First Trust Preferred Securities and Income ETF (FPE)
Closing Market Price and NAV History
DateMarket Price1Net Asset Value2Bid/Ask MidpointVolume1Net Assets2
4/24/2025 $17.34 $17.29 $17.34 1,359,928 $5,619,410,692
4/23/2025 $17.26 $17.25 $17.26 2,141,452 $5,585,089,417
4/22/2025 $17.17 $17.14 $17.16 1,025,732 $5,550,507,410
4/21/2025 $17.11 $17.17 $17.10 2,529,397 $5,559,714,656
4/17/2025 $17.24 $17.20 $17.24 1,000,021 $5,570,165,394
4/16/2025 $17.16 $17.15 $17.15 1,112,082 $5,553,342,086
4/15/2025 $17.16 $17.13 $17.16 1,114,967 $5,545,921,079
4/14/2025 $17.14 $17.10 $17.12 1,466,703 $5,535,532,008
4/11/2025 $16.99 $17.01 $16.98 1,290,090 $5,508,335,785
4/10/2025 $17.08 $17.08 $17.03 2,041,178 $5,528,613,839
4/9/2025 $17.28 $17.07 $17.30 3,386,577 $5,543,853,361
4/8/2025 $16.94 $17.13 $16.93 2,612,315 $5,570,183,151
4/7/2025 $16.93 $17.08 $16.96 4,354,440 $5,593,818,731
4/4/2025 $17.22 $17.32 $17.20 3,864,408 $5,681,604,365
4/3/2025 $17.46 $17.49 $17.43 2,663,393 $5,759,874,000
4/2/2025 $17.60 $17.60 $17.60 1,022,860 $5,797,715,177
4/1/2025 $17.60 $17.59 $17.59 1,075,567 $5,794,523,471

Footnotes

1 Market prices and volume are as of the market close on the applicable date.
2 NAV and Net Asset figures are as of market close. Please note that for some funds, NAV may not be calculated every day.