First Trust NASDAQ® ABA Community Bank Index Fund(QABA) USD 40.86
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.85%USD 0.346USD0.34632023-03-24
20222.71%USD 1.106USD0.27822022-12-23
USD0.29162022-09-23
USD0.27162022-06-24
USD0.2652022-03-25
20212.42%USD 0.991USD0.31682021-12-23
USD0.24262021-09-23
USD0.22452021-06-24
USD0.20692021-03-25
20202.79%USD 1.142USD0.2862020-12-24
USD0.25652020-09-24
USD0.33322020-06-25
USD0.26612020-03-26
20192.48%USD 1.013USD0.26262019-12-13
USD0.3442019-09-25
USD0.22242019-06-14
USD0.18392019-03-21
20182.00%USD 0.817USD0.35232018-12-18
USD0.15582018-09-14
USD0.16992018-06-21
USD0.13932018-03-22
20171.83%USD 0.747USD0.24832017-12-21
USD0.18752017-09-21
USD0.17862017-06-22
USD0.13242017-03-23
20161.46%USD 0.595USD0.15842016-12-21
USD0.14332016-09-21
USD0.15142016-06-22
USD0.1422016-03-23
20151.33%USD 0.542USD0.13282015-12-23
USD0.12122015-09-23
USD0.14512015-06-24
USD0.14322015-03-25
20141.15%USD 0.47USD0.13852014-12-23
USD0.10992014-09-23
USD0.13472014-06-24
USD0.08672014-03-25
20130.90%USD 0.366USD0.12542013-12-18
USD0.08562013-09-20
USD0.10482013-06-21
USD0.05032013-03-21
20121.25%USD 0.51USD0.25052012-12-21
USD0.08662012-09-21
USD0.17312012-06-21
20110.91%USD 0.373USD0.19742011-12-21
USD0.17512011-06-21
20100.75%USD 0.306USD0.16272010-12-21
USD0.14292010-06-22
20090.37%USD 0.15USD0.152009-12-22