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FlexShares Credit-Scored US Corporate Bond Index Fund (SKOR) Dividend Yield, Date & History

FlexShares Credit-Scored US Corporate Bond Index Fund logo
$47.97 +0.06 (+0.13%)
(As of 11/15/2024 ET)

Dividend Summary

Dividend Yield
4.84%
Annual Dividend
$2.32
Recent
Dividend Payment
Nov. 7
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FlexShares Credit-Scored US Corporate Bond Index Fund vs. The Competition

TypeFlexShares Credit-Scored US Corporate Bond Index Fund CompaniesNASDAQ Companies
Annual Dividend$2.32$1.12$1.28
Dividend Yield4.84%1,473.41%405.86%
Annualized 3-Year Dividend Growth0.00%33.61%14.41%

FlexShares Credit-Scored US Corporate Bond Index Fund Dividend History by Quarter

AnnouncedPeriodAmountYieldEx-Dividend DateRecord DatePayable Date
10/31/2024Monthly$0.20055.02%11/1/202411/1/202411/7/2024
8/30/2024$0.19929/3/20249/3/20249/9/2024
7/31/2024Monthly$0.20425.09%8/1/20248/1/20248/7/2024
6/28/2024$0.19677/1/20247/1/20247/8/2024
5/31/2024Monthly$0.20026/3/20246/3/20246/7/2024
4/30/2024Monthly$0.18455/1/20245/2/20245/7/2024
3/28/2024$0.19984/1/20244/2/20244/5/2024
2/29/2024$0.18383/1/20243/4/20243/7/2024
1/31/2024Monthly$0.19422/1/20242/2/20242/7/2024
12/14/2023Monthly$0.190312/15/202312/18/202312/21/2023
11/30/2023Monthly$0.18874.81%12/1/202312/4/202312/7/2023
10/31/2023Monthly$0.18304.82%11/1/202311/2/202311/7/2023
9/29/2023Monthly$0.170710/2/202310/3/202310/6/2023
8/31/2023Monthly$0.16689/1/20239/5/20239/8/2023
7/31/2023Monthly$0.15968/1/20238/2/20238/7/2023
6/30/2023Monthly$0.15333.94%7/3/20237/5/20237/10/2023
5/31/2023Monthly$0.15136/1/20236/2/20236/7/2023
4/28/2023Monthly$0.13703.46%5/1/20235/2/20235/5/2023
3/31/2023Monthly$0.13403.38%4/3/20234/4/20234/10/2023
1/31/2023Monthly$0.12103.03%2/1/20232/2/20232/7/2023
12/15/2022Monthly$0.12503.19%12/16/202212/19/202212/22/2022
11/30/2022Monthly$0.12103.1%12/1/202212/2/202212/7/2022
10/31/2022Monthly$0.11403.02%11/1/202211/2/202211/7/2022
9/30/2022Monthly$0.10302.69%10/3/202210/4/202210/7/2022
8/31/2022Monthly$0.10102.57%9/1/20229/2/20229/8/2022
7/29/2022Monthly$0.102.5%8/1/20228/2/20228/5/2022
6/30/2022Monthly$0.09302.34%7/1/20227/5/20227/8/2022
5/31/2022Monthly$0.09302.31%6/1/20226/2/20226/7/2022
4/29/2022Monthly$0.09202.3%5/2/20225/3/20225/6/2022
3/31/2022Monthly$0.08802.13%4/1/20224/4/20224/7/2022
2/28/2022Monthly$0.07801.83%3/1/20223/2/20223/7/2022
1/31/2022Monthly$0.08201.9%2/1/20222/2/20222/7/2022
12/16/2021Monthly$0.492011.18%12/17/202112/20/202112/23/2021
11/30/2021Monthly$0.07501.69%12/1/202112/2/202112/7/2021
10/29/2021Monthly$0.07801.75%11/1/202111/2/202111/5/2021
9/30/2021Monthly$0.07401.65%10/1/202110/4/202110/7/2021
8/31/2021Monthly$0.07901.75%9/1/20219/2/20219/8/2021
7/30/2021Monthly$0.07901.74%8/2/20218/3/20218/6/2021
12/17/2020Monthly$0.702015.43%12/18/202012/21/202012/24/2020
11/30/2020Monthly$0.07601.65%12/1/202012/2/202012/7/2020
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10/30/2020Monthly$0.09702.13%11/2/202011/3/202011/6/2020
9/30/2020Monthly$0.09101.99%10/1/202010/2/202010/7/2020
8/31/2020Monthly$0.09602.09%9/1/20209/2/20209/8/2020
7/31/2020Monthly$0.10402.26%8/3/20208/4/20208/7/2020
6/30/2020Monthly$0.09502.09%7/1/20207/2/20207/8/2020
5/29/2020Monthly$0.11102.47%6/1/20206/2/20206/5/2020
4/30/2020Monthly$0.12202.79%5/1/20205/4/20205/7/2020
3/31/2020Monthly$0.12302.93%4/1/20204/2/20204/7/2020
2/28/2020Monthly$0.11102.5%3/2/20203/3/20203/6/2020
2/3/2020monthly$0.12913.1%2/3/20202/4/20202/7/2020
12/20/2019monthly$0.12243.1%12/20/201912/23/201912/27/2019
11/29/2019Monthly$0.13303.04%12/2/201912/3/201912/6/2019
9/30/2019Monthly$0.13103%10/1/201910/2/201910/7/2019
8/30/2019Monthly$0.13603%9/3/20199/4/20199/9/2019
7/31/2019Monthly$0.13803.19%8/1/20198/2/20198/7/2019
6/28/2019Monthly$0.12802.96%7/1/20197/2/20197/8/2019
6/3/2019monthly$0.14702.97%6/3/20196/4/20196/7/2019
5/1/2019monthly$0.13733.26%5/1/20195/2/20195/7/2019
4/1/2019monthly$0.13573.23%4/1/20194/2/20194/5/2019
3/1/2019monthly$0.12763.08%3/1/20193/4/20193/7/2019
2/1/2019monthly$0.15343.71%2/1/20192/4/20192/7/2019
12/21/2018monthly$0.10872.68%12/21/201812/24/201812/28/2018
12/3/2018monthly$0.11232.78%12/3/201812/4/201812/7/2018
11/1/2018monthly$0.12903.19%11/1/201811/2/201811/7/2018
10/1/2018monthly$0.12293.02%10/1/201810/2/201810/5/2018
9/3/2018monthly$0.12463.04%9/4/20189/5/20189/10/2018
8/1/2018monthly$0.12283.01%8/1/20188/2/20188/7/2018
7/2/2018monthly$0.11722.88%7/2/20187/3/20187/9/2018
5/31/2018Monthly$0.12202.99%6/1/20186/4/20186/7/2018
5/1/2018monthly$0.10352.55%5/1/20185/2/20185/7/2018
1/6/2018monthly$0.11502.79%4/2/20184/3/20184/6/2018
3/2/2018monthly$0.10212.48%3/1/20183/2/20183/7/2018
1/31/2018Monthly$0.11102.69%2/1/20182/2/20182/7/2018
12/20/2017Monthly$0.11102.63%12/21/201712/22/201712/28/2017
12/4/2017monthly$0.10332.44%12/1/201712/4/201712/7/2017
(Data available from 1/1/2013 forward)

