First Trust Intl Multi-Asset Diversified Inc(FID) USD 16.11
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.17%USD 0.0280.02772023-03-24
20224.01%USD 0.647USD0.19792022-12-23
USD0.13022022-09-23
USD0.30632022-06-24
USD0.01212022-03-25
20214.13%USD 0.666USD0.25542021-12-23
USD0.15712021-09-23
USD0.232021-06-24
USD0.02312021-03-25
20203.94%USD 0.635USD0.23152020-12-24
USD0.11722020-09-24
USD0.23042020-06-25
USD0.0562020-03-26
20194.22%USD 0.679USD0.27122019-12-13
USD0.14662019-09-25
USD0.22842019-06-14
USD0.03292019-03-21
20185.36%USD 0.863USD0.2232018-12-18
USD0.05222018-09-14
USD0.07182018-08-21
USD0.04472018-07-20
USD0.10422018-06-21
USD0.1152018-05-22
USD0.05362018-04-20
USD0.16792018-03-22
USD0.012018-02-21
USD0.0212018-01-23
20175.59%USD 0.9USD0.09692017-12-21
USD0.10792017-11-21
USD0.072017-10-20
USD0.0962017-09-21
USD0.07062017-08-22
USD0.06672017-07-21
USD0.09592017-06-22
USD0.122017-05-23
USD0.06882017-04-21
USD0.08762017-03-23
USD0.012017-02-22
USD0.012017-01-20
20164.76%USD 0.768USD0.08612016-12-21
USD0.05762016-11-22
USD0.152016-10-21
USD0.06252016-09-21
USD0.01982016-08-23
USD0.0152016-07-21
USD0.16472016-06-22
USD0.11492016-05-20
USD0.01322016-04-21
USD0.02272016-03-23
USD0.0512016-02-23
USD0.012016-01-21
20155.09%USD 0.82USD0.09352015-12-23
USD0.0532015-11-20
USD0.0592015-10-21
USD0.05822015-09-23
USD0.0822015-08-21
USD0.03282015-07-21
USD0.1652015-06-24
USD0.082015-05-21
USD0.1062015-04-21
USD0.062015-03-25
USD0.032015-02-20
20146.08%USD 0.98USD0.13512014-12-23
USD0.05532014-11-21
USD0.08172014-10-21
USD0.05082014-09-23
USD0.03852014-08-21
USD0.1092014-07-22
USD0.10732014-06-24
USD0.09582014-05-21
USD0.11362014-04-22
USD0.06832014-03-25
USD0.05122014-02-21
USD0.07362014-01-22
20136.49%USD 1.046USD0.31672013-12-20
USD0.54452013-12-18
USD0.0452013-11-21
USD0.0612013-10-22
USD0.07852013-09-20