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US

FlexShares Developed Markets ex-US Quality Low Volatility Index Fund

QLVD · Equity

$33.11
-0.07%
Assets
n/a
Expense ratio
0.12%
Holdings
187
1Y return
+11.9%
Forward P/E
n/a
Top 10 holdings
+20.2%

Return and risk

1Y total return+11.9%
3Y total return+37.3%
5Y total return+37.5%
3Y CAGR+11.2%
5Y CAGR+6.6%
Beta0.52
RSI48.45

Fund structure

Asset classEquity
Assetsn/a
Holdings187
Expense ratio0.12%
Dividend yield+2.7%
Top 10 holdings+20.2%
Volume311

All ETF indicators

All Time High34.94
All Time High Change-5.17
All Time High Date2026-02-27
All Time Low19.11
All Time Low Change73.38
All Time Low Date2020-03-23
Atr0.3
Beta0.52
Cagr1y11.88
Cagr3y11.15
Cagr5y6.58
Ch1m-1.55
Ch1w0.92
Ch1y8.67
Ch3m-2.71
Ch3y25.32
Ch5y18.8
Ch6m6.45
Ch YTD4.15
Close33.13
Div CAGR314
Div CAGR511.33
Dividend Growth9.91
Dividend Growth Years1
Dividend Years8
Dividend Yield2.74
Dps0.91
Ex Div Date2026-03-20
High5234.94
High52ch-5.24
High52 Date2026-02-27
Inception Date2019-07-15
IsinUS33939L6478
Last Dividend0.05
Low5229.95
Low52ch10.55
Low52 Date2025-05-14
Ma15032.38
Ma150ch2.33
Ma2033.35
Ma20032.08
Ma200ch3.29
Ma20ch-0.64
Ma5033.15
Ma50ch-0.06
Payment Date2026-03-26
Payout FrequencyQuarterly
Payout Ratio48.13
Price Date2026-05-12
Rsi48.45
Rsi Monthly63.04
Rsi Weekly54.28
Sharpe Ratio0.75
Sortino Ratio1.63
Top10holdings20.19
Tr1m-1.55
Tr1y11.87
Tr3m-2.55
Tr3y37.34
Tr5y37.52
Tr6m7.56
Tr YTD4.31