FlexShares Real Assets Allocation Index Fund ASET:NASDAQ
- Open31.00
- Day High31.11
- Day Low31.00
- Prev Close30.97
- 52 Week High31.11
- 52 Week High Date03/28/24
- 52 Week Low26.98
- 52 Week Low Date10/25/23
Key Stats
- Expense Ratio %0.1
- 10 Day Average Volume0.01M
- Dividend0.88
- Dividend Yield2.84%
- Beta-
- YTD % Change1.45
- 1 Year % Change5.91
KEY STATS
- Open31.00
- Day High31.11
- Day Low31.00
- Prev Close30.97
- 52 Week High31.11
- 52 Week High Date03/28/24
- 52 Week Low26.98
- 52 Week Low Date10/25/23
- Expense Ratio %0.1
- 10 Day Average Volume0.01M
- Dividend0.88
- Dividend Yield2.84%
- Beta-
- YTD % Change1.45
- 1 Year % Change5.91
EVENTS
- Ex Div Date03/21/2024
- Div Amount0.0862
- Split Date-
- Split Factor-
Latest On FlexShares Real Assets Allocation Index Fund
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