First Tr Enhanced Short Maturity ETF (New)/First Trust Exchange-Traded Fund IV (NASDAQ:FTSM) Dividend History
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| First Tr Enhanced Short Maturity ETF (New)/First Trust Exchange-Traded Fund IV (NASDAQ:FTSM) Dividend Information | |||||
|---|---|---|---|---|---|
| First Tr Enhanced Short Maturity ETF (New)/First Trust Exchange-Traded Fund IV (NASDAQ:FTSM) Dividend History | |||||
| First Tr Enhanced Short Maturity ETF (New)/First Trust Exchange-Traded Fund IVFTSM 2026 Dividends | |||||
| Decl Date | Ex Date | Rec Date | Pay Date | Type | AmountAmt $ |
| Mar. 30, 20263/30/26 | Mar. 31, 20263/31/26 | Mar. 31, 20263/31/26 | Apr. 02, 20264/2/26 | 0 | 0.208 |
| Feb. 26, 20262/26/26 | Feb. 27, 20262/27/26 | Feb. 27, 20262/27/26 | Mar. 03, 20263/3/26 | 0 | 0.191 |
| Jan. 29, 20261/29/26 | Jan. 30, 20261/30/26 | Jan. 30, 20261/30/26 | Feb. 03, 20262/3/26 | 0 | 0.205 |
| First Tr Enhanced Short Maturity ETF (New)/First Trust Exchange-Traded Fund IVFTSM 2026 Total: | 0.604 | ||||
| First Tr Enhanced Short Maturity ETF (New)/First Trust Exchange-Traded Fund IVFTSM 2025 Dividends | |||||
| Decl Date | Ex Date | Rec Date | Pay Date | Type | AmountAmt $ |
| Dec. 26, 202512/26/25 | Dec. 29, 202512/29/25 | Dec. 29, 202512/29/25 | Dec. 31, 202512/31/25 | 0 | 0.200 |
| Nov. 26, 202511/26/25 | Nov. 28, 202511/28/25 | Nov. 28, 202511/28/25 | Dec. 02, 202512/2/25 | 0 | 0.200 |
| Oct. 30, 202510/30/25 | Oct. 31, 202510/31/25 | Oct. 31, 202510/31/25 | Nov. 04, 202511/4/25 | 0 | 0.210 |
| Sep. 29, 20259/29/25 | Sep. 30, 20259/30/25 | Sep. 30, 20259/30/25 | Oct. 02, 202510/2/25 | 0 | 0.213 |
| Aug. 28, 20258/28/25 | Aug. 29, 20258/29/25 | Aug. 29, 20258/29/25 | Sep. 03, 20259/3/25 | 0 | 0.220 |
| Jul. 30, 20257/30/25 | Jul. 31, 20257/31/25 | Jul. 31, 20257/31/25 | Aug. 04, 20258/4/25 | 0 | 0.218 |
| Jun. 27, 20256/27/25 | Jun. 30, 20256/30/25 | Jun. 30, 20256/30/25 | Jul. 02, 20257/2/25 | 0 | 0.215 |
| May. 29, 20255/29/25 | May. 30, 20255/30/25 | May. 30, 20255/30/25 | Jun. 03, 20256/3/25 | 0 | 0.228 |
| Apr. 29, 20254/29/25 | Apr. 30, 20254/30/25 | Apr. 30, 20254/30/25 | May. 02, 20255/2/25 | 0 | 0.213 |
| Mar. 28, 20253/28/25 | Mar. 31, 20253/31/25 | Mar. 31, 20253/31/25 | Apr. 02, 20254/2/25 | 0 | 0.222 |
| Feb. 27, 20252/27/25 | Feb. 28, 20252/28/25 | Feb. 28, 20252/28/25 | Mar. 04, 20253/4/25 | 0 | 0.203 |
| Jan. 30, 20251/30/25 | Jan. 31, 20251/31/25 | Jan. 31, 20251/31/25 | Feb. 04, 20252/4/25 | 0 | 0.226 |
