High Yield Value-Scored Bd Index Fd/FlexShares Trust (NYSE:HYGV) Dividend History

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High Yield Value-Scored Bd Index Fd/FlexShares Trust (NYSE:HYGV) Dividend History
High Yield Value-Scored Bd Index Fd/FlexShares TrustHYGV 2022 Dividends
Decl Date Ex Date Rec Date Pay Date Type AmountAmt $
Apr. 29, 20224/29/22 May. 02, 20225/2/22 May. 03, 20225/3/22 May. 06, 20225/6/22 0 0.229
Mar. 31, 20223/31/22 Apr. 01, 20224/1/22 Apr. 04, 20224/4/22 Apr. 07, 20224/7/22 0 0.231
Feb. 28, 20222/28/22 Mar. 01, 20223/1/22 Mar. 02, 20223/2/22 Mar. 07, 20223/7/22 0 0.209
Jan. 31, 20221/31/22 Feb. 01, 20222/1/22 Feb. 02, 20222/2/22 Feb. 07, 20222/7/22 0 0.229
High Yield Value-Scored Bd Index Fd/FlexShares TrustHYGV 2022 Total: 0.897
High Yield Value-Scored Bd Index Fd/FlexShares TrustHYGV 2021 Dividends
Decl Date Ex Date Rec Date Pay Date Type AmountAmt $
Dec. 16, 202112/16/21 Dec. 17, 202112/17/21 Dec. 20, 202112/20/21 Dec. 23, 202112/23/21 B 0.291
Dec. 16, 202112/16/21 Dec. 17, 202112/17/21 Dec. 20, 202112/20/21 Dec. 23, 202112/23/21 C 0.081
Dec. 16, 202112/16/21 Dec. 17, 202112/17/21 Dec. 20, 202112/20/21 Dec. 23, 202112/23/21 0 0.234
Nov. 30, 202111/30/21 Dec. 01, 202112/1/21 Dec. 02, 202112/2/21 Dec. 07, 202112/7/21 0 0.215
Oct. 29, 202110/29/21 Nov. 01, 202111/1/21 Nov. 02, 202111/2/21 Nov. 05, 202111/5/21 0 0.212
Sep. 30, 20219/30/21 Oct. 01, 202110/1/21 Oct. 04, 202110/4/21 Oct. 07, 202110/7/21 0 0.197
Aug. 31, 20218/31/21 Sep. 01, 20219/1/21 Sep. 02, 20219/2/21 Sep. 08, 20219/8/21 0 0.207
Jul. 30, 20217/30/21 Aug. 02, 20218/2/21 Aug. 03, 20218/3/21 Aug. 06, 20218/6/21 0 0.179
Jun. 30, 20216/30/21 Jul. 01, 20217/1/21 Jul. 02, 20217/2/21 Jul. 08, 20217/8/21 0 0.205
May. 28, 20215/28/21 Jun. 01, 20216/1/21 Jun. 02, 20216/2/21 Jun. 07, 20216/7/21 0 0.223
Apr. 30, 20214/30/21 May. 03, 20215/3/21 May. 04, 20215/4/21 May. 07, 20215/7/21 0 0.226
Mar. 31, 20213/31/21 Apr. 01, 20214/1/21 Apr. 05, 20214/5/21 Apr. 08, 20214/8/21 0 0.244
Feb. 26, 20212/26/21 Mar. 01, 20213/1/21 Mar. 02, 20213/2/21 Mar. 05, 20213/5/21 0 0.209
Jan. 29, 20211/29/21 Feb. 01, 20212/1/21 Feb. 02, 20212/2/21 Feb. 05, 20212/5/21 0 0.253
High Yield Value-Scored Bd Index Fd/FlexShares TrustHYGV 2021 Total: 2.976
High Yield Value-Scored Bd Index Fd/FlexShares TrustHYGV 2020 Dividends
Decl Date Ex Date Rec Date Pay Date Type AmountAmt $
Dec. 17, 202012/17/20 Dec. 18, 202012/18/20 Dec. 21, 202012/21/20 Dec. 24, 202012/24/20 0 0.275
Nov. 30, 202011/30/20 Dec. 01, 202012/1/20 Dec. 02, 202012/2/20 Dec. 07, 202012/7/20 0 0.266
Oct. 30, 202010/30/20 Nov. 02, 202011/2/20 Nov. 03, 202011/3/20 Nov. 06, 202011/6/20 0 0.274
Sep. 30, 20209/30/20 Oct. 01, 202010/1/20 Oct. 02, 202010/2/20 Oct. 07, 202010/7/20 0 0.262
Aug. 31, 20208/31/20 Sep. 01, 20209/1/20 Sep. 02, 20209/2/20 Sep. 08, 20209/8/20 0 0.288
Jul. 31, 20207/31/20 Aug. 03, 20208/3/20 Aug. 04, 20208/4/20 Aug. 07, 20208/7/20 0 0.257
Jun. 30, 20206/30/20 Jul. 01, 20207/1/20 Jul. 02, 20207/2/20 Jul. 08, 20207/8/20 0 0.247
May. 29, 20205/29/20 Jun. 01, 20206/1/20 Jun. 02, 20206/2/20 Jun. 05, 20206/5/20 0 0.220
Apr. 30, 20204/30/20 May. 01, 20205/1/20 May. 04, 20205/4/20 May. 07, 20205/7/20 0 0.224
Mar. 31, 20203/31/20 Apr. 01, 20204/1/20 Apr. 02, 20204/2/20 Apr. 07, 20204/7/20 0 0.245
Feb. 28, 20202/28/20 Mar. 02, 20203/2/20 Mar. 03, 20203/3/20 Mar. 06, 20203/6/20 0 0.226
Jan. 31, 20201/31/20 Feb. 03, 20202/3/20 Feb. 04, 20202/4/20 Feb. 07, 20202/7/20 0 0.250
High Yield Value-Scored Bd Index Fd/FlexShares TrustHYGV 2020 Total: 3.033