FlexShares Credit-Scored US Corporate Bond Index Fund Dividend - Frequently Asked Questions

What is FlexShares Credit-Scored US Corporate Bond Index Fund's dividend yield?

The current dividend yield for FlexShares Credit-Scored US Corporate Bond Index Fund is 4.84%. Learn more on SKOR's dividend yield history.

How much is FlexShares Credit-Scored US Corporate Bond Index Fund's annual dividend?

The annual dividend for SKOR shares is $2.32. Learn more on SKOR's annual dividend history.

How often does FlexShares Credit-Scored US Corporate Bond Index Fund pay dividends?

FlexShares Credit-Scored US Corporate Bond Index Fund pays monthly dividends to shareholders.

When was FlexShares Credit-Scored US Corporate Bond Index Fund's most recent dividend payment?

FlexShares Credit-Scored US Corporate Bond Index Fund's most recent monthly dividend payment of $0.2005 per share was made to shareholders on Thursday, November 7, 2024.

When was FlexShares Credit-Scored US Corporate Bond Index Fund's most recent ex-dividend date?

FlexShares Credit-Scored US Corporate Bond Index Fund's most recent ex-dividend date was Friday, November 1, 2024.

When did FlexShares Credit-Scored US Corporate Bond Index Fund last increase or decrease its dividend?

The most recent change in the company's dividend was an increase of $0.0013 on Thursday, October 31, 2024.


This page (NASDAQ:SKOR) was last updated on 11/17/2024 by MarketBeat.com Staff
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