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FTCB

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Key Stats
Assets Under Management
1.72BUSD
Fund Flows (1Y)
1.40BUSD
Dividend Yield
4.99%
Discount/Premium to NAV
0.09%
Shares Outstanding
81.10M
Expense Ratio
0.57%
About First Trust Core Investment Grade ETF
Issuer
First Trust Advisors L.P.
Brand
First Trust
Inception Date
Nov 7, 2023
Structure
Open-Ended Fund
Index Tracked
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Management Style
Active
Dividend Treatment
Distributes
Distribution Tax Treatment
Ordinary income
Income Tax Type
Capital Gains
Max ST Capital Gains Rate
39.60%
Max LT Capital Gains Rate
20.00%
Primary Advisor
First Trust Advisors LP
Distributor
First Trust Portfolios LP
FTCB broadly invests in fixed income securities of various maturities rated as investment grade. The broad portfolio may comprise of corporate and government securities from around the world, including TIPS, asset-backed securities, and CLOs. Investments could also include securities by non-US corporations and governments, including issuers tied to emerging markets. Using quantitative and qualitative methods, the fund reviews macroeconomic and sector-specific risks and opportunities. It aims to maximize long-term total return through a relative value approach in which a security's risk-versus-reward characteristics are assessed against other securities. Along with its value orientation, the fund utilizes an active approach to duration, yield curve, sector and security-specific risk. As an actively managed ETF, the fund manager has full discretion to make buy, hold, or sell decisions at any time. The fund may invest in derivatives that open investors to counterparty risk.
Classification
Asset Class
Fixed Income
Category
Broad Market, Broad-based
Focus
Investment Grade
Niche
Broad Maturities
Strategy
Active
Geography
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Weighting Scheme
Proprietary
Selection Criteria
Proprietary
Returns
1-Month
3-Month
YTD
1-Year
3-Year
5-Year
Price Performance
-0.52%-0.43%+2.70%+3.00%+5.61%+5.61%
NAV Total Return
+0.23%+1.55%+8.46%+8.46%+0.11%+0.11%
Ratings

No data is currently available

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Holdings Analysis

Sector

No data is currently available

Asset

No data is currently available

Region

No data is currently available

Investment Style

No data is currently available

Top 10 Holdings

Symbol

Ratio

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U.S. Treasury Bond, 0%, due 11/15/2034

1.23%
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U.S. Treasury Note, 4.25%, due 05/15/2035

1.18%
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PMT Loan Trust Series 2025-CNF1, Class A35, Variable rate, due 10/25/2056

1.07%
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Fannie Mae Series 2024-98, Class FG, Variable rate, due 11/25/2054

1.02%
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U.S. Treasury Inflation Indexed Note, 2.375%, due 10/15/2028

1.02%
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U.S. Treasury Bond, 0%, due 08/15/2034

1.01%
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Freddie Mac FT ZT2264, 4%, due 03/01/2044

0.96%
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U.S. Treasury Bill, 0%, due 12/30/2025

0.88%
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U.S. Treasury Bond, 0%, due 08/15/2035

0.88%
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GNMA Series 2024-79, Class VB, Variable rate, due 05/20/2054

0.85%

Top 10 Weight 10.1%

645 Total Holdings

Dividends

Dividend Payout History

Declaration Date
Record Date
Payment Date
Amount
2025-12-122025-12-122025-12-310.095
2025-11-212025-11-212025-11-280.095
2025-10-212025-10-212025-10-310.083
2025-09-252025-09-252025-09-300.083
2025-08-212025-08-212025-08-290.075
2025-07-222025-07-222025-07-310.075
2025-06-262025-06-262025-06-300.075

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Premium/Discount Chart
Premium/Discount to NAV
Price
Assets Under Management
Assets Under Management
Fund Flows
Inflows
Outflows