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S&P REIT Index (FRI)

S&P REIT Index (FRI)
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Overview

Name First Trust S&P REIT Index Fund
Fund Family First Trust Portfolios
Underlying Index S&P United States REIT Index
Inception Date 05/08/07
First Trade Date 05/10/07
Leverage Long
Asset Class Equity

Description:

The First Trust SP REIT Index Fund is an exchange-traded fund. This exchange-traded Fund seeks investment results that correspond generally to the price and yield (before the Fund's fees and expenses) of an equity index called the SP United States REIT Index. The gross expense ratio for this fund is 0.49%. Expenses are capped contractually at 0.50% per year, at least until April 30, 2018.

Investment Information

Alpha -1.06
60-Month Beta 0.93
Standard Deviation +1.34
Shares Outstanding, K 6,600.00
Managed Assets, $K 176,328.90 K
Net Asset Value 26.72
First Trade Price 20.16
P/E Ratio 27.75
Management Fee 0.50%
Options Yes
Latest Dividend 0.435
Last Dividend Date 12/13/24
Annual Dividend 0.91
Annual Dividend Yield 3.41%
1-Year Return 4.26%
3-Year Return -14.03%
5-Year Return 4.79%
Management Expense Ratio 0.50%

FRI Dividends

Date Value
12/13/24 $0.4350
09/26/24 $0.0980
06/27/24 $0.2800
03/21/24 $0.0970
12/22/23 $0.2800
06/27/23 $0.3400
03/24/23 $0.2310
12/23/22 $0.2400
09/23/22 $0.1330
06/24/22 $0.1390
03/25/22 $0.0910
12/23/21 $0.2420
09/23/21 $0.0600
06/24/21 $0.1090
03/25/21 $0.0600
12/24/20 $0.2670
09/24/20 $0.1090
06/25/20 $0.1800
03/26/20 $0.1600
12/13/19 $0.2060
09/25/19 $0.1800
06/14/19 $0.0990
03/21/19 $0.1110
12/18/18 $0.3010
09/14/18 $0.2190
06/21/18 $0.1290
03/22/18 $0.0440
12/21/17 $0.2960
09/21/17 $0.1220
06/22/17 $0.1360
03/23/17 $0.1030
12/21/16 $0.3900
09/21/16 $0.0930
06/22/16 $0.1230
03/23/16 $0.1470
12/23/15 $0.2380
09/23/15 $0.1200
06/24/15 $0.1623
03/25/15 $0.0675
12/23/14 $0.2194
09/23/14 $0.0907
06/24/14 $0.0843
03/25/14 $0.0658
12/18/13 $0.1845
09/20/13 $0.1674
06/21/13 $0.1204
03/21/13 $0.0711
12/21/12 $0.1411
09/21/12 $0.0875
06/21/12 $0.1748
12/21/11 $0.1456
06/21/11 $0.1950
12/21/10 $0.1990
06/22/10 $0.1000
12/22/09 $0.1116
06/23/09 $0.1630
12/23/08 $0.1010
06/23/08 $0.2103
12/21/07 $0.3750
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