FGB(Delisted)
First Trust Specialty Finance & Financial Opportunities Fund·NYSE
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FGB fundamentals
First Trust Specialty Finance & Financial Opportunities Fund (FGB) Dividend Overview: Payouts, Yield & History
First Trust Specialty Finance & Financial Opportunities Fund (FGB) last paid a dividend of 0.10 USD per share, with the ex-dividend date on May 30,2025. As of today, the trailing twelve-month (TTM) dividend yield is %, and the payout ratio stands at 36.15%. Explore First Trust Specialty Finance & Financial Opportunities Fund's dividend history, payout trends, and yield performance.
First Trust Specialty Finance & Financial Opportunities Fund (FGB) last paid a dividend of 0.10 USD per share, with the ex-dividend date on May 30,2025. As of today, the trailing twelve-month (TTM) dividend yield is %, and the payout ratio stands at 36.15%. Explore First Trust Specialty Finance & Financial Opportunities Fund's dividend history, payout trends, and yield performance.
May 22,2025
May 30,2025
$0.10
%
36.15%
Dividend
Payout Ratio
Dividend Yield
Dividend Payout History
Declaration Date
Ex-Div Date
Record data
Pay date
Amount
| May 12,2025 | May 22,2025 | May 22,2025 | May 30,2025 | Cash dividend: $0.100 |
| Feb 10,2025 | Feb 24,2025 | Feb 24,2025 | Feb 28,2025 | Cash dividend: $0.100 |
| Nov 12,2024 | Nov 22,2024 | Nov 22,2024 | Dec 02,2024 | Cash dividend: $0.100 |
| Aug 12,2024 | Aug 22,2024 | Aug 22,2024 | Aug 30,2024 | Cash dividend: $0.100 |
| May 13,2024 | May 22,2024 | May 23,2024 | May 31,2024 | Cash dividend: $0.100 |
| Nov 10,2022 | Nov 22,2022 | Nov 23,2022 | Dec 01,2022 | Cash dividend: $0.083 |
| Aug 10,2022 | Aug 22,2022 | Aug 23,2022 | Aug 31,2022 | Cash dividend: $0.083 |
| May 10,2022 | May 20,2022 | May 23,2022 | May 31,2022 | Cash dividend: $0.083 |
| Feb 10,2022 | Feb 22,2022 | Feb 23,2022 | Feb 28,2022 | Cash dividend: $0.083 |
| Nov 10,2021 | Nov 22,2021 | Nov 23,2021 | Dec 01,2021 | Cash dividend: $0.083 |
| Aug 10,2021 | Aug 20,2021 | Aug 23,2021 | Aug 31,2021 | Cash dividend: $0.083 |
| May 10,2021 | May 21,2021 | May 24,2021 | May 28,2021 | Cash dividend: $0.083 |
| Feb 10,2021 | Feb 22,2021 | Feb 23,2021 | Feb 26,2021 | Cash dividend: $0.083 |
| Nov 10,2020 | Nov 20,2020 | Nov 23,2020 | Dec 01,2020 | Cash dividend: $0.083 |
| Aug 10,2020 | Aug 21,2020 | Aug 24,2020 | Aug 31,2020 | Cash dividend: $0.083 |
| May 11,2020 | May 22,2020 | May 26,2020 | May 29,2020 | Cash dividend: $0.135 |
| Feb 10,2020 | Feb 21,2020 | Feb 24,2020 | Feb 28,2020 | Cash dividend: $0.135 |
| Nov 12,2019 | Nov 22,2019 | Nov 25,2019 | Nov 29,2019 | Cash dividend: $0.135 |
| Aug 12,2019 | Aug 22,2019 | Aug 23,2019 | Aug 30,2019 | Cash dividend: $0.175 |
| May 13,2019 | May 22,2019 | May 23,2019 | May 31,2019 | Cash dividend: $0.175 |
| Feb 11,2019 | Feb 22,2019 | Feb 25,2019 | Feb 28,2019 | Cash dividend: $0.175 |
| Nov 08,2018 | Nov 21,2018 | Nov 23,2018 | Dec 03,2018 | Cash dividend: $0.175 |
