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HYGV ETF Dividend

Dividend Per Share

$0.26
+$0.00+0.04%

01 November 2024

Dividend Per Share (Next)

Not announced

HYGV Dividend Chart

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TTM Dividend Per Share

$3.12
$0.000.00%

03 December 2024

HYGV TTM Dividend Per Share Chart

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HYGV Dividend Performance

PeriodPeriodLastLastTTMTTM
RecentMost recent+0.0%-10.9%
1 y1 year-10.3%-12.1%
3 y3 years+19.8%+17.9%
5 y5 years+13.4%-22.7%

HYGV Dividend High & Low

PeriodPeriodLast vs highLast vs highLast vs lowLast vs lowTTM vs highTTM vs highTTM vs lowTTM vs low
1 y1 year-18.5%+0.0%-20.1%at low
3 y3 years-57.4%+23.8%-20.1%+17.9%
5 y5 years-57.4%+44.6%-27.2%+17.9%
alltimeall time-57.4%+44.6%-37.9%+904.4%

HYGV Dividend Per Share History

DateLastAnnualTTM
Dec 2024
-
-
$3.12(-8.4%)
Nov 2024
$0.26(+0.0%)
-
$3.41(-9.4%)
Oct 2024
$0.26(-10.0%)
-
$3.76(+7.4%)
Sept 2024
$0.29(+9.3%)
-
$3.50(-0.5%)
Aug 2024
$0.26(-2.2%)
-
$3.52(-8.2%)
July 2024
$0.27(-5.3%)
-
$3.83(+7.5%)
June 2024
$0.28(-0.1%)
-
$3.57(-0.5%)
May 2024
$0.28(-8.6%)
-
$3.58(-8.2%)
Apr 2024
$0.31(+10.0%)
-
$3.90(+8.6%)
Mar 2024
$0.28(-9.3%)
-
$3.59(+0.3%)
Feb 2024
$0.31(-1.8%)
-
$3.58(-7.3%)
Dec 2023
$0.32(+10.0%)
-
$3.86(+8.9%)
Dec 2023
$0.29(-7.0%)
-
$3.55(+0.2%)
Nov 2023
$0.31(+2.5%)
-
$3.54(-6.8%)
Oct 2023
$0.30(-1.0%)
-
$3.80(+8.6%)
Sept 2023
$0.30(+5.4%)
-
$3.50(+1.3%)
Aug 2023
$0.29(+1.0%)
-
$3.45(+1.2%)
July 2023
$0.29(-4.5%)
-
$3.41(+1.0%)
June 2023
$0.30(+2.6%)
-
$3.38(-5.1%)
May 2023
$0.29(-5.9%)
-
$3.56(+8.9%)
Apr 2023
$0.31(+13.8%)
-
$3.27(+2.5%)
Mar 2023
$0.27(-12.2%)
-
$3.19(+2.1%)
Feb 2023
$0.31(+10.1%)
-
$3.13(-14.3%)
Dec 2022
$0.28(+0.5%)
-
$3.65(+8.4%)
Dec 2022
$0.28(-1.6%)
-
$3.37(+2.0%)
Nov 2022
$0.29(+1.3%)
-
$3.30(+2.3%)
Oct 2022
$0.28(+7.7%)
-
$3.23(+2.7%)
Sept 2022
$0.26(+4.6%)
-
$3.15(-3.8%)
Aug 2022
$0.25(-1.3%)
-
$3.27(+8.3%)
July 2022
$0.25(-0.3%)
-
$3.02(+1.6%)
June 2022
$0.25(+10.9%)
-
$2.97(-6.2%)
May 2022
$0.23(-1.0%)
-
$3.17(+7.8%)
Apr 2022
$0.23(+10.8%)
-
$2.94(-0.4%)
Mar 2022
$0.21(-8.9%)
-
$2.95(-0.0%)
Feb 2022
$0.23(-62.2%)
-
$2.95(-9.2%)
Dec 2021
$0.61(+181.2%)
-
$3.25(+22.9%)
Dec 2021
$0.22(+1.6%)
-
$2.65(-10.9%)
Nov 2021
$0.21(+7.5%)
-
$2.97(+7.7%)
DateLastAnnualTTM
Oct 2021
$0.20(-4.5%)
-
$2.76(-2.3%)
Sept 2021
$0.21(+15.8%)
-
$2.82(-10.7%)
Aug 2021
$0.18(-12.8%)
-
$3.16(+6.0%)
July 2021
$0.20(-8.1%)
-
$2.98(-1.4%)
June 2021
$0.22(-1.5%)
-
$3.02(+0.1%)
May 2021
$0.23(-7.4%)
-
$3.02(+0.1%)
Apr 2021
$0.24(+16.7%)
-
$3.02(-7.0%)
Mar 2021
$0.21(-17.2%)
-
$3.25(-1.2%)
Feb 2021
$0.25(-8.1%)
-
$3.29(+0.0%)
Dec 2020
$0.28(+3.3%)
-
$3.28(+1.5%)
Dec 2020
$0.27(-2.6%)
-
$3.24(+9.0%)
Nov 2020
$0.27(+4.3%)
-
$2.97(+0.6%)
Oct 2020
$0.26(-8.8%)
-
$2.95(-12.5%)
Sept 2020
$0.29(+11.7%)
-
$3.37(+9.3%)
Aug 2020
$0.26(+4.0%)
-
$3.09(-5.1%)
July 2020
$0.25(+12.6%)
-
$3.25(-11.5%)
June 2020
$0.22(-1.9%)
-
$3.67(+6.4%)
May 2020
$0.22(-8.5%)
-
$3.45(-1.5%)
Apr 2020
$0.24(+8.2%)
-
$3.51(-3.9%)
Mar 2020
$0.23(-9.5%)
-
$3.65(-2.0%)
Feb 2020
$0.25(-0.6%)
-
$3.72(-13.2%)
Dec 2019
$0.25(+10.5%)
-
$4.29(-4.5%)
Dec 2019
$0.23(-11.0%)
-
$4.49(+5.3%)
Nov 2019
$0.26(-27.5%)
-
$4.26(-4.0%)
Oct 2019
$0.35(+6.7%)
-
$4.44(-11.6%)
Sept 2019
$0.33(-21.6%)
-
$5.02(+7.0%)
Aug 2019
$0.42(+11.3%)
-
$4.69(+2.4%)
July 2019
$0.38(+29.8%)
-
$4.58(+9.0%)
June 2019
$0.29(+5.1%)
-
$4.20(+7.5%)
May 2019
$0.28(-28.0%)
-
$3.91(+7.6%)
Apr 2019
$0.39(+28.1%)
-
$3.63(+11.9%)
Mar 2019
$0.30(-22.5%)
-
$3.25(+10.2%)
Feb 2019
$0.39(-9.4%)
-
$2.95(+15.2%)
Dec 2018
$0.43(-6.1%)
-
$2.56(+20.1%)
Dec 2018
$0.46(+5.6%)
-
$2.13(+27.2%)
Nov 2018
$0.43(-6.5%)
-
$1.68(+34.7%)
Oct 2018
$0.46(-2.3%)
-
$1.24(+58.9%)
Sept 2018
$0.47(+52.1%)
-
$0.78(+152.1%)
Aug 2018
$0.31
-
$0.31

