FlexShares High Yield Value-Scored Bond Index Fund 股息信息
FlexShares High Yield Value-Scored Bond Index Fund 每股年股息为 0.00,收益率为 0.00%。股息每 每月 支付,最近的除息日为 Dec 19, 2025。
股息收益率
年度股息
除息日
0.00%
$0.00
Dec 19, 2025
支付频率
派息比率
每月
0.00%
股息历史
除息日
现金金额
记录日期
付款日期
Dec 19, 2025
$0.2031
Dec 19, 2025
Dec 26, 2025
Dec 1, 2025
$0.2952
Dec 1, 2025
Dec 5, 2025
Nov 3, 2025
$0.2437
Nov 3, 2025
Nov 7, 2025
Oct 1, 2025
$0.2425
Oct 1, 2025
Oct 7, 2025
Sep 2, 2025
$0.2538
Sep 2, 2025
Sep 8, 2025
Aug 1, 2025
$0.2471
Aug 1, 2025
Aug 7, 2025
股息图表
HYGV 股息
HYGV 股息增长率(同比)
关键数据
前收盘价
$41
开盘价
$40.97
当日区间
$40.97 - $41.05
52周范围
$38.01 - $41.32
交易量
130.9K
平均成交量
123.7K
每股收益(TTM)
--
股息收益率
--
市值
$1.1B
什么是 HYGV?
HYGV was created on 2018-07-17 by FlexShares. The fund's investment portfolio concentrates primarily on high yield fixed income. HYGV tracks a proprietary fundamental-weighted index of USD-denominated high-yield corporate bonds selected based on value, credit, and liquidity.