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Flexshares High Yield Value-Scored Bond Fund (NY: HYGV )

40.53 +0.13 (+0.32%)
Official Closing Price Updated: 8:00 PM EDT, May 3, 2024 Add to My Watchlist

Historical Prices

Date Open High Low Close Volume Change (%)
Aug 31, 2022 35.48 35.49 35.01 35.18 1,395,292 -0.24(-0.69%)
Aug 30, 2022 35.70 35.70 35.25 35.42 296,565 -0.25(-0.71%)
Aug 29, 2022 35.61 35.79 35.56 35.67 245,520 -0.10(-0.29%)
Aug 26, 2022 36.39 36.40 35.77 35.78 101,409 -0.60(-1.64%)
Aug 25, 2022 36.16 36.38 36.13 36.37 91,818 +0.30(+0.84%)
Aug 24, 2022 36.06 36.13 36.01 36.07 108,678 +0.03(+0.07%)
Aug 23, 2022 35.99 36.13 35.91 36.04 155,326 +0.04(+0.12%)
Aug 22, 2022 36.16 36.16 35.94 36.00 411,015 -0.39(-1.06%)
Aug 19, 2022 36.59 36.59 36.34 36.39 197,065 -0.38(-1.03%)
Aug 18, 2022 36.75 36.81 36.73 36.76 109,445 +0.05(+0.14%)
Aug 17, 2022 36.79 36.89 36.69 36.71 183,454 -0.33(-0.88%)
Aug 16, 2022 37.15 37.15 36.98 37.04 194,400 -0.18(-0.48%)
Aug 15, 2022 37.20 37.29 37.13 37.22 519,030 -0.06(-0.16%)
Aug 12, 2022 37.02 37.28 37.00 37.28 132,112 +0.41(+1.12%)
Aug 11, 2022 37.31 37.39 36.83 36.87 354,883 -0.14(-0.37%)
Aug 10, 2022 36.93 37.08 36.89 37.01 490,220 +0.51(+1.39%)
Aug 09, 2022 36.64 36.64 36.49 36.50 97,607 -0.19(-0.51%)
Aug 08, 2022 36.81 36.95 36.67 36.69 200,317 +0.03(+0.09%)
Aug 05, 2022 36.46 36.70 36.30 36.65 518,585 -0.11(-0.30%)
Aug 04, 2022 36.67 36.76 36.60 36.76 331,308 +0.16(+0.45%)
Aug 03, 2022 36.45 36.64 36.33 36.60 279,924 +0.29(+0.80%)
Aug 02, 2022 36.37 36.40 36.28 36.31 88,282 -0.08(-0.22%)
Aug 01, 2022 36.32 36.47 36.25 36.39 586,049 -0.01(-0.02%)
Jul 29, 2022 36.40 36.49 36.34 36.40 689,615 +0.06(+0.15%)
Jul 28, 2022 36.03 36.37 36.01 36.34 344,909 +0.42(+1.16%)
Jul 27, 2022 35.68 36.02 35.68 35.93 91,445 +0.39(+1.10%)
Jul 26, 2022 35.67 35.70 35.53 35.53 128,977 -0.23(-0.64%)
Jul 25, 2022 35.82 35.90 35.64 35.76 306,043 -0.01(-0.02%)
Jul 22, 2022 35.95 36.09 35.65 35.77 185,267 -0.10(-0.29%)
Jul 21, 2022 35.30 35.90 35.30 35.88 1,634,291 +0.54(+1.52%)
Jul 20, 2022 35.25 35.64 35.25 35.34 192,729 +0.14(+0.40%)
Jul 19, 2022 34.83 35.26 34.83 35.20 60,143 +0.57(+1.64%)
Jul 18, 2022 35.18 35.18 34.60 34.63 113,908 -0.41(-1.17%)
Jul 15, 2022 34.78 35.04 34.75 35.04 113,983 +0.39(+1.13%)
Jul 14, 2022 34.24 34.66 34.14 34.65 133,432 -0.03(-0.07%)
Jul 13, 2022 34.33 34.78 34.33 34.67 110,800 -0.09(-0.25%)
Jul 12, 2022 34.67 34.83 34.62 34.76 127,596 +0.15(+0.42%)
Jul 11, 2022 34.84 34.84 34.56 34.61 164,920 -0.20(-0.56%)
Jul 08, 2022 34.66 34.83 34.57 34.81 505,158 +0.03(+0.10%)
Jul 07, 2022 34.44 34.85 34.42 34.77 166,948 +0.53(+1.55%)
Jul 06, 2022 34.33 34.42 34.18 34.25 354,092 -0.15(-0.45%)
Jul 05, 2022 34.33 34.42 34.04 34.40 247,899 -0.09(-0.25%)
Jul 01, 2022 34.32 34.65 34.30 34.48 201,578 +0.23(+0.68%)
Jun 30, 2022 34.22 34.34 34.10 34.25 141,557 -0.09(-0.27%)
Jun 29, 2022 34.35 34.38 34.25 34.34 466,232 -0.09(-0.27%)
Jun 28, 2022 34.93 34.93 34.40 34.44 382,278 -0.46(-1.32%)
Jun 27, 2022 35.09 35.09 34.90 34.90 374,993 -0.14(-0.40%)
Jun 24, 2022 34.90 35.28 34.90 35.04 249,408 +0.14(+0.41%)
Jun 23, 2022 34.71 34.91 34.71 34.90 124,104 +0.27(+0.78%)
Jun 22, 2022 34.63 34.79 34.59 34.62 125,912 -0.03(-0.07%)
Jun 21, 2022 34.96 34.99 34.62 34.65 162,440 -0.07(-0.20%)
Jun 17, 2022 34.73 34.98 34.59 34.72 260,671 +0.12(+0.34%)
Jun 16, 2022 34.70 34.78 34.31 34.60 159,823 -0.59(-1.69%)
Jun 15, 2022 34.96 35.35 34.77 35.19 217,491 +0.56(+1.62%)
Jun 14, 2022 34.62 34.85 34.34 34.63 140,997 +0.21(+0.62%)
Jun 13, 2022 34.98 34.99 34.04 34.42 510,151 -1.09(-3.08%)
Jun 10, 2022 35.79 35.79 35.35 35.51 110,019 -0.65(-1.81%)
Jun 09, 2022 36.37 36.41 36.12 36.17 283,620 -0.29(-0.79%)
Jun 08, 2022 36.73 36.73 36.41 36.46 257,628 -0.37(-1.01%)
Jun 07, 2022 36.60 36.84 36.60 36.83 294,828 +0.13(+0.35%)
Jun 06, 2022 37.05 37.05 36.67 36.70 187,704 -0.40(-1.07%)
Jun 03, 2022 37.08 37.10 36.89 37.10 123,607 -0.15(-0.41%)
Jun 02, 2022 37.03 37.27 37.00 37.25 110,112 +0.20(+0.55%)
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