First Trust NASDAQ-100 Equal Weighted Index Fund(QQEW) USD 99.71
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.18%USD 0.182USD0.18242023-03-24
20220.59%USD 0.587USD0.17542022-12-23
USD0.12222022-09-23
USD0.10662022-06-24
USD0.18312022-03-25
20210.28%USD 0.281USD0.10432021-12-23
USD0.03862021-09-23
USD0.06012021-06-24
USD0.07762021-03-25
20200.35%USD 0.347USD0.09292020-12-24
USD0.06912020-09-24
USD0.08942020-06-25
USD0.0962020-03-26
20190.35%USD 0.352USD0.10912019-12-13
USD0.11442019-09-25
USD0.07472019-06-14
USD0.0542019-03-21
20180.31%USD 0.304USD0.12322018-12-18
USD0.04982018-09-14
USD0.09462018-06-21
USD0.03662018-03-22
20170.28%USD 0.281USD0.10712017-12-21
USD0.03762017-09-21
USD0.09022017-06-22
USD0.04562017-03-23
20160.34%USD 0.339USD0.0772016-12-21
USD0.04292016-09-21
USD0.07132016-06-22
USD0.14782016-03-23
20150.27%USD 0.267USD0.09062015-12-23
USD0.05252015-09-23
USD0.06722015-06-24
USD0.05712015-03-25
20140.45%USD 0.45USD0.14532014-12-23
USD0.02492014-09-23
USD0.10552014-06-24
USD0.17442014-03-25
20130.17%USD 0.169USD0.08312013-12-18
USD0.01542013-09-20
USD0.05042013-06-21
USD0.01992013-03-21
20120.29%USD 0.29USD0.13672012-12-21
USD0.09442012-09-21
USD0.05872012-06-21
20110.11%USD 0.106USD0.0532011-12-21
USD0.05342011-06-21
20100.12%USD 0.123USD0.08292010-12-21
USD0.042010-06-22
20090.05%USD 0.045USD0.0452009-12-22
20080.01%USD 0.007USD0.00742008-06-23