First Trust Dow Jones Global Select Dividend Index Fund
FGD
#1163
ETF rank
HK$8.60 B
Marketcap
๐Ÿ‡บ๐Ÿ‡ธ US
Market
HK$250.01
Share price
-0.96%
Change (1 day)
45.45%
Change (1 year)

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

Distributions paid over the last 12 months: 32.3266 USD
Current distribution yield: 101.07%

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
2025-12-312025-12-312025-12-120.6418USD
2025-12-312025-12-312025-12-120.6418USD
2025-12-312025-12-312025-12-120.6418USD
2025-12-312025-12-312025-12-120.6418USD
2025-12-312025-12-312025-12-120.6418USD
2025-12-312025-12-312025-12-120.6418USD
2025-12-312025-12-312025-12-120.6418USD
2025-12-312025-12-312025-12-120.6418USD
2025-12-312025-12-312025-12-120.6418USD
2025-12-312025-12-312025-12-120.6418USD
2025-12-312025-12-312025-12-120.6418USD
2025-12-312025-12-312025-12-120.6418USD
2025-12-312025-12-312025-12-120.6418USD
2025-12-312025-12-312025-12-120.6418USD
2025-12-312025-12-312025-12-120.6418USD
2025-12-312025-12-312025-12-120.6418USD
2025-12-312025-12-312025-12-120.6418USD
2025-12-312025-12-312025-12-120.6418USD
2025-12-312025-12-312025-12-120.6418USD
2025-09-302025-09-302025-09-250.4623USD
2025-09-302025-09-302025-09-250.4623USD
2025-09-302025-09-302025-09-250.4623USD
2025-09-302025-09-302025-09-250.4623USD
2025-09-302025-09-302025-09-250.4623USD
2025-09-302025-09-302025-09-250.4623USD
2025-09-302025-09-302025-09-250.4623USD
2025-09-302025-09-302025-09-250.4623USD
2025-09-302025-09-302025-09-250.4623USD
2025-09-302025-09-302025-09-250.4623USD
2025-09-302025-09-302025-09-250.4623USD
2025-09-302025-09-302025-09-250.4623USD
2025-09-302025-09-302025-09-250.4623USD
2025-09-302025-09-302025-09-250.4623USD
2025-09-302025-09-302025-09-250.4623USD
2025-09-302025-09-302025-09-250.4623USD
2025-09-302025-09-302025-09-250.4623USD
2025-09-302025-09-302025-09-250.4623USD
2025-09-302025-09-302025-09-250.4623USD
2025-06-302025-06-302025-06-260.4911USD
2025-06-302025-06-302025-06-260.4911USD
2025-06-302025-06-302025-06-260.4911USD
2025-06-302025-06-302025-06-260.4911USD
2025-06-302025-06-302025-06-260.4911USD
2025-06-302025-06-302025-06-260.4911USD
2025-06-302025-06-302025-06-260.4911USD
2025-06-302025-06-302025-06-260.4911USD
2025-06-302025-06-302025-06-260.4911USD
2025-06-302025-06-302025-06-260.4911USD
2025-06-302025-06-302025-06-260.4911USD
2025-06-302025-06-302025-06-260.4911USD
2025-06-302025-06-302025-06-260.4911USD
2025-06-302025-06-302025-06-260.4911USD
2025-06-302025-06-302025-06-260.4911USD
2025-06-302025-06-302025-06-260.4911USD
2025-06-302025-06-302025-06-260.4911USD
2025-06-302025-06-302025-06-260.4911USD
2025-06-302025-06-302025-06-260.4911USD
2025-03-312025-03-312025-03-270.1062USD
2025-03-312025-03-312025-03-270.1062USD
2025-03-312025-03-312025-03-270.1062USD
2025-03-312025-03-312025-03-270.1062USD
2025-03-312025-03-312025-03-270.1062USD
2025-03-312025-03-312025-03-270.1062USD
2025-03-312025-03-312025-03-270.1062USD
2025-03-312025-03-312025-03-270.1062USD
2025-03-312025-03-312025-03-270.1062USD
2025-03-312025-03-312025-03-270.1062USD
2025-03-312025-03-312025-03-270.1062USD
2025-03-312025-03-312025-03-270.1062USD
2025-03-312025-03-312025-03-270.1062USD
2025-03-312025-03-312025-03-270.1062USD
2025-03-312025-03-312025-03-270.1062USD
2025-03-312025-03-312025-03-270.1062USD
2025-03-312025-03-312025-03-270.1062USD
2025-03-312025-03-312025-03-270.1062USD
2025-03-312025-03-312025-03-270.1062USD