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Value Line Dividend Index ETF FT (FVD)

Value Line Dividend Index ETF FT (FVD)
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Overview

Name First Trust Value Line Dividend Index Fund
Fund Family First Trust Portfolios
Underlying Index Value Line Dividend Index
Inception Date 08/26/03
First Trade Date 08/27/03
Leverage Long
Asset Class Equity

Description:

The First Trust Value Line Dividend Index Fund is an exchange-traded index fund. The objective of the Fund is to seek investment results that correspond generally to the price and yield, before fees and expenses, of the Value Line Dividend Index. The gross expense ratio for this fund is 0.73%. Expenses are capped contractually at 0.70% per year, at least until April 30, 2018.

Investment Information

Alpha -0.35
60-Month Beta 0.79
Standard Deviation +0.98
Shares Outstanding, K 213,941.00
Managed Assets, $K 9,824,675.20 K
Net Asset Value 45.92
First Trade Price 15.00
P/E Ratio 18.49
Management Fee 0.67%
Options Yes
Latest Dividend 0.228
Last Dividend Date 09/26/24
Annual Dividend 0.99
Annual Dividend Yield 2.16%
1-Year Return 19.48%
3-Year Return 12.67%
5-Year Return 29.89%
Management Expense Ratio 0.67%

FVD Dividends

Date Value
09/26/24 $0.2280
06/27/24 $0.2800
03/21/24 $0.1890
12/22/23 $0.2930
09/22/23 $0.1830
06/27/23 $0.2640
03/24/23 $0.2080
12/23/22 $0.2750
09/23/22 $0.2020
06/24/22 $0.1700
03/25/22 $0.1860
12/23/21 $0.2320
09/23/21 $0.1580
06/24/21 $0.1890
03/25/21 $0.1760
12/24/20 $0.2110
09/24/20 $0.1870
06/25/20 $0.2210
03/26/20 $0.1920
12/13/19 $0.2010
09/25/19 $0.2220
06/14/19 $0.1630
03/21/19 $0.1460
12/18/18 $0.2350
09/14/18 $0.1640
06/21/18 $0.1940
03/22/18 $0.1340
12/21/17 $0.2050
09/21/17 $0.1320
06/22/17 $0.1640
03/23/17 $0.1470
12/21/16 $0.1730
09/21/16 $0.1260
06/22/16 $0.1460
03/23/16 $0.1270
12/23/15 $0.1630
09/23/15 $0.1350
06/24/15 $0.1482
03/25/15 $0.1136
12/23/14 $0.1550
09/23/14 $0.1175
06/24/14 $0.1378
03/25/14 $0.1836
12/18/13 $0.1255
09/20/13 $0.1211
06/21/13 $0.1337
03/21/13 $0.1067
12/21/12 $0.1496
09/21/12 $0.1247
06/21/12 $0.1226
03/21/12 $0.1009
12/21/11 $0.1284
09/21/11 $0.0948
06/21/11 $0.1037
03/22/11 $0.0906
12/21/10 $0.1250
09/21/10 $0.0882
06/22/10 $0.1039
03/23/10 $0.0883
12/22/09 $0.0916
09/22/09 $0.0880
06/23/09 $0.1050
03/23/09 $0.0926
12/23/08 $0.1260
09/22/08 $0.1020
06/23/08 $0.1156
03/24/08 $0.1045
12/21/07 $0.1253
09/21/07 $0.1200
06/21/07 $0.1100
03/23/07 $0.1100
12/06/06 $1.5779
11/01/06 $0.0879
10/02/06 $0.0879
09/01/06 $0.0879
08/01/06 $0.0879
07/03/06 $0.0879
06/01/06 $0.1075
03/01/06 $0.1075
12/19/05 $1.8075
09/01/05 $0.1025
06/01/05 $0.1000
03/04/05 $0.0950
12/20/04 $1.0100
09/01/04 $0.0925
06/01/04 $0.0900
03/01/04 $0.0850
12/01/03 $0.2284
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