First Trust Dividend Strength ETF(FTDS) USD 42.283
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.51%USD 0.216USD0.21612023-03-24
20222.32%USD 0.983USD0.37962022-12-23
USD0.2282022-09-23
USD0.23162022-06-24
USD0.14332022-03-25
20210.85%USD 0.362USD0.0882021-12-23
USD0.10062021-09-23
USD0.09122021-06-24
USD0.08172021-03-25
20200.95%USD 0.402USD0.11472020-12-24
USD0.07522020-09-24
USD0.10882020-06-25
USD0.10332020-03-26
20190.96%USD 0.408USD0.12262019-12-13
USD0.12782019-09-25
USD0.07872019-06-14
USD0.07862019-03-21
20180.79%USD 0.335USD0.11792018-12-18
USD0.06272018-09-14
USD0.09432018-06-21
USD0.05972018-03-22
20170.62%USD 0.263USD0.09372017-12-21
USD0.04712017-09-21
USD0.04082017-06-22
USD0.08122017-03-23
20160.82%USD 0.346USD0.14612016-12-21
USD0.06662016-09-21
USD0.06292016-06-22
USD0.07042016-03-23
20150.55%USD 0.233USD0.07822015-12-23
USD0.03662015-09-23
USD0.05582015-06-24
USD0.06252015-03-25
20140.66%USD 0.279USD0.08732014-12-23
USD0.08412014-09-23
USD0.0682014-06-24
USD0.042014-03-25
20130.51%USD 0.216USD0.07032013-12-18
USD0.03652013-09-20
USD0.06122013-06-21
USD0.04832013-03-21
20120.95%USD 0.4USD0.21712012-12-21
USD0.06672012-09-21
USD0.11592012-06-21
20110.49%USD 0.207USD0.13262011-12-21
USD0.07452011-06-21
20100.70%USD 0.294USD0.14562010-12-21
USD0.14862010-06-22
20090.42%USD 0.177USD0.08552009-12-22
USD0.09182009-06-23
20080.60%USD 0.254USD0.14152008-12-23
USD0.11252008-06-23
20070.60%USD 0.252USD0.17172007-12-21
USD0.082007-06-21