USD (40.33%) | 107.19 USD | 107.19 USD |
2023-03-17 | 2023-03-23 | 0.2440 USD (-36.01%) | 94.14 USD | 94.44 USD |
2022-12-16 | 2022-12-22 | 0.3813 USD (25.02%) | 91.60 USD | 92.13 USD |
2022-09-16 | 2022-09-22 | 0.3050 USD (3.15%) | 91.66 USD | 92.56 USD |
2022-06-17 | 2022-06-24 | 0.2957 USD (4.67%) | 86.59 USD | 87.73 USD |
2022-03-18 | 2022-03-24 | 0.2825 USD (-20.58%) | 105.90 USD | 107.65 USD |
2021-12-17 | 2021-12-23 | 0.3557 USD (28.18%) | 110.84 USD | 112.98 USD |
2021-09-17 | 2021-09-23 | 0.2775 USD (-14.30%) | 105.96 USD | 108.34 USD |
2021-06-18 | 2021-06-24 | 0.3238 USD (35.25%) | 99.25 USD | 101.74 USD |
2021-03-19 | 2021-03-25 | 0.2394 USD (-32.26%) | 93.24 USD | 95.88 USD |
2020-12-18 | 2020-12-24 | 0.3534 USD (26.76%) | 87.61 USD | 90.32 USD |
2020-09-18 | 2020-09-24 | 0.2788 USD (0.65%) | 77.71 USD | 80.42 USD |
2020-06-19 | 2020-06-25 | 0.2770 USD (-9.77%) | 71.93 USD | 74.70 USD |
2020-03-20 | 2020-03-26 | 0.3070 USD (-11.27%) | 53.32 USD | 55.58 USD |
2019-12-23 | 0.3460 USD | 73.11 USD | 76.60 USD | |
2019-12-20 | 2019-12-27 | 0.3460 USD (26.32%) | 73.70 USD | 76.97 USD |
2019-09-20 | 2019-09-26 | 0.2739 USD (-6.61%) | 67.76 USD | 71.32 USD |
2019-06-21 | 2019-06-27 | 0.2933 USD (16.71%) | 66.37 USD | 70.13 USD |
2019-03-18 | 2019-03-22 | 0.2513 USD | 61.90 USD | 66.64 USD |
2019-03-15 | 2019-03-21 | 0.2513 USD (-2.07%) | 62.93 USD | 66.76 USD |
2018-12-21 | 2018-12-28 | 0.2566 USD (-13.16%) | 54.07 USD | 57.58 USD |
2018-09-24 | 2018-09-28 | 0.2955 USD (7.69%) | 64.56 USD | 69.06 USD |
2018-06-18 | 2018-06-22 | 0.2744 USD (38.80%) | 60.74 USD | 65.24 USD |
2018-03-19 | 2018-03-23 | 0.1977 USD (-38.32%) | 59.61 USD | 64.30 USD |
2017-12-21 | 2017-12-28 | 0.3205 USD (30.98%) | 58.36 USD | 63.15 USD |
2017-09-18 | 2017-09-22 | 0.2447 USD (-6.35%) | 54.02 USD | 58.75 USD |
2017-06-19 | 2017-06-23 | 0.2613 USD (83.11%) | 52.63 USD | 57.47 USD |
2017-03-20 | 2017-03-24 | 0.1427 USD (-55.71%) | 51.03 USD | 56.24 USD |
2016-12-22 | 2016-12-29 | 0.3222 USD (98.15%) | 48.10 USD | 53.15 USD |
2016-09-19 | 2016-09-23 | 0.1626 USD | 45.14 USD | 50.18 USD |
ESG
Price: $147.24
Dividend Yield: 1.04%
Forward Dividend Yield: 1.11%
Payout Ratio: 32.35%
Dividend Per Share: 1.64 USD
Earnings Per Share: 6.05 USD
P/E Ratio: 24.36
Exchange: BTS
Sector: Financial Services
Industry: Asset Management
Volume: 182
Market Capitalization: 123.5 million
Average Dividend Frequency: 4
Years Paying Dividends: 10
DGR3: 5.39%
DGR5: 1.65%