Core Investment Grade ETF/First Trust Exchange-Traded Fund IV (NYSE:FTCB) Dividend History
Click to see Core Investment Grade ETF/First Trust Exchange-Traded Fund IV Dividend Data, Dates and more financial information, or here to see FTCB Projected 10 Year Dividend Yield.
| Core Investment Grade ETF/First Trust Exchange-Traded Fund IV (NYSE:FTCB) Dividend Information | |||||
|---|---|---|---|---|---|
| Core Investment Grade ETF/First Trust Exchange-Traded Fund IV (NYSE:FTCB) Dividend History | |||||
| Core Investment Grade ETF/First Trust Exchange-Traded Fund IVFTCB 2026 Dividends | |||||
| Decl Date | Ex Date | Rec Date | Pay Date | Type | AmountAmt $ |
| Apr. 20, 20264/20/26 | Apr. 21, 20264/21/26 | Apr. 21, 20264/21/26 | Apr. 30, 20264/30/26 | 0 | 0.090 |
| Mar. 25, 20263/25/26 | Mar. 26, 20263/26/26 | Mar. 26, 20263/26/26 | Mar. 31, 20263/31/26 | 0 | 0.090 |
| Feb. 19, 20262/19/26 | Feb. 20, 20262/20/26 | Feb. 20, 20262/20/26 | Feb. 27, 20262/27/26 | 0 | 0.090 |
| Jan. 20, 20261/20/26 | Jan. 21, 20261/21/26 | Jan. 21, 20261/21/26 | Jan. 30, 20261/30/26 | 0 | 0.090 |
| Core Investment Grade ETF/First Trust Exchange-Traded Fund IVFTCB 2026 Total: | 0.360 | ||||
| Core Investment Grade ETF/First Trust Exchange-Traded Fund IVFTCB 2025 Dividends | |||||
| Decl Date | Ex Date | Rec Date | Pay Date | Type | AmountAmt $ |
| Dec. 11, 202512/11/25 | Dec. 12, 202512/12/25 | Dec. 12, 202512/12/25 | Dec. 31, 202512/31/25 | B | 0.032 |
| Dec. 11, 202512/11/25 | Dec. 12, 202512/12/25 | Dec. 12, 202512/12/25 | Dec. 31, 202512/31/25 | C | 0.047 |
| Dec. 11, 202512/11/25 | Dec. 12, 202512/12/25 | Dec. 12, 202512/12/25 | Dec. 31, 202512/31/25 | 0 | 0.095 |
| Nov. 20, 202511/20/25 | Nov. 21, 202511/21/25 | Nov. 21, 202511/21/25 | Nov. 28, 202511/28/25 | 0 | 0.095 |
| Oct. 20, 202510/20/25 | Oct. 21, 202510/21/25 | Oct. 21, 202510/21/25 | Oct. 31, 202510/31/25 | 0 | 0.083 |
| Sep. 24, 20259/24/25 | Sep. 25, 20259/25/25 | Sep. 25, 20259/25/25 | Sep. 30, 20259/30/25 | 0 | 0.083 |
| Aug. 20, 20258/20/25 | Aug. 21, 20258/21/25 | Aug. 21, 20258/21/25 | Aug. 29, 20258/29/25 | 0 | 0.075 |
| Jul. 21, 20257/21/25 | Jul. 22, 20257/22/25 | Jul. 22, 20257/22/25 | Jul. 31, 20257/31/25 | 0 | 0.075 |
| Jun. 25, 20256/25/25 | Jun. 26, 20256/26/25 | Jun. 26, 20256/26/25 | Jun. 30, 20256/30/25 | 0 | 0.075 |
| May. 20, 20255/20/25 | May. 21, 20255/21/25 | May. 21, 20255/21/25 | May. 30, 20255/30/25 | 0 | 0.075 |
| Apr. 21, 20254/21/25 | Apr. 22, 20254/22/25 | Apr. 22, 20254/22/25 | Apr. 30, 20254/30/25 | 0 | 0.075 |
| Mar. 26, 20253/26/25 | Mar. 27, 20253/27/25 | Mar. 27, 20253/27/25 | Mar. 31, 20253/31/25 | 0 | 0.080 |
| Feb. 20, 20252/20/25 | Feb. 21, 20252/21/25 | Feb. 21, 20252/21/25 | Feb. 28, 20252/28/25 | 0 | 0.080 |
| Jan. 21, 20251/21/25 | Jan. 22, 20251/22/25 | Jan. 22, 20251/22/25 | Jan. 31, 20251/31/25 | 0 | 0.090 |
| Core Investment Grade ETF/First Trust Exchange-Traded Fund IVFTCB 2025 Total: | 1.060 | ||||
