First Trust Cloud Computing ETF (SKYY)
Closing Market Price and NAV History
DateMarket Price1Net Asset Value2Bid/Ask MidpointVolume1Net Assets2
7/24/2026 $131.96 $132.01 $132.00 328,530 $2,666,583,559
7/23/2026 $129.72 $129.77 $129.75 213,587 $2,653,840,330
7/22/2026 $133.19 $133.20 $133.16 212,596 $2,723,866,876
7/21/2026 $136.02 $136.05 $135.99 214,993 $2,782,294,527
7/20/2026 $136.66 $136.71 $136.70 581,678 $2,816,157,307
7/17/2026 $136.10 $136.10 $136.05 472,158 $2,803,739,561
7/16/2026 $136.38 $136.39 $136.40 236,180 $2,816,514,895
7/15/2026 $137.03 $136.94 $136.92 285,734 $2,841,607,875
7/14/2026 $139.31 $139.39 $139.36 314,807 $2,892,341,696
7/13/2026 $139.99 $139.97 $140.00 153,868 $2,904,441,850
7/10/2026 $139.77 $139.78 $139.77 281,594 $2,900,372,092
7/9/2026 $141.85 $141.90 $141.88 93,236 $2,951,563,979
7/8/2026 $138.85 $138.97 $138.92 262,154 $2,890,572,432
7/7/2026 $139.01 $139.01 $139.00 614,036 $2,849,688,926
7/6/2026 $137.56 $137.57 $137.58 123,129 $2,820,111,713
7/2/2026 $134.86 $134.98 $134.89 157,450 $2,767,048,275
7/1/2026 $136.30 $136.32 $136.34 593,802 $2,753,727,509

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.