First Trust Dow Jones Global Select Dividend Index Fund (FGD)

Dividend Yield

FGD has a dividend yield of 5.07% based on $1.71 in yearly dividends. The most recent payment was on 2026-03-31 in the amount of $0.11.
Dividend Yield5.07%Annual Dividends$1.71
Price33.66Payments per Year4
Declaration Date2026-01-05Ex Dividend Date2026-03-26
Record Date2026-03-26Payment Date2026-03-31
Stock Index ETFs
SPYS&P 500 ETF
SPY756.81
2.570.34%
QQQNasdaq 100 ETF
QQQ740.62
-3.59-0.48%
DIADow Jones ETF
DIA516.90
8.641.70%
Prices provided by Massive

FGD Dividend History

FGD Dividend Payments

DividendEx Div DatePay Date
$0.112026-03-262026-03-31
$0.642025-12-122025-12-31
$0.462025-09-252025-09-30
$0.492025-06-262025-06-30
$0.112025-03-272025-03-31
$0.382024-12-132024-12-31
$0.362024-09-262024-09-30
$0.552024-06-272024-06-28
$0.022024-03-212024-03-28
$0.472023-12-222023-12-29
$0.242023-09-222023-09-29
$0.622023-06-272023-06-30
$0.112023-03-242023-03-31
$0.392022-12-232022-12-30
$0.342022-09-232022-09-30
$0.442022-06-242022-06-30
$0.102022-03-252022-03-31
$0.492021-12-232021-12-31
$0.352021-09-232021-09-30
$0.392021-06-242021-06-30
$0.112021-03-252021-03-31
$0.352020-12-242020-12-31
$0.242020-09-242020-09-30
$0.292020-06-252020-06-30
$0.472020-03-262020-03-31
$0.302019-12-132019-12-31
$0.202019-09-252019-09-30
$0.692019-06-142019-06-28
$0.112019-03-212019-03-29
$0.412018-12-182018-12-31
$0.232018-09-142018-09-28
$0.532018-06-212018-06-29
$0.102018-03-222018-03-29
$0.272017-12-212017-12-29
$0.192017-09-212017-09-29
$0.482017-06-222017-06-30
$0.112017-03-232017-03-31
$0.232016-12-212016-12-30
$0.192016-09-212016-09-30
$0.472016-06-222016-06-30
$0.132016-03-232016-03-31
$0.242015-12-232015-12-31
$0.292015-09-232015-09-30
$0.482015-06-242015-06-30
$0.102015-03-252015-03-31
$0.402014-12-232014-12-31
$0.252014-09-232014-09-30
$0.542014-06-242014-06-30
$0.122014-03-252014-03-31
$0.302013-12-182013-12-31
$0.252013-09-202013-09-30
$0.572013-06-212013-06-28
$0.112013-03-212013-03-28
$0.302012-12-212012-12-31
$0.242012-09-212012-09-28
$0.552012-06-212012-06-29
$0.102012-03-212012-03-30
$0.262011-12-212011-12-30
$0.272011-09-212011-09-30
$0.452011-06-212011-06-30
$0.142011-03-222011-03-31
$0.212010-12-212010-12-31
$0.232010-09-212010-09-30
$0.342010-06-222010-06-30
$0.222010-03-232010-03-31
$0.222009-12-222009-12-31
$0.092009-09-222009-09-30
$0.312009-06-232009-06-30
$0.072009-03-232009-03-31
$0.232008-12-232008-12-31
$0.292008-09-222008-09-30
$0.682008-06-232008-06-30
$0.202008-03-242008-03-31
$0.162007-12-212007-12-31