| Core Investment Grade ETF/First Trust Exchange-Traded Fund IVFTCB 2024 Dividends | |||||
| Decl Date | Ex Date | Rec Date | Pay Date | Type | AmountAmt $ |
| Dec. 12, 202412/12/24 | Dec. 13, 202412/13/24 | Dec. 13, 202412/13/24 | Dec. 31, 202412/31/24 | 0 | 0.090 |
| Nov. 20, 202411/20/24 | Nov. 21, 202411/21/24 | Nov. 21, 202411/21/24 | Nov. 29, 202411/29/24 | 0 | 0.105 |
| Oct. 21, 202410/21/24 | Oct. 22, 202410/22/24 | Oct. 22, 202410/22/24 | Oct. 31, 202410/31/24 | 0 | 0.105 |
| Sep. 25, 20249/25/24 | Sep. 26, 20249/26/24 | Sep. 26, 20249/26/24 | Sep. 30, 20249/30/24 | 0 | 0.105 |
| Aug. 20, 20248/20/24 | Aug. 21, 20248/21/24 | Aug. 21, 20248/21/24 | Aug. 30, 20248/30/24 | 0 | 0.105 |
| Jul. 22, 20247/22/24 | Jul. 23, 20247/23/24 | Jul. 23, 20247/23/24 | Jul. 31, 20247/31/24 | 0 | 0.105 |
| Jun. 26, 20246/26/24 | Jun. 27, 20246/27/24 | Jun. 27, 20246/27/24 | Jun. 28, 20246/28/24 | 0 | 0.078 |
| May. 20, 20245/20/24 | May. 21, 20245/21/24 | May. 22, 20245/22/24 | May. 31, 20245/31/24 | 0 | 0.078 |
| Apr. 22, 20244/22/24 | Apr. 23, 20244/23/24 | Apr. 24, 20244/24/24 | Apr. 30, 20244/30/24 | 0 | 0.078 |
| Mar. 20, 20243/20/24 | Mar. 21, 20243/21/24 | Mar. 22, 20243/22/24 | Mar. 28, 20243/28/24 | 0 | 0.075 |
| Feb. 20, 20242/20/24 | Feb. 21, 20242/21/24 | Feb. 22, 20242/22/24 | Feb. 29, 20242/29/24 | 0 | 0.075 |
| Jan. 22, 20241/22/24 | Jan. 23, 20241/23/24 | Jan. 24, 20241/24/24 | Jan. 31, 20241/31/24 | 0 | 0.075 |
| Core Investment Grade ETF/First Trust Exchange-Traded Fund IVFTCB 2024 Total: | 1.073 | ||||
| Core Investment Grade ETF/First Trust Exchange-Traded Fund IVFTCB 2023 Dividends | |||||
| Decl Date | Ex Date | Rec Date | Pay Date | Type | AmountAmt $ |
| Dec. 21, 202312/21/23 | Dec. 22, 202312/22/23 | Dec. 26, 202312/26/23 | Dec. 29, 202312/29/23 | G | 0.075 |
| Core Investment Grade ETF/First Trust Exchange-Traded Fund IVFTCB 2023 Total: | 0.075 | ||||
Apr. 20, 2026DIVIDEND ANNOUNCEMENT: Core Investment Grade ETF/First Trust Exchange-Traded Fund IV (NYSE: FTCB) on 04-20-2026 declared a dividend of $0.0900 per share
Read more...Mar. 25, 2026DIVIDEND ANNOUNCEMENT: Core Investment Grade ETF/First Trust Exchange-Traded Fund IV (NYSE: FTCB) on 03-25-2026 declared a dividend of $0.0900 per share
Read more...Feb. 19, 2026DIVIDEND ANNOUNCEMENT: Core Investment Grade ETF/First Trust Exchange-Traded Fund IV (NYSE: FTCB) on 02-19-2026 declared a dividend of $0.0900 per share
Read more...Apr. 21, 2026DIVIDEND RATE DECREASE: SSI Strategic Conv Secs ETF/First Trust Exchange-Traded Fund IV (NASDAQ: FCVT) on 04-21-2026 decreased dividend rate > 5% from $0.73 to $0.69
Read more...Apr. 21, 2026DIVIDEND RATE INCREASE: Nicholas Nuclear Income ETF/Tidal ETF Trust II (NYSE: NUKX) on 04-21-2026 increased dividend rate > 5% from $0.92 to $1.03
Read more...Apr. 21, 2026DIVIDEND RATE INCREASE: Nicholas Defense and Rare Earth Income ETF/Tidal ETF Trust II (NYSE: WEPN) on 04-21-2026 increased dividend rate > 5% from $0.74 to $0.85
Read more...

