Quotes FlexShares Ready Access Variable Income Fund ETF - USD

ETF

RAVI

US33939L8862

Delayed NYSE 17:08:24 07/08/2026 BST 5-day change 1st Jan Change
75.20 USD 0.00% Intraday chart for FlexShares Ready Access Variable Income Fund ETF - USD -0.32% -0.23%

Quotes 5-day view: FlexShares Ready Access Variable Income Fund ETF - USD

Delayed Quote NYSE
FlexShares Ready Access Variable Income Fund ETF - USD(RAVI) : Historical Chart (5-day)
  03/08/2026 04/08/2026 05/08/2026 06/08/2026 07/08/2026
Last US$75.14 US$75.16 US$75.23 US$75.20 US$75.20
Volume 74,492 34,181 18,200 23,006 15,305
Change -0.40% +0.03% +0.09% -0.04% 0.00%
Opening US$75.17 US$75.17 US$75.19 US$75.24 US$75.26
High US$75.23 US$75.21 US$75.24 US$75.25 US$75.26
Low US$75.13 US$75.15 US$75.17 US$75.18 US$75.19

Other stock markets

Markets Price Change Volume
NYSE RAVI
RAVI Delayed quote 75.20USDETF FlexShares Ready Access Variable Income Fund ETF - USD0.00%15,305

Performance

1 week-0.23%
Current month-0.32%
1 month-0.04%
3 months-0.09%
6 months-0.33%
Current year-0.23%
1 year-0.21%
3 years+0.48%
5 years-1.25%
10 years-0.40%

Volumes

markets
Daily volume
15,305
Estimated daily volume
29,055
Avg. Volume 20 sessions
54,613
Daily volume ratio
0.53
Avg. Volume 20 sessions USD
4,106,897.6
Record volume 1
808,442
Record volume 2
705,820
Record volume 3
684,689

Indicators

Moving average 5 days
75.23
Moving average 20 days
75.3
Moving average 50 days
75.3
Moving average 100 days
75.3
Price spread / (MMA5)
+0.05%
Price spread / (MMA20)
+0.14%
Price spread / (MMA50)
+0.13%
Price spread / (MMA100)
+0.14%
RSI 9 days
42.5
RSI 14 days
43.99

Historical Quotes: FlexShares Ready Access Variable Income Fund ETF - USD

DateOpeningHighLowCloseVolumeChange

Latest transactions

a8c50e4a8cc2c391.zyIRVliDL1hxefikBmV0X6G1seFJeCBoP8CPgE4-_vM.oxV7AgzkXj5CLq_0aipFKPTX4rIQJ3kxd5Xo1H9ZubGGaXx7atYaLAtNsQ
DatePriceVolumeTotal
17:08:24 75.2011314,110
17:01:15 75.1969313,997
16:58:22 75.2011813,304
16:43:13 75.2031713,186
16:23:55 75.201,32512,869
16:23:52 75.2010011,544
16:23:52 75.1910011,444
16:22:16 75.2010111,344
16:18:41 75.2122511,243
16:06:32 75.2220011,018

Description

US33939L8862
Total Expense Ratio 0.26%
Asset Class Fixed Income
Currency
Provider

Features and characteristics

Dividend Policy Distribution
Jurisdiction
Date of creation
08/10/2012
Credit Rating

Distribution

Retail investor

AuM evolution - 26/02/2026

AuM (USD) 1.42B
AuM 1M 1.38B
AuM 3 months 1.41B
AuM 6 months 1.39B
AuM 12 months 1.37B
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