First Trust Multi-Asset Diversified Income Index Fund(MDIV) USD 14.75
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.81%USD 0.268USD0.1362023-03-24
USD0.07162023-02-22
USD0.05992023-01-24
20226.80%USD 1.003USD0.11142022-12-23
USD0.09082022-11-22
USD0.0622022-10-21
USD0.1172022-09-23
USD0.1142022-08-23
USD0.0312022-07-21
USD0.0972022-06-24
USD0.1092022-05-24
USD0.0532022-04-21
USD0.0912022-03-25
USD0.0722022-02-18
USD0.0552022-01-21
20215.97%USD 0.88USD0.09272021-12-23
USD0.09762021-11-23
USD0.06312021-10-21
USD0.0762021-09-23
USD0.0782021-08-24
USD0.0632021-07-21
USD0.0682021-06-24
USD0.0822021-05-21
USD0.0592021-04-21
USD0.0472021-03-25
USD0.072021-02-23
USD0.0842021-01-21
20206.12%USD 0.903USD0.06052020-12-24
USD0.07442020-11-24
USD0.07582020-10-21
USD0.0612020-09-24
USD0.0892020-08-21
USD0.0412020-07-21
USD0.0652020-06-25
USD0.1072020-05-21
USD0.0362020-04-21
USD0.0842020-03-26
USD0.1222020-02-21
USD0.0872020-01-22
20197.52%USD 1.109USD0.08512019-12-13
USD0.12762019-11-21
USD0.05992019-10-22
USD0.0882019-09-25
USD0.122019-08-21
USD0.0592019-07-23
USD0.10382019-06-14
USD0.11192019-05-21
USD0.062019-04-23
USD0.09952019-03-21
USD0.13112019-02-21
USD0.06272019-01-23
20187.72%USD 1.138USD0.09712018-12-18
USD0.13472018-11-21
USD0.05382018-10-23
USD0.09742018-09-14
USD0.07632018-08-21
USD0.05732018-07-20
USD0.13542018-06-21
USD0.11932018-05-22
USD0.0462018-04-20
USD0.12112018-03-22
USD0.11082018-02-21
USD0.0892018-01-23
20177.79%USD 1.149USD0.10862017-12-21
USD0.16232017-11-21
USD0.06392017-10-20
USD0.142017-09-21
USD0.09662017-08-22
USD0.05622017-07-21
USD0.11062017-06-22
USD0.08772017-05-23
USD0.06162017-04-21
USD0.10852017-03-23
USD0.08732017-02-22
USD0.06532017-01-20
20168.23%USD 1.214USD0.10472016-12-21
USD0.0842016-11-22
USD0.06872016-10-21
USD0.09772016-09-21
USD0.1132016-08-23
USD0.09522016-07-21
USD0.1262016-06-22
USD0.12272016-05-20
USD0.0892016-04-21
USD0.11092016-03-23
USD0.13752016-02-23
USD0.06472016-01-21
20158.40%USD 1.24USD0.09932015-12-23
USD0.122015-11-20
USD0.0692015-10-21
USD0.1292015-09-23
USD0.0892015-08-21
USD0.0852015-07-21
USD0.0842015-06-24
USD0.112015-05-21
USD0.0632015-04-21
USD0.142015-03-25
USD0.112015-02-20
USD0.14132015-01-21
20148.27%USD 1.219USD0.12082014-12-23
USD0.08272014-11-21
USD0.10122014-10-21
USD0.10352014-09-23
USD0.10392014-08-21
USD0.10192014-07-22
USD0.0972014-06-24
USD0.12482014-05-21
USD0.08012014-04-22
USD0.13612014-03-25
USD0.10792014-02-21
USD0.05932014-01-22
20138.01%USD 1.181USD0.18532013-12-18
USD0.04922013-11-21
USD0.08812013-10-22
USD0.15262013-09-20
USD0.1352013-08-21
USD0.09552013-07-23
USD0.06622013-06-21
USD0.1252013-05-21
USD0.07582013-04-23
USD0.07562013-03-21
USD0.13272013-02-21
20122.18%USD 0.321USD0.28442012-12-21
USD0.03652012-09-21