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High Yield Value-Scored Bd Index Fd/FlexShares TrustHYGV 2019 Dividends
Decl Date Ex Date Rec Date Pay Date Type AmountAmt $
Dec. 19, 201912/19/19 Dec. 20, 201912/20/19 Dec. 23, 201912/23/19 Dec. 27, 201912/27/19 0 0.251
Nov. 29, 201911/29/19 Dec. 02, 201912/2/19 Dec. 03, 201912/3/19 Dec. 06, 201912/6/19 0 0.228
Oct. 31, 201910/31/19 Nov. 01, 201911/1/19 Nov. 04, 201911/4/19 Nov. 07, 201911/7/19 0 0.255
Sep. 30, 20199/30/19 Oct. 01, 201910/1/19 Oct. 02, 201910/2/19 Oct. 07, 201910/7/19 0 0.352
Aug. 30, 20198/30/19 Sep. 03, 20199/3/19 Sep. 04, 20199/4/19 Sep. 09, 20199/9/19 0 0.330
Jul. 31, 20197/31/19 Aug. 01, 20198/1/19 Aug. 02, 20198/2/19 Aug. 07, 20198/7/19 0 0.421
Jun. 28, 20196/28/19 Jul. 01, 20197/1/19 Jul. 02, 20197/2/19 Jul. 08, 20197/8/19 0 0.379
May. 31, 20195/31/19 Jun. 03, 20196/3/19 Jun. 04, 20196/4/19 Jun. 07, 20196/7/19 0 0.292
Apr. 30, 20194/30/19 May. 01, 20195/1/19 May. 02, 20195/2/19 May. 07, 20195/7/19 0 0.278
Mar. 29, 20193/29/19 Apr. 01, 20194/1/19 Apr. 02, 20194/2/19 Apr. 05, 20194/5/19 0 0.385
Feb. 28, 20192/28/19 Mar. 01, 20193/1/19 Mar. 04, 20193/4/19 Mar. 07, 20193/7/19 0 0.301
Jan. 31, 20191/31/19 Feb. 01, 20192/1/19 Feb. 04, 20192/4/19 Feb. 07, 20192/7/19 0 0.388
High Yield Value-Scored Bd Index Fd/FlexShares TrustHYGV 2019 Total: 3.859
High Yield Value-Scored Bd Index Fd/FlexShares TrustHYGV 2018 Dividends
Decl Date Ex Date Rec Date Pay Date Type AmountAmt $
Dec. 20, 201812/20/18 Dec. 21, 201812/21/18 Dec. 24, 201812/24/18 Dec. 28, 201812/28/18 0 0.428
Nov. 30, 201811/30/18 Dec. 03, 201812/3/18 Dec. 04, 201812/4/18 Dec. 07, 201812/7/18 0 0.455
Oct. 31, 201810/31/18 Nov. 01, 201811/1/18 Nov. 02, 201811/2/18 Nov. 07, 201811/7/18 0 0.431
Sep. 28, 20189/28/18 Oct. 01, 201810/1/18 Oct. 02, 201810/2/18 Oct. 05, 201810/5/18 0 0.461
Aug. 31, 20188/31/18 Sep. 04, 20189/4/18 Sep. 05, 20189/5/18 Sep. 10, 20189/10/18 0 0.472
Jul. 31, 20187/31/18 Aug. 01, 20188/1/18 Aug. 02, 20188/2/18 Aug. 07, 20188/7/18 G 0.311
High Yield Value-Scored Bd Index Fd/FlexShares TrustHYGV 2018 Total: 2.558
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High Yield Value-Scored Bd Index Fd/FlexShares Trust Dividend Stock News and Updates

Apr. 29, 2022DIVIDEND ANNOUNCEMENT: High Yield Value-Scored Bd Index Fd/FlexShares Trust (NYSE: HYGV) on 04-29-2022 declared a dividend of $0.2289 per share

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Mar. 31, 2022DIVIDEND ANNOUNCEMENT: High Yield Value-Scored Bd Index Fd/FlexShares Trust (NYSE: HYGV) on 03-31-2022 declared a dividend of $0.2311 per share

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Feb. 28, 2022DIVIDEND ANNOUNCEMENT: High Yield Value-Scored Bd Index Fd/FlexShares Trust (NYSE: HYGV) on 02-28-2022 declared a dividend of $0.2085 per share

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