First Trust Enhanced Equity Income Closed Fund(FFA) USD 16.89
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.87%USD 0.315USD0.3152023-03-22
20227.46%USD 1.26USD0.3152022-12-22
USD0.3152022-09-22
USD0.3152022-06-22
USD0.3152022-03-22
20217.46%USD 1.26USD0.3152021-12-22
USD0.3152021-09-22
USD0.3152021-06-22
USD0.3152021-03-22
20206.75%USD 1.14USD0.2852020-12-22
USD0.2852020-09-22
USD0.2852020-06-22
USD0.2852020-03-20
20196.75%USD 1.14USD0.2852019-12-20
USD0.2852019-09-20
USD0.2852019-06-21
USD0.2852019-03-22
20186.75%USD 1.14USD0.2852018-12-21
USD0.2852018-09-21
USD0.2852018-06-22
USD0.2852018-03-22
20176.54%USD 1.105USD0.2852017-12-22
USD0.2852017-09-22
USD0.2852017-06-22
USD0.252017-03-22
20165.65%USD 0.955USD0.242016-12-22
USD0.242016-09-22
USD0.242016-06-21
USD0.2352016-03-21
20155.57%USD 0.94USD0.2352015-12-22
USD0.2352015-09-22
USD0.2352015-06-22
USD0.2352015-03-20
20145.45%USD 0.92USD0.232014-12-22
USD0.232014-09-22
USD0.232014-06-20
USD0.232014-03-20
20135.33%USD 0.9USD0.2252013-12-20
USD0.2252013-09-19
USD0.2252013-06-19
USD0.2252013-03-20
20125.33%USD 0.9USD0.2252012-12-21
USD0.2252012-09-19
USD0.2252012-06-20
USD0.2252012-03-21
20115.33%USD 0.9USD0.2252011-12-21
USD0.2252011-09-21
USD0.2252011-06-21
USD0.2252011-03-21
20105.21%USD 0.88USD0.222010-12-21
USD0.222010-09-21
USD0.222010-06-21
USD0.222010-03-19
20095.68%USD 0.96USD0.222009-12-21
USD0.222009-09-21
USD0.222009-06-19
USD0.32009-03-19
20089.47%USD 1.6USD0.42008-12-19
USD0.42008-09-18
USD0.42008-06-18
USD0.42008-03-18
20079.81%USD 1.657USD0.42007-12-19
USD0.45722007-09-18
USD0.42007-06-18
USD0.42007-03-19
20069.47%USD 1.6USD0.42006-12-20
USD0.42006-09-18
USD0.42006-06-19
USD0.42006-03-17
20059.49%USD 1.603USD0.42005-12-19
USD0.00252005-12-16
USD0.42005-09-01
USD0.42005-06-01
USD0.42005-03-04
20043.17%USD 0.535USD0.5352004-12-20