FlexShares Quality Dividend Defensive Index Fund Share Price

FlexShares Quality Dividend Defensive Index Fund Share Price

QDEF
$87.97
-$0.49 (-0.55%) Last updated on 21 Jul, 2026 | 01:29 IST
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FlexShares Quality Dividend Defensive Index Fund Stock Performance

Open
$88.41
Prev. Close
$88.46
Circuit Range
N/A
Day Range
$88.11 - $88.41
Year Range
$76.18 - $88.46
Volume
418
Average Traded
$88.23

FlexShares Quality Dividend Defensive Index Fund Share Price Chart

$87.97
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About FlexShares Quality Dividend Defensive Index Fund

FlexShares Quality Dividend Defensive Index Fund Historical Data

DayOpenCloseChange %
17-Jul-26
$88.46
$88.46
+0.53%
13-Jul-26
$88.21
$87.99
+0.27%
09-Jul-26
$87.74
$87.75
+2.49%
25-Jun-26
$85.62
$85.62
-2.48%
16-Jun-26
$87.80
$87.80
+2.03%
11-Jun-26
$86.05
$86.05
+0.06%
10-Jun-26
$86.00
$86.00
-2.35%

FAQs on FlexShares Quality Dividend Defensive Index Fund Share Price

Can I buy FlexShares Quality Dividend Defensive Index Fund shares in India?

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Yes. You can buy FlexShares Quality Dividend Defensive Index Fund in India by opening an international trading account.

What is the share price of FlexShares Quality Dividend Defensive Index Fund?

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As on 21 Jul '26, the share price of FlexShares Quality Dividend Defensive Index Fund QDEF is $87.97. If you are investing from India, it is a good idea to check the current exchange rate and calculate the value in rupees before making your investment.

What is the 5 year returns of FlexShares Quality Dividend Defensive Index Fund?

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The 5 year returns of FlexShares Quality Dividend Defensive Index Fund is 59.88% as on 21 Jul '26.

What are the high & low stock price of FlexShares Quality Dividend Defensive Index Fund today?

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FlexShares Quality Dividend Defensive Index Fund stock price hit a high of $88.41 and low of $88.11 as on 21 Jul '26.

What is the 52-week high and low of FlexShares Quality Dividend Defensive Index Fund stock?

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The 52-week high of FlexShares Quality Dividend Defensive Index Fund stock is $88.46, while the 52-week low is $76.18 as on 21 Jul '26.