First Trust S&P REIT Index Fund(FRI) USD 24.12
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.96%USD 0.231USD0.23092023-03-24
20222.50%USD 0.603USD0.24022022-12-23
USD0.13262022-09-23
USD0.13912022-06-24
USD0.09122022-03-25
20211.95%USD 0.47USD0.24162021-12-23
USD0.05952021-09-23
USD0.10912021-06-24
USD0.05962021-03-25
20202.96%USD 0.715USD0.26692020-12-24
USD0.10882020-09-24
USD0.17962020-06-25
USD0.15952020-03-26
20192.47%USD 0.597USD0.20582019-12-13
USD0.18042019-09-25
USD0.09912019-06-14
USD0.11142019-03-21
20182.88%USD 0.694USD0.30152018-12-18
USD0.21912018-09-14
USD0.12912018-06-21
USD0.04412018-03-22
20172.72%USD 0.656USD0.29552017-12-21
USD0.12182017-09-21
USD0.13632017-06-22
USD0.10272017-03-23
20163.12%USD 0.753USD0.38982016-12-21
USD0.09322016-09-21
USD0.12332016-06-22
USD0.14692016-03-23
20152.44%USD 0.588USD0.23812015-12-23
USD0.12032015-09-23
USD0.16232015-06-24
USD0.06752015-03-25
20141.91%USD 0.46USD0.21942014-12-23
USD0.09072014-09-23
USD0.08432014-06-24
USD0.06582014-03-25
20132.25%USD 0.543USD0.18452013-12-18
USD0.16742013-09-20
USD0.12042013-06-21
USD0.07112013-03-21
20121.67%USD 0.403USD0.14112012-12-21
USD0.08752012-09-21
USD0.17482012-06-21
20111.41%USD 0.341USD0.14562011-12-21
USD0.1952011-06-21
20101.24%USD 0.299USD0.19912010-12-21
USD0.12010-06-22
20091.14%USD 0.275USD0.11162009-12-22
USD0.16292009-06-23
20081.29%USD 0.311USD0.1012008-12-23
USD0.21032008-06-23
20071.55%USD 0.375USD0.3752007-12-21