Looking for our Business Solutions? Click here:CloudQuote APIsContact Us

FlexShares International Quality Dividend Dynamic Index Fund (IQDY)

36.51
-1.16 (-3.08%)
NYSE · Last Trade: Mar 23rd, 12:07 AM EDT
QuoteNewsPress ReleasesChartHistorical

Historical Prices For FlexShares International Quality Dividend Dynamic Index Fund (IQDY)

DateOpenHighLowCloseVolumeAdjusted Close
3/20/202637.3737.5336.5136.516,19936.51
3/19/202637.2537.9537.2237.7915,67237.79
3/18/202638.1238.3037.7637.7612,70037.76
3/17/202638.4038.4538.2338.366,76838.36
3/16/202637.9138.2037.9138.196,43838.19
3/13/202637.7737.7737.3537.354,57537.35
3/12/202638.2138.2137.7437.815,93037.81
3/11/202638.5638.5637.8038.554,06938.55
3/10/202638.6638.9738.0338.357,49938.35
3/09/202637.5438.3737.2338.376,09838.37
3/06/202637.7738.1737.6237.885,63137.88
3/05/202638.8338.8337.9738.3310,37238.33
3/04/202638.9239.1938.0939.179,18039.17
3/03/202638.2438.7637.4138.6225,01138.62
3/02/202639.7740.1439.7740.097,59440.09
2/27/202640.6840.7840.5540.555,27240.55
2/26/202640.9340.9340.5540.857,07540.85
2/25/202640.9740.9940.0140.886,27740.88
2/24/202640.1340.3940.0240.326,09440.32
2/23/202640.1640.2240.1040.224,18440.22
2/20/202639.9840.4339.9840.433,18340.43
2/19/202639.9040.0339.8539.976,65439.97
2/18/202640.2040.4240.0740.208,85040.20
2/17/202639.7640.0639.7640.046,76940.04
2/13/202639.9940.1039.8440.062,55840.06
2/12/202640.8540.8540.0340.082,82540.08
2/11/202640.6640.7840.3640.684,42940.68
2/10/202640.4340.5340.4340.534,52640.53
2/09/202640.1140.4240.0540.293,80840.29
2/06/202639.4539.9039.4539.9015,48139.90
2/05/202638.9139.1138.8438.848,12838.84
2/04/202639.6939.6939.2339.359,73739.35
2/03/202639.4339.4339.0539.355,08839.35
2/02/202638.9739.3038.9639.2710,30739.27
1/30/202639.3839.3838.9039.093,63239.09
1/29/202639.2639.6239.1739.624,20039.62
1/28/202639.4439.5739.3739.543,02539.54
1/27/202639.4539.7439.2139.7416,55439.74
1/26/202638.9939.1138.9539.0012,16639.00
1/23/202638.6338.7938.6238.796,25538.79
1/22/202638.7038.7938.6738.794,26238.79
1/21/202638.1838.4438.0338.3810,61438.38
1/20/202637.8638.7737.8637.887,39937.88
1/16/202638.2238.3638.2138.367,94338.36
1/15/202638.3238.3938.2538.365,07638.36
1/14/202638.1038.1037.8638.0518,24638.05
1/13/202638.0938.0937.8937.925,04137.92
1/12/202637.8838.0537.8838.052,11338.05
1/09/202637.5937.7937.5637.745,85837.74
1/08/202637.3037.5537.3037.4419,44337.44
1/07/202637.7537.7837.5937.609,97537.60
1/06/202637.8737.8737.7137.734,02037.73
1/05/202637.3437.6937.2337.699,25537.69
1/02/202637.1037.3437.0837.187,12537.18
12/31/202536.6636.6736.5836.642,87936.64
12/30/202536.8536.8736.7236.8012,33236.80
12/29/202536.7736.7736.5936.7010,05436.70
12/26/202536.8336.9136.7636.846,91436.84
12/24/202536.6536.7936.6536.6919,46836.69
12/23/202536.5136.6336.5136.633,45636.63