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QDFD Flexshares Dm D

22.2275
0.00 (0.00%)
Last Updated: 20:00:00
Delayed by 15 minutes
Company Name Etf Ticker Symbol Market Type
Flexshares Dm D QDFD London Exchange Traded Fund
  Price Change Change Percent Etf Price Last Traded
0.00 0.00% 22.2275 20:00:00
Open Price Low Price High Price Close Price Prev Close
22.2275
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Recent News

Date Time Source Heading
1/17/202402:00UKREGFlexShares® ETFs Net Asset Value(s)
1/17/202402:00PRNUSFlexShares® ETFs - Net Asset Value(s)
1/16/202402:00PRNUSFlexShares® ETFs - Net Asset Value(s)
1/16/202402:00UKREGFlexShares® ETFs Net Asset Value(s)
1/15/202402:01UKREGFlexShares® ETFs Net Asset Value(s)
1/15/202402:00PRNUSFlexShares® ETFs - Net Asset Value(s)
1/09/202402:01UKREGFlexShares® ETFs Net Asset Value(s)
1/09/202402:00PRNUSFlexShares® ETFs - Net Asset Value(s)
1/05/202402:01UKREGFlexShares® ETFs Net Asset Value(s)
1/05/202402:00PRNUSFlexShares® ETFs - Net Asset Value(s)
1/04/202402:01UKREGFlexShares® ETFs Net Asset Value(s)
1/04/202402:00PRNUSFlexShares® ETFs - Net Asset Value(s)
1/03/202402:01UKREGFlexShares® ETFs Net Asset Value(s)
1/03/202402:00PRNUSFlexShares® ETFs - Net Asset Value(s)
1/02/202402:01UKREGFlexShares® ETFs Net Asset Value(s)
1/02/202402:00PRNUSFlexShares® ETFs - Net Asset Value(s)
12/29/202302:01UKREGFlexShares® ETFs Net Asset Value(s)
12/29/202302:00PRNUSFlexShares® ETFs - Net Asset Value(s)
12/28/202302:01UKREGFlexShares® ETFs Net Asset Value(s)
12/28/202302:00PRNUSFlexShares® ETFs - Net Asset Value(s)
12/27/202302:01UKREGFlexShares® ETFs Net Asset Value(s)
12/27/202302:00PRNUSFlexShares® ETFs - Net Asset Value(s)
12/22/202302:00PRNUSFlexShares® ETFs - Net Asset Value(s)
12/22/202302:00UKREGFlexShares® ETFs Net Asset Value(s)
12/21/202302:01UKREGFlexShares® ETFs Net Asset Value(s)
12/21/202302:00PRNUSFlexShares® ETFs - Net Asset Value(s)
12/19/202312:36PRNUSFlexShares® ETFs - Notice to Shareholders
12/19/202312:36UKREGFlexShares® ETFs Notice to Shareholders
12/15/202302:00UKREGFlexShares® ETFs Net Asset Value(s)
12/15/202302:00PRNUSFlexShares® ETFs - Net Asset Value(s)
12/14/202302:00PRNUSFlexShares® ETFs - Net Asset Value(s)
12/14/202302:00UKREGFlexShares® ETFs Net Asset Value(s)
12/13/202302:00UKREGFlexShares® ETFs Net Asset Value(s)
12/13/202302:00PRNUSFlexShares® ETFs - Net Asset Value(s)
12/12/202302:00PRNUSFlexShares® ETFs - Net Asset Value(s)
12/12/202302:00UKREGFlexShares® ETFs Net Asset Value(s)
12/11/202302:00UKREGFlexShares® ETFs Net Asset Value(s)
12/11/202302:00PRNUSFlexShares® ETFs - Net Asset Value(s)
12/08/202302:00PRNUSFlexShares® ETFs - Net Asset Value(s)
12/08/202302:00UKREGFlexShares® ETFs Net Asset Value(s)
12/07/202310:46UKREGFlexShares® ETFs Dividend Declaration
12/07/202310:46PRNUSFlexShares® ETFs - Dividend Declaration
12/07/202302:00UKREGFlexShares® ETFs Net Asset Value(s)
12/07/202302:00PRNUSFlexShares® ETFs - Net Asset Value(s)
12/06/202302:00PRNUSFlexShares® ETFs - Net Asset Value(s)
12/06/202302:00UKREGFlexShares® ETFs Net Asset Value(s)
12/05/202302:00UKREGFlexShares® ETFs Net Asset Value(s)
12/05/202302:00PRNUSFlexShares® ETFs - Net Asset Value(s)
12/04/202302:00UKREGFlexShares® ETFs Net Asset Value(s)
12/04/202302:00PRNUSFlexShares® ETFs - Net Asset Value(s)