First Trust Value Line® Dividend Index Fund(FVD) USD 40.55
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.51%USD 0.208USD0.20762023-03-24
20222.16%USD 0.878USD0.27482022-12-23
USD0.20222022-09-23
USD0.17012022-06-24
USD0.18572022-03-25
USD0.0452022-02-25
20211.86%USD 0.755USD0.23172021-12-23
USD0.15772021-09-23
USD0.18942021-06-24
USD0.17612021-03-25
20202.00%USD 0.811USD0.21122020-12-24
USD0.18662020-09-24
USD0.22122020-06-25
USD0.19192020-03-26
20191.80%USD 0.731USD0.20072019-12-13
USD0.22162019-09-25
USD0.16292019-06-14
USD0.14592019-03-21
20181.79%USD 0.727USD0.23512018-12-18
USD0.16432018-09-14
USD0.19362018-06-21
USD0.13442018-03-22
20171.60%USD 0.648USD0.20492017-12-21
USD0.13242017-09-21
USD0.16432017-06-22
USD0.14682017-03-23
20161.41%USD 0.571USD0.17272016-12-21
USD0.12592016-09-21
USD0.14562016-06-22
USD0.12682016-03-23
20151.38%USD 0.56USD0.16332015-12-23
USD0.13462015-09-23
USD0.14822015-06-24
USD0.11362015-03-25
20141.46%USD 0.594USD0.1552014-12-23
USD0.11752014-09-23
USD0.13782014-06-24
USD0.18362014-03-25
20131.20%USD 0.487USD0.12552013-12-18
USD0.12112013-09-20
USD0.13372013-06-21
USD0.10672013-03-21
20121.23%USD 0.498USD0.14962012-12-21
USD0.12472012-09-21
USD0.12262012-06-21
USD0.10092012-03-21
20111.03%USD 0.418USD0.12842011-12-21
USD0.09482011-09-21
USD0.10372011-06-21
USD0.09062011-03-22
20101.00%USD 0.405USD0.12462010-12-21
USD0.08822010-09-21
USD0.10392010-06-22
USD0.08832010-03-23
20090.93%USD 0.377USD0.09162009-12-22
USD0.08842009-09-22
USD0.10482009-06-23
USD0.09262009-03-23
20081.11%USD 0.448USD0.1262008-12-23
USD0.10232008-09-22
USD0.11562008-06-23
USD0.10452008-03-24
20071.15%USD 0.465USD0.12532007-12-21
USD0.122007-09-21
USD0.112007-06-21
USD0.112007-03-23
20065.51%USD 2.234USD1.5782006-12-06
USD0.0882006-11-01
USD0.0882006-10-02
USD0.0882006-09-01
USD0.0882006-08-01
USD0.0882006-07-03
USD0.1082006-06-01
USD0.1082006-03-01
20055.19%USD 2.106USD1.8082005-12-19
USD0.1032005-09-01
USD0.12005-06-01
USD0.0952005-03-04
20043.15%USD 1.278USD1.012004-12-20
USD0.0932004-09-01
USD0.092004-06-01
USD0.0852004-03-01
20030.56%USD 0.228USD0.2282003-12-01