Subscribe to our newsletter to receive the latest product updates and special offers

Upgrade to FINVIZ*Elite to get real-time quotes, intraday charts, and advanced charting tools.

NEW: Dividends

Explore dividend yields, payout ratios, and historical trends to maximize your investment strategies.

CategoryGlobal or ExUS Equities - Factor & Thematic Asset TypeEquities (Stocks) TagsDeveloped Return% 1Y3.31% Shs Outstand Perf Week0.99%
SponsorFirst Trust ETF Type Tagsequity Return% 3Y0.54% Total Holdings160 Perf Month6.07%
Fund Family Bond Type Tagsvolatility Return% 5Y0.71% AUM34.06M Perf Quarter4.02%
Index- Average Maturity Tagsvolatility Return% 10Y NAV% Perf Half Y8.50%
Index Weighting Commodity Type Tags- Return% SI NAV/sh Perf Year0.90%
Active/Passive Quant Type Tags- Flows% 1M0.00% 52W Range25.93 - 29.59 Perf YTD2.67%
Dividend TTM0.85 (2.87%) ESG Type Tags- Flows% 3M-11.32% 52W High0.05% Beta0.67
Dividend Ex-DateMar 21, 2024 Dividend Type Sector/Theme Flows% YTD-11.32% 52W Low14.15% ATR (14)0.18
Expense0.80% Structure Type Region Flows% 1Y RSI (14)68.80 Volatility0.31% 0.41%
Option/ShortNo / No Growth/Value Dev/Emerg Flows% 3Y Rel Volume0.40 Prev Close29.51
Inverse/Leveraged Market Cap Currency Flows% 5Y Avg Volume2.71K Price29.60
SMA202.57% SMA502.49% SMA2005.11% Trades Volume470 Change0.32%
Apr-11-22 04:15PM
Mar-31-22 04:15PM
Mar-07-22 04:59PM
Feb-23-22 04:15PM
Jan-24-22 05:16PM
04:30PM Loading…
Jan-11-22 04:30PM
Dec-07-21 05:56PM
Sep-27-21 04:30PM
Sep-16-21 04:30PM
Sep-24-19 05:27PM
Jun-13-19 04:51PM
Mar-20-19 04:50PM
Dec-17-18 05:33PM
Mar-22-17 05:25PM
Aug-31-16 09:00AM
03:44PM Loading…
Aug-25-16 03:44PM
09:00AM
First Trust Horizon Managed Volatility Developed International ETF seeks to provide capital appreciation. Under normal market conditions, the fund seeks to achieve its investment objective by investing at least 80% of its net assets (including investment borrowings) in common stocks and depositary receipts of developed market companies listed and traded on non-U.S. exchanges that the Sub-Advisor believes exhibit low future expected volatility. Under normal market conditions, it will invest in at least three countries and at least 40% of its net assets in countries other than the United States.