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FT Senior Floating Rate Income Fund II (FFLX)

FT Senior Floating Rate Income Fund II (FFLX)
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Overview

Name First Trust Flexible Income ETF
Fund Family First Trust Portfolios
Underlying Index N/A
Inception Date 08/10/26
First Trade Date 08/10/26
Leverage Long
Asset Class Fixed Income

Sector:

N/A

Description:

The First Trust Flexible Income ETF seeks to maximize current income. Under normal circumstances, the Fund will seek to achieve its investment objective by investing in a portfolio of fixed income securities and instruments that generate income, including but not limited to corporate debt securities; bank loans; agency and non-agency residential and commercial mortgage-backed securities; asset-backed securities; collateralized loan obligations ("CLOs"); and preferred securities. Under normal market conditions, the Fund's average portfolio duration will vary between 0 to 8 years, although the Fund generally targets an average portfolio duration of 2 to 5 years. The Fund's investment advisor seeks to maximize the Fund's current income while pursuing attractive long-term total return by investing in a broad, diversified portfolio of fixed income securities and instruments that generate income, spanning the credit spectrum across various sectors, maturities, currencies, and geographies.

Investment Information

Managed Assets, $K 250,707.00 K
Shares Outstanding, K 25,980.00
Net Asset Value 9.65
Net Expense Ratio 0.65%
 
P/E Ratio 0.00
Standard Deviation +0.04
60-Month Beta 0.31
 
Latest Dividend 0.049
Last Dividend Date 08/21/26
Annual Dividend 1.00
Annual Dividend Yield 10.39%
 
First Trade Price 9.68
Last Trade Price 9.66
1-Year Return -5.38%
3-Year Return -4.83%
5-Year Return -22.55%

FFLX Dividends

Date Value
08/21/26 $0.0490
07/01/26 $0.0810
06/01/26 $0.0970
05/01/26 $0.0970
04/01/26 $0.0970
03/02/26 $0.0970
02/02/26 $0.0970
01/02/26 $0.0970
12/01/25 $0.0970
11/03/25 $0.0970
10/01/25 $0.0970
09/02/25 $0.0970
08/01/25 $0.0970
07/01/25 $0.0970
06/02/25 $0.0970
05/01/25 $0.0970
04/01/25 $0.0970
03/03/25 $0.0970
02/03/25 $0.0970
01/02/25 $0.0970
12/02/24 $0.0970
11/01/24 $0.0970
10/01/24 $0.0970
09/03/24 $0.0970
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