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ASET FlexShares Real Assets Allocation Index Fund NASDAQ
31.02 USD 0.15% +0.05
OPEN 31.00
PREV CLOSE 30.97
DAY RANGE 31.02 - 31.00
VOLUME 0
AVG. VOLUME 14460
52 WEEK RANGE 31.09 - 26.98
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Valuations metrics

Trailing pe 13.877999

ETF statistics

Avg 10 volume 14315
Avg 90 volume 12218

ETF price summary

Fifty two week low 26.98
Fifty two week high 31.09
Fifty two week change 3.133
Day 50 ma 30.01656
Day 200 ma 29.579605

Dividends and splits

Forward annual dividend rate 0.34468
Forward annual dividend yield 0.011111540777355
Trailing annual dividend rate 0.882512
Trailing annual dividend yield 0.028449773919301

FlexShares Real Assets Allocation Index Fund

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