FEIG - FlexShares ESG & Climate Investment Grade Corporate Core Index Fund (FEIG)

FEIG - Monthly dividend ETF

Key Metrics

Current Price
$41.03
Yield
4.62%
1-Year Return
6.49%
DRIP/NAV Return
6.64%
Frequency
monthly
Expense Ratio
0.1200%
AUM
42.95
Inception Date
Mon Sep 20 2021 00:00:00 GMT+0000 (Coordinated Universal Time)

Recent Dividend History

Ex-Dividend DateAmount
4/1/2026 $0.1630
3/2/2026 $0.1451
2/2/2026 $0.1661
12/19/2025 $0.1652
12/1/2025 $0.1532
11/3/2025 $0.1677
10/1/2025 $0.1620
9/2/2025 $0.1659
8/1/2025 $0.1669
7/1/2025 $0.1635
6/2/2025 $0.1781
5/1/2025 $0.1644
4/1/2025 $0.1659
3/3/2025 $0.1739
2/3/2025 $0.1749
12/20/2024 $0.1604
12/2/2024 $0.1610
11/1/2024 $0.1639
10/1/2024 $0.1618
9/3/2024 $0.1665