First Trust Senior Floating Rate 2022 Target Term Fund(FIV) USD 9.7
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20211.04%USD 0.101USD0.00782021-11-01
USD0.00782021-10-01
USD0.00782021-09-01
USD0.00782021-08-02
USD0.01032021-07-01
USD0.01032021-06-01
USD0.01032021-05-03
USD0.01282021-04-01
USD0.01282021-03-01
USD0.01282021-02-01
20202.64%USD 0.256USD0.01532020-12-30
USD0.01532020-12-01
USD0.01532020-11-02
USD0.01782020-10-01
USD0.01782020-09-01
USD0.01782020-08-03
USD0.02032020-07-01
USD0.02032020-06-01
USD0.02032020-05-01
USD0.02282020-04-01
USD0.02282020-03-02
USD0.02282020-02-03
USD0.02782020-01-02
20193.97%USD 0.385USD0.02782019-12-30
USD0.02782019-12-02
USD0.02782019-11-01
USD0.03032019-10-01
USD0.03032019-09-03
USD0.03032019-08-01
USD0.03282019-07-01
USD0.03282019-06-03
USD0.03282019-05-01
USD0.03532019-04-01
USD0.03532019-03-01
USD0.04172019-02-01
20185.16%USD 0.5USD0.04172018-12-28
USD0.04172018-12-03
USD0.04172018-11-01
USD0.04172018-10-01
USD0.04172018-09-04
USD0.04172018-08-01
USD0.04172018-07-02
USD0.04172018-06-01
USD0.04172018-05-01
USD0.04172018-04-02
USD0.04172018-03-01
USD0.04172018-02-01
20174.73%USD 0.459USD0.04172017-12-28
USD0.04172017-12-01
USD0.04172017-11-01
USD0.04172017-10-02
USD0.04172017-09-01
USD0.04172017-08-01
USD0.04172017-07-03
USD0.04172017-06-01
USD0.04172017-05-01
USD0.04172017-04-03
USD0.04172017-03-01