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Stoxx Euro Select Dividend ETF FT (FDD)

Stoxx Euro Select Dividend ETF FT (FDD)
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Overview

Name First Trust STOXX European Select Dividend Index Fund
Fund Family First Trust Portfolios
Underlying Index STOXX Europe Select Dividend 30 Index
Inception Date 08/27/07
First Trade Date 08/30/07
Leverage Long
Asset Class Equity

Description:

The First Trust STOXX European Select Dividend Index Fund is an exchange-traded fund. The investment objective of the Fund is to seek investment results that correspond generally to the price and yield, before fees and expenses, of an equity index called the STOXX Europe Select Dividend 30 Index.

Investment Information

Alpha -1.26
60-Month Beta 0.94
Standard Deviation -1.05
Shares Outstanding, K 13,253.00
Managed Assets, $K 158,769.20 K
Net Asset Value 11.98
First Trade Price 29.70
P/E Ratio 5.26
Management Fee 0.58%
Options No
Latest Dividend 0.043
Last Dividend Date 03/21/24
Annual Dividend 0.83
Annual Dividend Yield 6.96%
1-Year Return -1.60%
3-Year Return -17.77%
5-Year Return -9.78%
Management Expense Ratio 0.58%

FDD Dividends

Date Value
03/21/24 $0.0430
12/22/23 $0.1730
09/22/23 $0.1490
06/27/23 $0.4690
03/24/23 $0.0360
12/23/22 $0.0450
09/23/22 $0.2030
06/24/22 $0.3470
03/25/22 $0.0940
12/23/21 $0.0560
09/23/21 $0.1760
06/24/21 $0.2500
03/25/21 $0.0140
12/24/20 $0.0760
09/24/20 $0.1960
06/25/20 $0.2150
03/26/20 $0.0280
12/13/19 $0.0560
09/25/19 $0.0890
06/14/19 $0.4520
03/21/19 $0.0620
12/18/18 $0.0550
09/14/18 $0.0880
06/21/18 $0.4050
03/22/18 $0.0550
12/21/17 $0.0450
09/21/17 $0.0450
06/22/17 $0.2640
03/23/17 $0.0270
12/21/16 $0.0800
09/21/16 $0.0620
06/22/16 $0.4090
03/23/16 $0.0280
12/23/15 $0.0550
09/23/15 $0.0830
06/24/15 $0.3497
03/25/15 $0.0430
12/23/14 $0.0655
09/23/14 $0.1003
06/24/14 $0.3338
03/25/14 $0.6180
12/18/13 $0.0983
09/20/13 $0.0376
06/21/13 $0.3331
03/21/13 $0.0316
12/21/12 $0.0691
09/21/12 $0.0769
06/21/12 $0.4186
03/21/12 $0.0464
12/21/11 $0.0676
09/21/11 $0.1706
06/21/11 $0.3496
03/22/11 $0.0737
12/21/10 $0.0710
09/21/10 $0.1938
06/22/10 $0.2966
12/22/09 $0.0600
09/22/09 $0.0790
06/23/09 $0.3590
12/23/08 $0.1560
09/22/08 $0.2870
06/23/08 $0.7626
12/21/07 $0.2410
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