First Trust Morningstar Dividend Leaders Index Fund(FDL) USD 36.38
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.85%USD 0.31USD0.30972023-03-24
20223.59%USD 1.307USD0.38912022-12-23
USD0.40222022-09-23
USD0.23682022-06-24
USD0.27932022-03-25
20214.49%USD 1.632USD0.3452021-12-30
USD0.42772021-12-23
USD0.27472021-09-23
USD0.34782021-06-24
USD0.23722021-03-25
20203.64%USD 1.326USD0.36772020-12-24
USD0.29932020-09-24
USD0.36892020-06-25
USD0.292020-03-26
20193.36%USD 1.223USD0.35682019-12-13
USD0.38212019-09-25
USD0.25482019-06-14
USD0.22942019-03-21
20182.97%USD 1.082USD0.35222018-12-18
USD0.24162018-09-14
USD0.26232018-06-21
USD0.22612018-03-22
20172.63%USD 0.956USD0.28942017-12-21
USD0.21252017-09-21
USD0.23792017-06-22
USD0.21612017-03-23
20162.24%USD 0.814USD0.26582016-12-21
USD0.20122016-09-21
USD0.17982016-06-22
USD0.16762016-03-23
20152.38%USD 0.865USD0.24572015-12-23
USD0.19242015-09-23
USD0.21892015-06-24
USD0.20782015-03-25
20142.21%USD 0.804USD0.21642014-12-23
USD0.20242014-09-23
USD0.19292014-06-24
USD0.1922014-03-25
20131.88%USD 0.685USD0.19592013-12-18
USD0.11492013-09-20
USD0.19372013-06-21
USD0.18062013-03-21
20121.95%USD 0.708USD0.20582012-12-21
USD0.17962012-09-21
USD0.16612012-06-21
USD0.15672012-03-21
20111.68%USD 0.61USD0.14332011-12-21
USD0.13592011-09-21
USD0.18092011-06-21
USD0.15012011-03-22
20101.59%USD 0.578USD0.14122010-12-21
USD0.13382010-09-21
USD0.16562010-06-22
USD0.13722010-03-23
20091.57%USD 0.573USD0.17322009-12-22
USD0.1542009-09-22
USD0.10242009-06-23
USD0.1432009-03-23
20082.21%USD 0.805USD0.182008-12-23
USD0.1962008-09-22
USD0.2232008-06-23
USD0.2062008-03-24
20072.43%USD 0.883USD0.2632007-12-21
USD0.222007-09-21
USD0.22007-06-21
USD0.22007-03-23
20061.65%USD 0.6USD0.22006-12-21
USD0.22006-09-25
USD0.22006-06-23