FAQ

  • Does FlexShares High Yield Value-Scored Bond Index Fund pay dividends?
  • How often does FlexShares High Yield Value-Scored Bond Index Fund pay dividends?
  • What is FlexShares High Yield Value-Scored Bond Index Fund TTM dividend per share?
  • What is the all time high TTM dividend per share for FlexShares High Yield Value-Scored Bond Index Fund?
  • What is HYGV TTM dividend per share year-to-date change?
  • What is FlexShares High Yield Value-Scored Bond Index Fund TTM dividend per share year-on-year change?
  • When will FlexShares High Yield Value-Scored Bond Index Fund pay dividend?

Does FlexShares High Yield Value-Scored Bond Index Fund pay dividends?

Yes, HYGV pays dividend. Last payment was $0.26 per share, with an ex-dividend date on 01 November 2024

How often does FlexShares High Yield Value-Scored Bond Index Fund pay dividends?

Over the past 365 days, FlexShares High Yield Value-Scored Bond Index Fund paid dividends 11 times

What is FlexShares High Yield Value-Scored Bond Index Fund TTM dividend per share?

The current TTM dividend per share of HYGV is $3.12

What is the all time high TTM dividend per share for FlexShares High Yield Value-Scored Bond Index Fund?

FlexShares High Yield Value-Scored Bond Index Fund all-time high TTM dividend per share is $5.02

What is HYGV TTM dividend per share year-to-date change?

FlexShares High Yield Value-Scored Bond Index Fund TTM dividend per share has changed by -$0.46 (-12.93%) since the beginning of the year

What is FlexShares High Yield Value-Scored Bond Index Fund TTM dividend per share year-on-year change?

Over the past year, HYGV TTM dividend per share has changed by -$0.43 (-12.08%)

When will FlexShares High Yield Value-Scored Bond Index Fund pay dividend?

Next dividend for HYGV has not been announced yet