First Trust Dow Jones Global Select Dividend Index Fund
FGD
#1111
ETF rank
A$1.51 B
Marketcap
๐Ÿ‡บ๐Ÿ‡ธ US
Market
A$46.02
Share price
0.30%
Change (1 day)
31.10%
Change (1 year)

First Trust Dow Jones Global Select Dividend Index Fund (FGD) - Distributions and Dividends

Distributions paid over the last 12 months: 1.4424 USD
Current distribution yield: 4.72%

Yearly distributions/payments for First Trust Dow Jones Global Select Dividend Index Fund (FGD)

Distributions Yield for First Trust Dow Jones Global Select Dividend Index Fund (FGD)

Distributions History

DatePay DateRecord DateAmountCurrency
2025-09-302025-09-302025-09-250.4623USD
2025-06-302025-06-302025-06-260.4911USD
2025-03-312025-03-312025-03-270.1062USD
2024-12-312024-12-312024-12-130.3828USD
2024-09-302024-09-302024-09-260.3574USD
2024-06-282024-06-282024-06-270.5465USD
2024-03-282024-03-282024-03-220.0179USD
2023-12-292023-12-292023-12-260.4655USD
2023-09-292023-09-292023-09-250.2411USD
2023-06-302023-06-302023-06-280.6183USD
2023-03-312023-03-312023-03-270.1088USD
2022-12-302022-12-302022-12-270.3862USD
2022-09-302022-09-302022-09-260.3401USD
2022-06-302022-06-302022-06-270.4356USD
2022-03-312022-03-312022-03-280.0987USD
2021-12-312021-12-312021-12-270.4883USD
2021-09-302021-09-302021-09-240.3537USD
2021-06-302021-06-302021-06-250.3933USD
2021-03-312021-03-312021-03-260.1074USD
2020-12-312020-12-312020-12-280.3481USD
2020-09-302020-09-302020-09-250.2416USD
2020-06-302020-06-302020-06-260.2918USD
2020-03-312020-03-312020-03-270.4713USD
2019-12-312019-12-312019-12-160.3039USD
2019-09-302019-09-302019-09-260.1974USD
2019-06-282019-06-282019-06-170.6883USD
2019-03-292019-03-292019-03-220.1064USD
2018-12-312018-12-312018-12-190.4144USD
2018-09-282018-09-282018-09-170.2320USD
2018-06-292018-06-292018-06-220.5343USD
2018-03-292018-03-292018-03-230.1042USD
2017-12-292017-12-292017-12-220.2692USD
2017-09-292017-09-292017-09-220.1938USD
2017-06-302017-06-302017-06-260.4829USD
2017-03-312017-03-312017-03-270.1115USD
2016-12-302016-12-302016-12-230.2328USD
2016-09-302016-09-302016-09-230.1882USD
2016-06-302016-06-302016-06-240.4689USD
2016-03-312016-03-312016-03-280.1268USD
2015-12-312015-12-312015-12-280.2393USD
2015-09-302015-09-302015-09-250.2903USD
2015-06-302015-06-302015-06-260.4757USD
2015-03-312015-03-312015-03-270.0973USD
2014-12-312014-12-312014-12-260.4014USD
2014-09-302014-09-302014-09-250.2507USD
2014-06-302014-06-302014-06-260.5381USD
2014-03-312014-03-312014-03-270.1228USD
2013-12-312013-12-312013-12-200.2965USD
2013-09-302013-09-302013-09-240.2498USD
2013-06-282013-06-282013-06-250.5659USD
2013-03-282013-03-282013-03-250.1106USD
2012-12-312012-12-312012-12-260.3033USD
2012-09-282012-09-282012-09-250.2425USD
2012-06-292012-06-292012-06-250.5473USD
2012-03-302012-03-302012-03-230.1005USD
2011-12-302011-12-302011-12-230.2642USD
2011-09-302011-09-302011-09-230.2724USD
2011-06-302011-06-302011-06-230.4520USD
2011-03-312011-03-312011-03-240.1424USD