| First Tr Enhanced Short Maturity ETF (New)/First Trust Exchange-Traded Fund IVFTSM 2025 Total: | 2.568 | ||||
| First Tr Enhanced Short Maturity ETF (New)/First Trust Exchange-Traded Fund IVFTSM 2024 Dividends | |||||
| Decl Date | Ex Date | Rec Date | Pay Date | Type | AmountAmt $ |
| Dec. 26, 202412/26/24 | Dec. 27, 202412/27/24 | Dec. 27, 202412/27/24 | Dec. 31, 202412/31/24 | 0 | 0.233 |
| Nov. 27, 202411/27/24 | Nov. 29, 202411/29/24 | Nov. 29, 202411/29/24 | Dec. 03, 202412/3/24 | 0 | 0.230 |
| Oct. 30, 202410/30/24 | Oct. 31, 202410/31/24 | Oct. 31, 202410/31/24 | Nov. 04, 202411/4/24 | 0 | 0.241 |
| Sep. 27, 20249/27/24 | Sep. 30, 20249/30/24 | Sep. 30, 20249/30/24 | Oct. 02, 202410/2/24 | 0 | 0.247 |
| Aug. 29, 20248/29/24 | Aug. 30, 20248/30/24 | Aug. 30, 20248/30/24 | Sep. 04, 20249/4/24 | 0 | 0.247 |
| Jul. 30, 20247/30/24 | Jul. 31, 20247/31/24 | Jul. 31, 20247/31/24 | Aug. 02, 20248/2/24 | 0 | 0.247 |
| Jun. 27, 20246/27/24 | Jun. 28, 20246/28/24 | Jun. 28, 20246/28/24 | Jul. 02, 20247/2/24 | 0 | 0.245 |
| May. 30, 20245/30/24 | May. 31, 20245/31/24 | May. 31, 20245/31/24 | Jun. 04, 20246/4/24 | 0 | 0.250 |
| Apr. 29, 20244/29/24 | Apr. 30, 20244/30/24 | May. 01, 20245/1/24 | May. 03, 20245/3/24 | 0 | 0.249 |
| Mar. 27, 20243/27/24 | Mar. 28, 20243/28/24 | Apr. 01, 20244/1/24 | Apr. 03, 20244/3/24 | 0 | 0.249 |
| Feb. 28, 20242/28/24 | Feb. 29, 20242/29/24 | Mar. 01, 20243/1/24 | Mar. 05, 20243/5/24 | 0 | 0.240 |
| Jan. 30, 20241/30/24 | Jan. 31, 20241/31/24 | Feb. 01, 20242/1/24 | Feb. 05, 20242/5/24 | 0 | 0.255 |
| First Tr Enhanced Short Maturity ETF (New)/First Trust Exchange-Traded Fund IVFTSM 2024 Total: | 2.933 | ||||
| First Tr Enhanced Short Maturity ETF (New)/First Trust Exchange-Traded Fund IVFTSM 2023 Dividends | |||||
| Decl Date | Ex Date | Rec Date | Pay Date | Type | AmountAmt $ |
| Nov. 29, 202311/29/23 | Nov. 30, 202311/30/23 | Dec. 01, 202312/1/23 | Dec. 05, 202312/5/23 | 0 | 0.243 |
| Oct. 30, 202310/30/23 | Oct. 31, 202310/31/23 | Nov. 01, 202311/1/23 | Nov. 03, 202311/3/23 | 0 | 0.244 |
| Sep. 28, 20239/28/23 | Sep. 29, 20239/29/23 | Oct. 02, 202310/2/23 | Oct. 04, 202310/4/23 | 0 | 0.247 |
| Aug. 30, 20238/30/23 | Aug. 31, 20238/31/23 | Sep. 01, 20239/1/23 | Sep. 06, 20239/6/23 | 0 | 0.247 |
| Jul. 28, 20237/28/23 | Jul. 31, 20237/31/23 | Aug. 01, 20238/1/23 | Aug. 03, 20238/3/23 | 0 | 0.240 |
| Jun. 29, 20236/29/23 | Jun. 30, 20236/30/23 | Jul. 03, 20237/3/23 | Jul. 06, 20237/6/23 | 0 | 0.229 |