| Aug 13,2018 | Aug 22,2018 | Aug 23,2018 | Aug 31,2018 | Cash dividend: $0.175 |
| May 10,2018 | May 22,2018 | May 23,2018 | May 31,2018 | Cash dividend: $0.175 |
| Feb 12,2018 | Feb 22,2018 | Feb 23,2018 | Feb 28,2018 | Cash dividend: $0.175 |
| Nov 09,2017 | Nov 22,2017 | Nov 24,2017 | Dec 01,2017 | Cash dividend: $0.175 |
| Aug 10,2017 | Aug 22,2017 | Aug 24,2017 | Aug 31,2017 | Cash dividend: $0.175 |
| May 10,2017 | May 22,2017 | May 24,2017 | May 31,2017 | Cash dividend: $0.175 |
| Feb 09,2017 | Feb 22,2017 | Feb 24,2017 | Feb 28,2017 | Cash dividend: $0.175 |
| Nov 10,2016 | Nov 21,2016 | Nov 23,2016 | Dec 01,2016 | Cash dividend: $0.175 |
| Aug 10,2016 | Aug 22,2016 | Aug 24,2016 | Aug 31,2016 | Cash dividend: $0.175 |
| May 10,2016 | May 20,2016 | May 24,2016 | May 31,2016 | Cash dividend: $0.175 |
| Feb 10,2016 | Feb 22,2016 | Feb 24,2016 | Feb 29,2016 | Cash dividend: $0.175 |
| Nov 10,2015 | Nov 20,2015 | Nov 24,2015 | Dec 01,2015 | Cash dividend: $0.175 |
| Aug 10,2015 | Aug 21,2015 | Aug 25,2015 | Aug 31,2015 | Cash dividend: $0.175 |
| May 11,2015 | May 21,2015 | May 26,2015 | May 29,2015 | Cash dividend: $0.172 |
| Feb 10,2015 | Feb 20,2015 | Feb 24,2015 | Feb 27,2015 | Cash dividend: $0.172 |
| Nov 10,2014 | Nov 21,2014 | Nov 25,2014 | Dec 01,2014 | Cash dividend: $0.172 |
| Aug 11,2014 | Aug 22,2014 | Aug 26,2014 | Aug 29,2014 | Cash dividend: $0.172 |
| May 12,2014 | May 22,2014 | May 27,2014 | May 30,2014 | Cash dividend: $0.170 |
| Feb 10,2014 | Feb 21,2014 | Feb 25,2014 | Feb 28,2014 | Cash dividend: $0.170 |
| Nov 11,2013 | Nov 20,2013 | Nov 22,2013 | Dec 02,2013 | Cash dividend: $0.170 |
| Aug 12,2013 | Aug 21,2013 | Aug 23,2013 | Aug 30,2013 | Cash dividend: $0.170 |
| May 09,2013 | May 22,2013 | May 24,2013 | May 31,2013 | Cash dividend: $0.165 |
| Feb 11,2013 | Feb 20,2013 | Feb 22,2013 | Feb 28,2013 | Cash dividend: $0.165 |
| Nov 12,2012 | Nov 21,2012 | Nov 26,2012 | Dec 03,2012 | Cash dividend: $0.165 |
| Aug 09,2012 | Aug 22,2012 | Aug 24,2012 | Aug 31,2012 | Cash dividend: $0.165 |
| May 10,2012 | May 22,2012 | May 24,2012 | May 31,2012 | Cash dividend: $0.160 |
| Feb 09,2012 | Feb 22,2012 | Feb 24,2012 | Feb 29,2012 | Cash dividend: $0.160 |
| Nov 11,2011 | Nov 18,2011 | Nov 22,2011 | Dec 01,2011 | Cash dividend: $0.160 |
| Aug 15,2011 | Aug 23,2011 | Aug 25,2011 | Aug 31,2011 | Cash dividend: $0.160 |
| May 13,2011 | May 20,2011 | May 24,2011 | May 31,2011 | Cash dividend: $0.155 |
| Feb 10,2011 | Feb 18,2011 | Feb 23,2011 | Feb 28,2011 | Cash dividend: $0.155 |
| Nov 11,2010 | Nov 18,2010 | Nov 22,2010 | Dec 01,2010 | Cash dividend: $0.155 |
| Aug 10,2010 | Aug 18,2010 | Aug 20,2010 | Aug 31,2010 | Cash dividend: $0.155 |
| May 10,2010 | May 19,2010 | May 21,2010 | May 28,2010 | Cash dividend: $0.150 |
| Feb 10,2010 | Feb 18,2010 | Feb 22,2010 | Feb 26,2010 | Cash dividend: $0.145 |
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