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Tcw Opportunistic Fixed Income ETF FT (FIXD)

Tcw Opportunistic Fixed Income ETF FT (FIXD)
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Overview

Name First Trust TCW Opportunistic Fixed Income ETF
Fund Family First Trust Portfolios
Underlying Index Bloomberg Barclays Global Aggregate Bond Index
Inception Date 02/14/17
First Trade Date 02/15/17
Leverage Long
Asset Class Fixed Income

Description:

The First Trust TCW Opportunistic Fixed Income ETF is an actively managed exchange-traded fund. The Funds investment objective is to seek to maximize long-term total return. Under normal market conditions, the Fund pursues its objective by investing at least 80% of its net assets (including investment borrowings) in fixed income securities.

Investment Information

Alpha 0.61
60-Month Beta 0.14
Standard Deviation +1.23
Shares Outstanding, K 119,350.00
Managed Assets, $K 5,060,440.00 K
Net Asset Value 42.40
First Trade Price 50.05
P/E Ratio 0.00
Management Fee 0.65%
Options Yes
Latest Dividend 0.155
Last Dividend Date 03/21/24
Annual Dividend 1.82
Annual Dividend Yield 4.28%
1-Year Return -5.30%
3-Year Return -20.45%
5-Year Return -16.02%
Management Expense Ratio 0.65%

FIXD Dividends

Date Value
03/21/24 $0.1550
02/21/24 $0.1550
01/23/24 $0.1650
12/22/23 $0.1650
11/21/23 $0.1650
10/24/23 $0.1650
09/22/23 $0.1650
08/22/23 $0.1650
07/21/23 $0.1400
06/27/23 $0.1250
05/23/23 $0.1250
04/21/23 $0.1250
03/24/23 $0.1250
02/22/23 $0.1400
01/24/23 $0.1500
12/23/22 $0.1600
11/22/22 $0.1750
10/21/22 $0.1600
09/23/22 $0.1600
08/23/22 $0.1600
07/21/22 $0.0950
06/24/22 $0.0800
05/24/22 $0.0800
04/21/22 $0.0750
03/25/22 $0.0700
02/18/22 $0.0700
01/21/22 $0.0650
12/23/21 $0.0650
11/23/21 $0.0600
10/21/21 $0.0550
09/23/21 $0.0580
08/24/21 $0.0580
07/21/21 $0.0600
06/24/21 $0.0600
05/21/21 $0.0650
04/21/21 $0.0700
03/30/21 $0.0550
03/25/21 $0.0800
02/25/21 $0.0550
02/23/21 $0.0900
01/21/21 $0.0950
12/24/20 $0.6900
11/24/20 $0.1200
10/21/20 $0.1200
09/24/20 $0.0900
08/21/20 $0.0900
07/21/20 $0.0900
06/25/20 $0.0800
05/21/20 $0.0600
04/21/20 $0.0610
03/26/20 $0.0700
02/21/20 $0.0900
01/22/20 $0.1000
12/13/19 $0.7160
11/21/19 $0.1200
10/22/19 $0.1200
09/25/19 $0.1200
08/21/19 $0.1200
07/23/19 $0.1200
06/14/19 $0.1200
05/21/19 $0.1200
04/23/19 $0.1200
03/21/19 $0.1200
02/21/19 $0.1250
01/23/19 $0.1270
12/18/18 $0.1250
11/21/18 $0.1200
10/23/18 $0.1150
09/14/18 $0.1120
08/21/18 $0.1120
07/20/18 $0.1120
06/21/18 $0.1150
05/22/18 $0.1200
04/20/18 $0.1250
03/22/18 $0.1160
02/21/18 $0.1110
01/23/18 $0.1010
12/21/17 $0.0900
11/21/17 $0.0870
10/20/17 $0.1150
09/21/17 $0.1010
08/22/17 $0.1040
07/21/17 $0.0990
06/22/17 $0.0950
05/23/17 $0.0980
04/21/17 $0.0900
03/23/17 $0.1110
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