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Tactical High Yield ETF FT (HYLS)

Tactical High Yield ETF FT (HYLS)
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Overview

Name First Trust Tactical High Yield ETF
Fund Family First Trust Portfolios
Underlying Index BofA Merrill Lynch US High Yield Constrained Index
Inception Date 02/27/13
First Trade Date 02/27/13
Leverage Long
Asset Class Portfolio-Multi Asset

Description:

The First Trust Tactical High Yield ETF is an actively managed exchange-traded fund. The funds primary investment objective is to provide current income. The funds secondary investment objective is to provide capital appreciation. Under normal market conditions, the fund invests at least 80% of its net assets (plus the amount of any borrowing for investment purposes) in high yield debt securities that are rated below investment grade at the time of purchase or unrated securities deemed by the funds advisor to be of comparable quality.

Investment Information

Alpha 3.70
60-Month Beta 0.45
Standard Deviation -0.46
Shares Outstanding, K 35,750.00
Managed Assets, $K 1,443,227.50 K
Net Asset Value 40.37
First Trade Price 51.00
P/E Ratio 0.00
Management Fee 1.13%
Options No
Latest Dividend 0.213
Last Dividend Date 04/23/24
Annual Dividend 2.55
Annual Dividend Yield 6.32%
1-Year Return 1.56%
3-Year Return -16.81%
5-Year Return -16.17%
Management Expense Ratio 1.13%

HYLS Dividends

Date Value
03/21/24 $0.2200
02/21/24 $0.2220
01/23/24 $0.2250
12/22/23 $0.2200
11/21/23 $0.2150
10/24/23 $0.2150
09/22/23 $0.2150
08/22/23 $0.2150
07/21/23 $0.2100
06/27/23 $0.1900
05/23/23 $0.1900
04/21/23 $0.1900
03/24/23 $0.2000
02/22/23 $0.2050
01/24/23 $0.2190
12/23/22 $0.2150
11/22/22 $0.2030
10/21/22 $0.2050
09/23/22 $0.2250
08/23/22 $0.2400
07/21/22 $0.2650
06/24/22 $0.2620
05/24/22 $0.2620
04/21/22 $0.2620
03/25/22 $0.2620
02/18/22 $0.2400
01/21/22 $0.2290
12/23/21 $0.2300
11/23/21 $0.2300
10/21/21 $0.2000
09/23/21 $0.2000
08/24/21 $0.2340
07/21/21 $0.2130
06/24/21 $0.2190
05/21/21 $0.2230
04/21/21 $0.2110
03/25/21 $0.2230
02/23/21 $0.2100
01/21/21 $0.2300
12/24/20 $0.2480
11/24/20 $0.2200
10/21/20 $0.2040
09/24/20 $0.2000
08/21/20 $0.2250
07/21/20 $0.2040
06/25/20 $0.1900
05/21/20 $0.2000
04/21/20 $0.2060
03/26/20 $0.1970
02/21/20 $0.1900
01/22/20 $0.1950
12/13/19 $0.1880
11/21/19 $0.1940
10/22/19 $0.1950
09/25/19 $0.2050
08/21/19 $0.2100
07/23/19 $0.2150
06/14/19 $0.2150
05/21/19 $0.2150
04/23/19 $0.2200
03/21/19 $0.2250
02/21/19 $0.2200
01/23/19 $0.2200
12/18/18 $0.2200
11/21/18 $0.2150
10/23/18 $0.2150
09/14/18 $0.2150
08/21/18 $0.2200
07/20/18 $0.2250
06/21/18 $0.2100
05/22/18 $0.2000
04/20/18 $0.2100
03/22/18 $0.2200
02/21/18 $0.2250
01/23/18 $0.2300
12/21/17 $0.2950
11/21/17 $0.2250
10/20/17 $0.2250
09/21/17 $0.2250
08/22/17 $0.2250
07/21/17 $0.2200
06/22/17 $0.2150
05/23/17 $0.2150
04/21/17 $0.2150
03/23/17 $0.2100
02/22/17 $0.2100
01/20/17 $0.2050
12/21/16 $0.2050
11/22/16 $0.2050
10/21/16 $0.2050
09/21/16 $0.2050
08/23/16 $0.2050
07/21/16 $0.2150
06/22/16 $0.2150
05/20/16 $0.2150
04/21/16 $0.2300
03/23/16 $0.2300
02/23/16 $0.2300
01/21/16 $0.2300
12/23/15 $0.2300
11/20/15 $0.2400
10/21/15 $0.2400
09/23/15 $0.2400
08/21/15 $0.2400
07/21/15 $0.2400
06/24/15 $0.2400
05/21/15 $0.2400
04/21/15 $0.2400
03/25/15 $0.2400
02/20/15 $0.2400
01/21/15 $0.2400
12/23/14 $0.3800
11/21/14 $0.2400
10/21/14 $0.2400
09/23/14 $0.2300
08/21/14 $0.2200
07/22/14 $0.2200
06/24/14 $0.2200
05/21/14 $0.2200
04/22/14 $0.2200
03/25/14 $0.2200
02/21/14 $0.2200
01/22/14 $0.2400
12/18/13 $0.2400
11/21/13 $0.2400
10/22/13 $0.2400
09/20/13 $0.2500
08/21/13 $0.2600
07/23/13 $0.2800
06/21/13 $0.2800
05/21/13 $0.2800
04/23/13 $0.2800
03/21/13 $0.2800
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