First Trust Dividend Strength™ ETF (FTDS)
Closing Market Price and NAV History
DateMarket Price1Net Asset Value2Bid/Ask MidpointVolume1Net Assets2
5/9/2025 $50.34 $50.28 $50.34 2,020 $25,140,991
5/8/2025 $50.35 $50.27 $50.35 722 $25,132,847
5/7/2025 $49.85 $49.78 $49.83 63 $24,890,176
5/6/2025 $49.74 $49.64 $49.69 488 $24,817,964
5/5/2025 $49.83 $49.91 $49.99 893 $24,955,246
5/2/2025 $50.24 $50.21 $50.24 1,094 $25,105,482
5/1/2025 $49.31 $49.26 $49.29 79 $24,628,554

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.