| May. 30, 20235/30/23 | May. 31, 20235/31/23 | Jun. 01, 20236/1/23 | Jun. 05, 20236/5/23 | 0 | 0.229 |
| Apr. 27, 20234/27/23 | Apr. 28, 20234/28/23 | May. 01, 20235/1/23 | May. 03, 20235/3/23 | 0 | 0.214 |
| Mar. 29, 20233/29/23 | Mar. 31, 20233/31/23 | Apr. 03, 20234/3/23 | Apr. 05, 20234/5/23 | 0 | 0.208 |
| Feb. 27, 20232/27/23 | Feb. 28, 20232/28/23 | Mar. 01, 20233/1/23 | Mar. 03, 20233/3/23 | 0 | 0.201 |
| Jan. 30, 20231/30/23 | Jan. 31, 20231/31/23 | Feb. 01, 20232/1/23 | Feb. 03, 20232/3/23 | 0 | 0.201 |
| First Tr Enhanced Short Maturity ETF (New)/First Trust Exchange-Traded Fund IVFTSM 2023 Total: | 2.503 | ||||
| First Tr Enhanced Short Maturity ETF (New)/First Trust Exchange-Traded Fund IVFTSM 2022 Dividends | |||||
| Decl Date | Ex Date | Rec Date | Pay Date | Type | AmountAmt $ |
| Dec. 22, 202212/22/22 | Dec. 23, 202212/23/22 | Dec. 27, 202212/27/22 | Dec. 30, 202212/30/22 | 0 | 0.191 |
| Nov. 29, 202211/29/22 | Nov. 30, 202211/30/22 | Dec. 01, 202212/1/22 | Dec. 05, 202212/5/22 | 0 | 0.159 |
| Oct. 28, 202210/28/22 | Oct. 31, 202210/31/22 | Nov. 01, 202211/1/22 | Nov. 03, 202211/3/22 | 0 | 0.137 |
| Sep. 29, 20229/29/22 | Sep. 30, 20229/30/22 | Oct. 03, 202210/3/22 | Oct. 05, 202210/5/22 | 0 | 0.110 |
| Aug. 30, 20228/30/22 | Aug. 31, 20228/31/22 | Sep. 01, 20229/1/22 | Sep. 06, 20229/6/22 | 0 | 0.099 |
| Jul. 28, 20227/28/22 | Jul. 29, 20227/29/22 | Aug. 01, 20228/1/22 | Aug. 03, 20228/3/22 | 0 | 0.083 |
| Jun. 29, 20226/29/22 | Jun. 30, 20226/30/22 | Jul. 01, 20227/1/22 | Jul. 06, 20227/6/22 | 0 | 0.056 |
| May. 27, 20225/27/22 | May. 31, 20225/31/22 | Jun. 01, 20226/1/22 | Jun. 03, 20226/3/22 | 0 | 0.042 |
| Apr. 28, 20224/28/22 | Apr. 29, 20224/29/22 | May. 02, 20225/2/22 | May. 04, 20225/4/22 | 0 | 0.028 |
| Mar. 30, 20223/30/22 | Mar. 31, 20223/31/22 | Apr. 01, 20224/1/22 | Apr. 05, 20224/5/22 | 0 | 0.024 |
| Feb. 24, 20222/24/22 | Feb. 28, 20222/28/22 | Mar. 01, 20223/1/22 | Mar. 03, 20223/3/22 | 0 | 0.017 |
| Jan. 28, 20221/28/22 | Jan. 31, 20221/31/22 | Feb. 01, 20222/1/22 | Feb. 03, 20222/3/22 | 0 | 0.017 |
| First Tr Enhanced Short Maturity ETF (New)/First Trust Exchange-Traded Fund IVFTSM 2022 Total: | 0.963 | ||||
| First Tr Enhanced Short Maturity ETF (New)/First Trust Exchange-Traded Fund IVFTSM 2021 Dividends | |||||
| Decl Date | Ex Date | Rec Date | Pay Date | Type | AmountAmt $ |
| Dec. 22, 202112/22/21 | Dec. 23, 202112/23/21 | Dec. 27, 202112/27/21 | Dec. 31, 202112/31/21 | 0 | 0.017 |
