First Trust Germany AlphaDEX® Fund (FGM)
Closing Market Price and NAV History
DateMarket Price1Net Asset Value2Bid/Ask MidpointVolume1Net Assets2
3/31/2023 $38.26 $38.31 $38.26 519 $15,322,279
3/30/2023 $38.24 $38.28 $38.24 694 $15,310,753
3/29/2023 $37.64 $37.41 $37.39 35 $14,963,755
3/28/2023 $36.78 $36.98 $36.92 485 $14,791,468
3/27/2023 $36.99 $36.85 $36.89 3 $14,740,523
3/24/2023 $36.32 $36.22 $36.33 2,310 $14,488,795
3/23/2023 $37.18 $37.52 $36.89 7,289 $15,009,608
3/22/2023 $37.21 $37.27 $37.34 886 $14,908,906
3/21/2023 $37.62 $37.54 $37.56 1,974 $15,014,245
3/20/2023 $36.53 $36.59 $36.57 505 $14,635,723
3/17/2023 $35.96 $35.89 $36.05 422 $14,354,502
3/16/2023 $36.64 $36.58 $36.59 1,516 $14,632,538
3/15/2023 $36.29 $36.01 $36.30 1,230 $14,404,895
3/14/2023 $38.00 $38.02 $38.01 783 $15,206,082
3/13/2023 $37.31 $37.26 $37.36 391 $14,903,836
3/10/2023 $37.93 $38.41 $38.05 28 $15,363,182
3/9/2023 $38.41 $38.54 $38.57 220 $15,417,735
3/8/2023 $39.33 $39.42 $39.46 113 $15,768,699
3/7/2023 $39.26 $39.28 $39.27 1,193 $15,712,249
3/6/2023 $40.17 $40.28 $40.18 1,739 $16,112,682
3/3/2023 $40.14 $40.04 $40.02 1,701 $16,014,688
3/2/2023 $39.08 $39.19 $39.23 13,643 $15,675,370
3/1/2023 $39.31 $39.33 $39.39 3,034 $15,732,527

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.