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Multiasset Diversified Income Index Fund FT (MDIV)
Multiasset Diversified Income Index Fund FT (MDIV)
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Realtime quote and/or trades are not sourced from all markets.

Fund Basics

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  • Fund Family First Trust Portfolios
  • Assets Under Management 424,949,000
  • Shares Outstanding, K 28,850
  • 60-Month Beta 0.87
Trade MDIV with:
  • Price/Earnings ttm 0.10
  • Annual Dividend & Yield 0.98 (6.67%)
  • Most Recent Dividend 0.088 on 08/22/23
  • Management Fee 0.72%
  • Sectors:

    ETFs - Mixed Asset

Options Overview Details

View History
  • Implied Volatility 0.00% ( unch)
  • Historical Volatility 9.08%
  • IV Percentile 0%
  • IV Rank N/A
  • IV High 0.00% on N/A
  • IV Low 0.00% on N/A
  • Put/Call Vol Ratio N/A
  • Today's Volume N/A
  • Volume Avg (30-Day) N/A
  • Put/Call OI Ratio N/A
  • Today's Open Interest N/A
  • Open Int (30-Day) N/A

Price Performance

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Period Period Low Period High Performance
1-Month
14.52 +1.44%
on 08/23/23
15.00 -1.80%
on 09/01/23
unch (+0.03%)
since 08/21/23
3-Month
14.17 +3.94%
on 06/26/23
15.31 -3.79%
on 07/31/23
+0.23 (+1.58%)
since 06/21/23
52-Week
13.82 +6.58%
on 03/24/23
16.29 -9.59%
on 02/02/23
-0.74 (-4.79%)
since 09/21/22

Most Recent Stories

More News
First Trust Advisors L.P. Announces Distributions for Exchange-Traded Funds

First Trust Advisors L.P. ("FTA") announces the declaration of distributions for 138 exchange-traded fund(s) (each a “Fund,” collectively, the “Funds”) advised by FTA.

FCAL : 47.95 (-0.56%)
FEMB : 27.61 (-0.65%)
FMB : 49.63 (-0.64%)
FMHI : 45.88 (-0.67%)
RFDI : 56.54 (-1.33%)
RFEM : 53.76 (-1.69%)
RFEU : 58.74 (-1.38%)
FTSL : 45.89 (-0.13%)
FTSM : 59.59 (+0.02%)
HISF : 43.10 (-0.55%)
HYLS : 39.50 (-0.50%)
LMBS : 47.44 (-0.19%)
First Trust Advisors L.P. Announces Distributions for Exchange-Traded Funds

First Trust Advisors L.P. ("FTA") announces the declaration of the monthly distributions for certain exchange-traded funds advised by FTA.

FCAL : 47.95 (-0.56%)
FEMB : 27.61 (-0.65%)
FMB : 49.63 (-0.64%)
FMHI : 45.88 (-0.67%)
FCVT : 31.17 (-1.05%)
FTSL : 45.89 (-0.13%)
HISF : 43.10 (-0.55%)
HYLS : 39.50 (-0.50%)
LMBS : 47.44 (-0.19%)
RDVI : 21.27 (-1.30%)
FTHI : 20.67 (-0.91%)
FTQI : 19.10 (-1.50%)
First Trust Advisors L.P. Announces Distributions for Exchange-Traded Funds

First Trust Advisors L.P. ("FTA") announces the declaration of the monthly distributions for certain exchange-traded funds advised by FTA.

FCAL : 47.95 (-0.56%)
FEMB : 27.61 (-0.65%)
FMB : 49.63 (-0.64%)
FMHI : 45.88 (-0.67%)
FCVT : 31.17 (-1.05%)
FTSL : 45.89 (-0.13%)
HISF : 43.10 (-0.55%)
HYLS : 39.50 (-0.50%)
LMBS : 47.44 (-0.19%)
FTHI : 20.67 (-0.91%)
FTQI : 19.10 (-1.50%)
FIXD : 42.59 (-0.58%)
First Trust Advisors L.P. Announces Distributions for Exchange-Traded Funds

First Trust Advisors L.P. ("FTA") announces the declaration of distributions for 129 exchange-traded fund(s) (each a “Fund,” collectively, the “Funds”) advised by FTA.

FCAL : 47.95 (-0.56%)
FEMB : 27.61 (-0.65%)
FMB : 49.63 (-0.64%)
FMHI : 45.88 (-0.67%)
RFDI : 56.54 (-1.33%)
RFEM : 53.76 (-1.69%)
RFEU : 58.74 (-1.38%)
FCVT : 31.17 (-1.05%)
FTSL : 45.89 (-0.13%)
HISF : 43.10 (-0.55%)
HYLS : 39.50 (-0.50%)
LMBS : 47.44 (-0.19%)
First Trust Advisors L.P. Announces Distributions for Exchange-Traded Funds

First Trust Advisors L.P. ("FTA") announces the declaration of the monthly distributions for certain exchange-traded funds advised by FTA.

