FT Vest TSLA & Target Income ETF (XVTS)
Closing Market Price and NAV History
Date
Market Price
1
Net Asset Value
2
Bid/Ask Midpoint
Volume
1
Net Assets
2
10/2/2026
$32.69
$32.68
$32.75
9,442
$3,267,906
10/1/2026
$31.29
$31.23
$31.29
575
$3,122,782
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.
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