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Flexshares Disciplined Duration MBS Index Fund (MBSD)

Flexshares Disciplined Duration MBS Index Fund (MBSD)
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Overview

Name FlexShares Disciplined Duration MBS Index Fund
Fund Family FlexShares
Underlying Index The BofA Merrill Lynch Constrained Duration US Mortgage Backed Securities Index
Inception Date 09/04/14
First Trade Date 09/04/14
Leverage Long
Asset Class Fixed Income

Description:

The FlexShares Disciplined Duration MBS Index Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of The BofA Merrill Lynch Constrained Duration US Mortgage Backed Securities Index.

Investment Information

Alpha 1.25
60-Month Beta 0.09
Standard Deviation +0.70
Shares Outstanding, K 3,950.00
Managed Assets, $K 79,712.60 K
Net Asset Value 20.18
First Trade Price 24.96
P/E Ratio 0.00
Management Fee 0.20%
Options No
Latest Dividend 0.060
Last Dividend Date 05/01/24
Annual Dividend 0.72
Annual Dividend Yield 3.54%
1-Year Return -2.08%
3-Year Return -14.74%
5-Year Return -13.27%
Management Expense Ratio 0.20%

MBSD Dividends

Date Value
05/01/24 $0.0600
04/01/24 $0.0570
03/01/24 $0.0590
02/01/24 $0.0580
12/15/23 $0.0620
12/01/23 $0.0930
11/01/23 $0.0490
10/02/23 $0.0560
09/01/23 $0.0560
08/01/23 $0.0550
07/03/23 $0.0540
06/01/23 $0.0560
05/01/23 $0.0570
04/03/23 $0.0550
03/01/23 $0.0540
02/01/23 $0.0510
12/16/22 $0.0540
12/01/22 $0.0610
11/01/22 $0.0520
10/03/22 $0.0530
09/01/22 $0.0510
08/01/22 $0.0510
07/01/22 $0.0520
06/01/22 $0.0500
05/02/22 $0.0500
04/01/22 $0.0520
03/01/22 $0.0470
02/01/22 $0.0460
12/17/21 $0.0390
12/01/21 $0.0420
11/01/21 $0.0410
10/01/21 $0.0410
09/01/21 $0.0390
08/02/21 $0.0400
07/01/21 $0.0370
06/01/21 $0.0410
05/03/21 $0.0490
04/01/21 $0.0620
03/01/21 $0.0620
02/01/21 $0.0650
12/18/20 $0.0570
12/01/20 $0.0600
11/02/20 $0.0540
10/01/20 $0.0540
09/01/20 $0.0510
08/03/20 $0.0520
07/01/20 $0.0500
06/01/20 $0.0530
05/01/20 $0.0600
04/01/20 $0.0590
03/02/20 $0.0560
02/03/20 $0.0640
12/20/19 $0.0470
12/02/19 $0.0630
11/01/19 $0.0600
10/01/19 $0.0630
09/03/19 $0.0620
08/01/19 $0.0470
07/01/19 $0.0900
06/03/19 $0.0850
05/01/19 $0.0750
04/01/19 $0.0700
03/01/19 $0.0700
02/01/19 $0.0700
12/21/18 $0.0660
12/03/18 $0.0710
11/01/18 $0.0650
10/01/18 $0.0640
09/04/18 $0.0530
08/01/18 $0.0490
07/02/18 $0.0640
06/01/18 $0.0580
05/01/18 $0.0550
04/02/18 $0.0620
03/01/18 $0.0650
02/01/18 $0.0660
12/21/17 $0.0660
12/01/17 $0.0640
11/01/17 $0.0650
10/02/17 $0.0630
09/01/17 $0.0630
08/01/17 $0.0640
07/03/17 $0.0680
06/01/17 $0.0670
05/01/17 $0.0660
04/03/17 $0.0660
03/01/17 $0.0650
12/22/16 $0.0680
12/01/16 $0.0570
11/01/16 $0.0600
10/03/16 $0.0630
09/01/16 $0.0630
07/01/16 $0.0610
04/01/16 $0.0600
03/01/16 $0.0630
02/01/16 $0.0410
12/29/15 $0.2560
12/01/15 $0.0040
11/02/15 $0.0620
10/01/15 $0.0630
09/01/15 $0.0623
08/03/15 $0.0522
07/01/15 $0.0609
06/01/15 $0.0587
05/01/15 $0.0597
04/01/15 $0.0548
03/02/15 $0.0512
02/02/15 $0.0707
12/29/14 $0.0214
12/01/14 $0.0634
11/03/14 $0.0646
10/01/14 $0.0595
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