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First Trust Tactical Bond Index ETF (FTB.TO)

Toronto - Toronto Real-time price. Currency in CAD
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16.36-0.02 (-0.12%)
At close: 10:38AM EST
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Previous close16.38
Open16.36
Bid16.37 x 0
Ask16.43 x 0
Day's range16.36 - 16.36
52-week range16.03 - 16.95
Volume1
Avg. volume1
Net assets5.05M
NAV16.34
PE ratio (TTM)N/A
Yield3.43%
YTD daily total return2.38%
Beta (5Y monthly)-0.44
Expense ratio (net)0.92%
Inception date2015-06-18
  • GlobeNewswire

    FT Portfolios Canada Co. Announces Distribution for Its Exchange Traded Funds

    TSX Symbols – FUD/FUD.A, FDE/FDE.A, FSL/FSL.A, EUR/EUR.A, ETP/ETP.A, FTB, CIBR, QCLN, FHH/FHH.F, FHG/FHG.F, FHQ/FHQ.F, FBT, SKYY, FDL, FST/FST.A, BLCK, NOVB.F & AUGB.F NEO Symbol – FJFB & FJFG TORONTO, Dec. 22, 2021 (GLOBE NEWSWIRE) -- FT Portfolios Canada Co. (“First Trust Canada”) is pleased to announce cash and reinvested distributions for its Exchange Traded Funds (the “ETFs”) listed on the Toronto Stock Exchange for the month ending December 31, 2021. Reinvested distributions generally repr

  • GlobeNewswire

    FT Portfolios Canada Co. Announces Cash Distributions for Its Exchange Traded Funds

    TSX Symbols – FUD/FUD.A, FDE/FDE.A, FSL/FSL.A, EUR/EUR.A, ETP/ETP.A & FTB NEO Symbol – FJFB TORONTO, Nov. 23, 2021 (GLOBE NEWSWIRE) -- FT Portfolios Canada Co. is pleased to announce cash distributions for its Exchange Traded Funds listed on the Toronto Stock Exchange and Neo Exchange for the month ending November 30, 2021. The cash distributions are payable on December 7, 2021 to Unitholders of record on November 30, 2021 with an ex-dividend date of November 29, 2021. Details for the per unit d

  • GlobeNewswire

    FT Portfolios Canada Co. Announces Cash Distribution for Its Exchange Traded Funds

    TSX Symbols – FUD/FUD.A, FDE/FDE.A, FSL/FSL.A, EUR/EUR.A, ETP/ETP.A, FTB, FHG/FHG.F, FDL, SKYY, FST/FST.A, BLCKTORONTO, March 24, 2021 (GLOBE NEWSWIRE) -- FT Portfolios Canada Co. is pleased to announce cash distributions for its Exchange Traded Funds listed on the Toronto Stock Exchange for the month ending March 31, 2021. The cash distributions are payable on April 8, 2021 to Unitholders of record on March 31, 2021 with an ex-dividend date of March 30, 2021. Details for the per unit distribution amounts are shown below: Fund NameFund Ticker Cash Distribution AmountFirst Trust Value Line® Dividend Index ETF (CAD-Hedged)FUD$0.0450FUD.A$0.0200First Trust AlphaDEX™ Emerging Market Dividend ETF (CAD-Hedged)FDE$0.0250FDE.A$0.0150First Trust Senior Loan ETF (CAD-Hedged)FSL$0.0450FSL.A$0.0400First Trust AlphaDEX™ European Dividend Index ETF (CAD-Hedged)EUR$0.0300EUR.A$0.0250First Trust Global Risk Managed Income Index ETFETP$0.0450ETP.A$0.0350First Trust Tactical Bond Index ETFFTB$0.0450First Trust Morningstar Dividend Leaders ETF (CAD‐Hedged) (formerly First Trust Dorsey Wright U.S. Sector Rotation Index ETF (CAD‐Hedged)FDL$0.2200First Trust AlphaDEX™ U.S. Industrials Sector Index ETFFHG$0.0425FHG.F$0.0300First Trust Cloud Computing ETF (formerly First Trust AlphaDEX™ U.S. Utilities Sector Index ETF)SKYY$0.0200First Trust Canadian Capital Strength ETFFST$0.2100FST.A$0.1000First Trust Indxx Innovative Transaction and Process ETFBLCK$0.0500 For further information, please contact: FT Portfolios Canada Co. 416-865-8065/877-622-5552