First Trust Dow Jones Global Select Dividend Index Fund(FGD) USD 22.98
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.47%USD 0.109USD0.10882023-03-24
20225.49%USD 1.261USD0.38622022-12-23
USD0.34012022-09-23
USD0.43562022-06-24
USD0.09872022-03-25
20215.84%USD 1.343USD0.48832021-12-23
USD0.35372021-09-23
USD0.39332021-06-24
USD0.10742021-03-25
20205.89%USD 1.353USD0.34812020-12-24
USD0.24162020-09-24
USD0.29182020-06-25
USD0.47132020-03-26
20195.64%USD 1.296USD0.30392019-12-13
USD0.19742019-09-25
USD0.68832019-06-14
USD0.10642019-03-21
20185.59%USD 1.285USD0.41442018-12-18
USD0.2322018-09-14
USD0.53432018-06-21
USD0.10422018-03-22
20174.60%USD 1.057USD0.26922017-12-21
USD0.19382017-09-21
USD0.48292017-06-22
USD0.11152017-03-23
20164.42%USD 1.017USD0.23282016-12-21
USD0.18822016-09-21
USD0.46892016-06-22
USD0.12682016-03-23
20154.80%USD 1.103USD0.23932015-12-23
USD0.29032015-09-23
USD0.47572015-06-24
USD0.09732015-03-25
20145.71%USD 1.313USD0.40142014-12-23
USD0.25072014-09-23
USD0.53812014-06-24
USD0.12282014-03-25
20135.32%USD 1.223USD0.29652013-12-18
USD0.24982013-09-20
USD0.56592013-06-21
USD0.11062013-03-21
20125.19%USD 1.194USD0.30332012-12-21
USD0.24252012-09-21
USD0.54732012-06-21
USD0.10052012-03-21
20114.92%USD 1.131USD0.26422011-12-21
USD0.27242011-09-21
USD0.4522011-06-21
USD0.14242011-03-22
20104.36%USD 1.002USD0.2152010-12-21
USD0.22532010-09-21
USD0.34342010-06-22
USD0.21782010-03-23
20093.00%USD 0.69USD0.22442009-12-22
USD0.0892009-09-22
USD0.30792009-06-23
USD0.0692009-03-23
20086.10%USD 1.403USD0.22852008-12-23
USD0.28772008-09-22
USD0.68142008-06-23
USD0.2052008-03-24
20070.70%USD 0.16USD0.162007-12-21