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First Trust Enhanced Short Maturity ETF

Fund Name:
First Trust Enhanced Short Maturity ETF
Issuer:
First Trust
Total Net Assets:
$4,903,409,114
Inception:
8/5/2014
Related Index:
NA
ETF Category: 
Debt - Short
Expense Ratio: 
0.40% 
Net Asset Value: 
$59.83  
Recent NAV Premium: 
0.00% 
NAV Symbol: 
FTSM.NV  
Number of Holdings: 
714  
Annualized Yield: 
2.22%  
Annualized Distribution: 
1.328  
FTSM Dividend History » 
Stock Weight Amount
Security Name $0
U.S. Treasury Note, 1%, Due 11/30/2021 $0
U.S. Treasury Note, 1%, Due 06/15/2020 $0
Verizon Communications Variable Rate, Due 03/16/2022 $0
AT&T Inc 0%, Due 06/09/2020 $0
List of all 716 stocks held by FTSM »
Quotes delayed 20 minutes
ETF Assets
FVD   $8,695,098,256
FDN   $8,682,558,965
LMBS   $5,340,907,398
FPE   $5,005,006,727
FTCS   $4,872,275,501
List of all 144 others »
FVC   LDSF   

FTSM | First Trust Enhanced Short Maturity ETF | ETF Channel | www.ETFChannel.com

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