FCAL : 47.95 (-0.56%)
FEMB : 27.61 (-0.65%)
FMB : 49.63 (-0.64%)
FMHI : 45.88 (-0.67%)
FCVT : 31.17 (-1.05%)
FTSL : 45.89 (-0.13%)
HISF : 43.10 (-0.55%)
HYLS : 39.50 (-0.50%)
LMBS : 47.44 (-0.19%)
FTHI : 20.67 (-0.91%)
FTQI : 19.10 (-1.50%)
FIXD : 42.59 (-0.58%)
First Trust Advisors L.P. Announces Distributions for Exchange-Traded Funds

First Trust Advisors L.P. ("FTA") announces the declaration of the monthly distributions for certain exchange-traded funds advised by FTA.

FCAL : 47.95 (-0.56%)
FEMB : 27.61 (-0.65%)
FMB : 49.63 (-0.64%)
FMHI : 45.88 (-0.67%)
FCVT : 31.17 (-1.05%)
FTSL : 45.89 (-0.13%)
HISF : 43.10 (-0.55%)
HYLS : 39.50 (-0.50%)
LMBS : 47.44 (-0.19%)
FTHI : 20.67 (-0.91%)
FTQI : 19.10 (-1.50%)
FIXD : 42.59 (-0.58%)
First Trust Advisors L.P. Announces Distributions for Exchange-Traded Funds

First Trust Advisors L.P. ("FTA") announces the declaration of distributions for 135 exchange-traded fund(s) (each a “Fund,” collectively, the “Funds”) advised by FTA.

FCAL : 47.95 (-0.56%)
FEMB : 27.61 (-0.65%)
FMB : 49.63 (-0.64%)
FMHI : 45.88 (-0.67%)
RFDI : 56.54 (-1.33%)
RFEM : 53.76 (-1.69%)
RFEU : 58.74 (-1.38%)
FCVT : 31.17 (-1.05%)
FTSL : 45.89 (-0.13%)
HISF : 43.10 (-0.55%)
HYLS : 39.50 (-0.50%)
LMBS : 47.44 (-0.19%)
Benchmark Treasury Yields Jump: 5 ETFs to Play

U.S. benchmark government bond yields rose to 3.03% from 2.98% on Jun 8 on inflationary fears.

RFV : 97.47 (-2.04%)
FLOT : 50.80 (-0.02%)
RINF : 33.64 (+1.01%)
HYHG : 61.48 (-0.65%)
MDIV : 14.73 (-0.98%)
First Trust Advisors L.P. Announces Distributions for Exchange-Traded Funds

First Trust Advisors L.P. ("FTA") announces the declaration of the monthly distributions for certain exchange-traded funds advised by FTA.

FCAL : 47.95 (-0.56%)
FEMB : 27.61 (-0.65%)
FMB : 49.63 (-0.64%)
FMHI : 45.88 (-0.67%)
FCVT : 31.17 (-1.05%)
FTSL : 45.89 (-0.13%)
HISF : 43.10 (-0.55%)
HYLS : 39.50 (-0.50%)
LMBS : 47.44 (-0.19%)
FTHI : 20.67 (-0.91%)
FTQI : 19.10 (-1.50%)
FIXD : 42.59 (-0.58%)
First Trust Advisors L.P. Announces Distributions for Exchange-Traded Funds

First Trust Advisors L.P. ("FTA") announces the declaration of the monthly distributions for certain exchange-traded funds advised by FTA.

FCAL : 47.95 (-0.56%)
FEMB : 27.61 (-0.65%)
FMB : 49.63 (-0.64%)
FMHI : 45.88 (-0.67%)
FCVT : 31.17 (-1.05%)
FTSL : 45.89 (-0.13%)
HISF : 43.10 (-0.55%)
HYLS : 39.50 (-0.50%)
LMBS : 47.44 (-0.19%)
FTHI : 20.67 (-0.91%)
FTLB : 20.90 (+0.13%)
FIXD : 42.59 (-0.58%)

Barchart Technical Opinion

The Barchart Technical Opinion rating is a 16% Sell with a Weakest short term outlook on maintaining the current direction.

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Fund Summary

The Multi-Asset Diversified Income 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 the Funds fees and expenses, of an index called the NASDAQ US Multi-Asset Diversified Income Index.

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Key Turning Points

3rd Resistance Point 15.08
2nd Resistance Point 15.03
1st Resistance Point 14.95
Last Price 14.73
1st Support Level 14.82
2nd Support Level 14.77
3rd Support Level 14.69

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52-Week High 16.29
Fibonacci 61.8% 15.35
Fibonacci 50% 15.06
Fibonacci 38.2% 14.76
Last Price 14.73
52-Week Low 13.82

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