| Nov. 29, 202111/29/21 | Nov. 30, 202111/30/21 | Dec. 01, 202112/1/21 | Dec. 03, 202112/3/21 | 0 | 0.014 |
| Oct. 28, 202110/28/21 | Oct. 29, 202110/29/21 | Nov. 01, 202111/1/21 | Nov. 03, 202111/3/21 | 0 | 0.014 |
| Sep. 29, 20219/29/21 | Sep. 30, 20219/30/21 | Oct. 01, 202110/1/21 | Oct. 05, 202110/5/21 | 0 | 0.014 |
| Aug. 30, 20218/30/21 | Aug. 31, 20218/31/21 | Sep. 01, 20219/1/21 | Sep. 03, 20219/3/21 | 0 | 0.014 |
| Jul. 29, 20217/29/21 | Jul. 30, 20217/30/21 | Aug. 02, 20218/2/21 | Aug. 04, 20218/4/21 | 0 | 0.018 |
| Jun. 29, 20216/29/21 | Jun. 30, 20216/30/21 | Jul. 01, 20217/1/21 | Jul. 06, 20217/6/21 | 0 | 0.020 |
| May. 27, 20215/27/21 | May. 28, 20215/28/21 | Jun. 01, 20216/1/21 | Jun. 03, 20216/3/21 | 0 | 0.020 |
| Apr. 29, 20214/29/21 | Apr. 30, 20214/30/21 | May. 03, 20215/3/21 | May. 05, 20215/5/21 | 0 | 0.025 |
| Mar. 30, 20213/30/21 | Mar. 31, 20213/31/21 | Apr. 01, 20214/1/21 | Apr. 06, 20214/6/21 | 0 | 0.025 |
| Feb. 25, 20212/25/21 | Feb. 26, 20212/26/21 | Mar. 01, 20213/1/21 | Mar. 03, 20213/3/21 | 0 | 0.025 |
| Jan. 28, 20211/28/21 | Jan. 29, 20211/29/21 | Feb. 01, 20212/1/21 | Feb. 03, 20212/3/21 | 0 | 0.029 |
| First Tr Enhanced Short Maturity ETF (New)/First Trust Exchange-Traded Fund IVFTSM 2021 Total: | 0.235 | ||||
Mar. 30, 2026DIVIDEND ANNOUNCEMENT: First Tr Enhanced Short Maturity ETF (New)/First Trust Exchange-Traded Fund IV (NASDAQ: FTSM) on 03-30-2026 declared a dividend of $0.2080 per share
Read more...Jan. 29, 2026DIVIDEND ANNOUNCEMENT: First Tr Enhanced Short Maturity ETF (New)/First Trust Exchange-Traded Fund IV (NASDAQ: FTSM) on 01-29-2026 declared a dividend of $0.2050 per share
Read more...Dec. 26, 2025DIVIDEND ANNOUNCEMENT: First Tr Enhanced Short Maturity ETF (New)/First Trust Exchange-Traded Fund IV (NASDAQ: FTSM) on 12-26-2025 declared a dividend of $0.2000 per share
Read more...Apr. 07, 2026DIVIDEND ANNOUNCEMENT: Vaughan Nelson Select ETF/Natixis ETF Trust II (NYSE: VNSE) on 04-07-2026 declared a dividend of $0.0035 per share
Read more...Apr. 07, 2026DIVIDEND RATE DECREASE: ETRACS Monthly Pay 1.5X Leveraged Mortgage REIT ETN/UBS AG London Branch (NYSE: MVRL) on 04-07-2026 decreased dividend rate > 5% from $2.82 to $2.38
Read more...Apr. 07, 2026DIVIDEND RATE DECREASE: ETRACS Quarterly Pay 1.5x Leveraged MarketVector BDC Liquid Index ETN/UBS AG London Branch (NYSE: BDCX) on 04-07-2026 decreased dividend rate > 5% from $4.54 to $4.02
Read more...

