First Trust Institutional Preferred Securities and Income ETF (FPEI) Dividends

First Trust Institutional Preferred Securities and Income ETF (FPEI): $18.82

0.02 (+0.11%)

POWR Rating

Component Grades

Buy & Hold

A

Peer

D

FPEI Ex-Dividend Date
FPEI Dividend Yield
5.50%
FPEI Annual Dividend
$1.03
FPEI Payout Ratio


FPEI Dividend History

Ex-Dividend Date Type Payout Amount Change
2024-10-22Dividend$0.09+13.75%
2024-09-26Dividend$0.08-11.11%
2024-08-21Dividend$0.09+3.45%
2024-07-23Dividend$0.09-3.33%
2024-06-27Dividend$0.09+1.12%
2024-05-21Dividend$0.09+5.95%
2024-04-23Dividend$0.08-4.55%
2024-03-21Dividend$0.09+8.64%
2024-02-21Dividend$0.08+1.25%
2024-01-23Dividend$0.08-8.05%
2023-12-22Dividend$0.09+1.16%
2023-11-21Dividend$0.09+16.22%
2023-10-24Dividend$0.07-15.91%
2023-09-22Dividend$0.09-1.12%
2023-08-22Dividend$0.09--
2023-07-21Dividend$0.09+5.95%
2023-06-27Dividend$0.08-11.58%
2023-05-23Dividend$0.10+17.28%
2023-04-21Dividend$0.08-7.95%
2023-03-24Dividend$0.09+7.32%
2023-02-22Dividend$0.08--
2023-01-24Dividend$0.08-7.87%
2022-12-23Dividend$0.09+23.61%
2022-11-22Dividend$0.07-11.11%
2022-10-21Dividend$0.08-2.41%
2022-09-23Dividend$0.08+9.21%
2022-08-23Dividend$0.08-1.30%
2022-07-21Dividend$0.08+2.67%
2022-06-24Dividend$0.08-2.60%
2022-05-24Dividend$0.08+13.24%
2022-04-21Dividend$0.07-18.07%
2022-03-25Dividend$0.08+13.70%
2022-02-18Dividend$0.07+1.39%
2022-01-21Dividend$0.07+4.35%
2021-12-23Dividend$0.07-14.81%
2021-11-23Dividend$0.08+14.08%
2021-10-21Dividend$0.07+5.97%
2021-09-23Dividend$0.07-19.28%
2021-08-24Dividend$0.08+9.21%
2021-07-21Dividend$0.08-5.00%
2021-06-24Dividend$0.08+5.26%
2021-05-21Dividend$0.08+1.33%
2021-04-21Dividend$0.08-3.85%
2021-03-25Dividend$0.08+8.33%
2021-02-23Dividend$0.07-10.00%
2021-01-21Dividend$0.08-4.76%
2020-12-24Dividend$0.08--
2020-11-24Dividend$0.08-1.18%
2020-10-21Dividend$0.09+7.59%
2020-09-24Dividend$0.08-1.25%
2020-08-21Dividend$0.08-21.57%
2020-07-21Dividend$0.10+43.66%
2020-06-25Dividend$0.07+26.79%
2020-05-21Dividend$0.06-49.09%
2020-04-21Dividend$0.11+26.44%
2020-03-26Dividend$0.09+17.57%
2020-02-21Dividend$0.07-14.94%
2020-01-22Dividend$0.09+4.82%
2019-12-13Dividend$0.08--
2019-11-21Dividend$0.08+1.22%
2019-10-22Dividend$0.08+3.80%
2019-09-25Dividend$0.08-4.82%
2019-08-21Dividend$0.08-6.74%
2019-07-23Dividend$0.09+5.95%
2019-06-14Dividend$0.08-4.55%
2019-05-21Dividend$0.09+4.76%
2019-04-23Dividend$0.08-4.55%
2019-03-21Dividend$0.09+7.32%
2019-02-21Dividend$0.08+1.23%
2019-01-23Dividend$0.08-22.86%
2018-12-18Dividend$0.11+22.09%
2018-11-21Dividend$0.09-3.37%
2018-10-23Dividend$0.09+12.66%
2018-09-14Dividend$0.08-15.96%
2018-08-21Dividend$0.09+5.62%
2018-07-20Dividend$0.09+2.30%
2018-06-21Dividend$0.09-1.14%
2018-05-22Dividend$0.09+1.15%
2018-04-20Dividend$0.09+2.35%
2018-03-22Dividend$0.09+21.43%
2018-02-21Dividend$0.07-32.69%
2018-01-23Dividend$0.10+67.74%
2017-12-21Dividend$0.06-37.37%
2017-11-21Dividend$0.10+41.43%
2017-10-20Dividend$0.07--
2017-09-21Dividend$0.07--


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