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First Trust S&P International Dividend Aristocrats ETF FID | NASDAQ

$22.30 -$0.13 | -0.58%
SIGNAL:Signal available — unlock to view |2026-09-24 |F&G 30 |RSI 33.6

Company Overview:

Market Cap: $155.15M
Trailing PE: N/A
FWD PE: —
Payout Ratio (TTM): —
52-Week Range: $19.16 - $24.47

10 Year FID Performance Metrics:

Total Return (with DRIP): 97.5% (7.04% CAGR)
Total Return (no DRIP): 71.8% (5.56% CAGR)
Share Price: 30.6% (2.70% CAGR)
Yield on Cost (with DRIP): 5.56%
Total Invested: $10,000
Total Value (with DRIP): $19,746
Total Return $ (with DRIP): $9,746
Dividend Increase: -39.1% (-4.88% CAGR)
Dividend Yield (FWD): 2.82% ($0.63)
FID 10-yr Total Return ($10K invested)
1M 3M 6M YTD 1Y 3Y 5Y 10Y
FID Share Price
1M 3M 6M YTD 1Y 3Y 5Y 10Y All
FID Price CAGR:1Y: 13.20%2Y: 12.69%5Y: 4.94%10Y: 2.70%

FID Dividend Payments & Yield

Dividend Payments & Yield
FID Dividend CAGR:1Y: -41.03%2Y: -13.15%5Y: -0.01%10Y: -1.84%
Annual Dividends (Total Paid Per Year)
Dividend Growth Year Over Year

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FID Dividends Info:

Annual Dividend: $0.628
Forward Yield: 2.82%
Ex-Dividend Date: 2026-09-24
Lifetime Dividends / Share: $10.36

FID Dividend History: Dates, Payments & Yield list

Below is a schedule of all FID dividend payments, ex-dates, share price on the day of the payment as well as the annualized yield & forward yield

Ex-Date Payment Date Amount Yield Forward Yield Price on Ex-Date
09/24/202609/28/2026$0.1572.79%2.79%$22.53
06/25/202606/29/2026$0.3857.18%7.16%$21.51
03/26/202603/30/2026$0.0470.91%0.91%$20.49
12/12/202512/15/2025$0.3036.02%5.98%$20.28
09/25/202509/29/2025$0.1783.67%3.63%$19.68
06/26/202506/30/2025$0.3677.68%7.64%$19.22
03/27/202503/31/2025$0.0350.81%0.81%$17.25
12/13/202412/16/2024$0.2155.19%5.23%$16.46
09/26/202409/30/2024$0.1162.62%2.64%$17.56
06/27/202407/01/2024$0.3388.67%8.57%$15.77
03/21/202403/25/2024$0.0320.8%0.8%$15.83
12/22/202312/25/2023$0.2055.16%5.08%$16.12
09/22/202309/25/2023$0.1293.44%3.45%$14.97
06/27/202306/29/2023$0.3148.21%8.25%$15.21
03/24/202303/27/2023$0.0280.72%0.72%$15.41
12/23/202212/30/2022$0.1985.16%5.17%$15.32
09/23/202209/30/2022$0.1303.65%3.79%$13.74
06/24/202206/30/2022$0.3067.73%7.68%$15.96
03/25/202203/31/2022$0.0120.27%0.26%$18.38
12/23/202112/31/2021$0.2555.38%5.78%$17.69
09/23/202109/30/2021$0.1573.54%3.59%$17.52
06/24/202106/30/2021$0.2305.02%5.07%$18.15
03/25/202103/31/2021$0.0230.53%0.52%$17.64
12/24/202012/31/2020$0.2325.73%5.69%$16.26
09/24/202009/30/2020$0.1173.35%3.31%$14.15
06/25/202006/30/2020$0.2306.6%6.6%$13.97
03/26/202003/31/2020$0.0561.71%1.75%$12.81
12/13/201912/31/2019$0.2715.98%5.91%$18.37
09/25/201909/30/2019$0.1473.45%3.42%$17.17
06/14/201906/28/2019$0.2285.48%5.35%$17.08
03/21/201903/29/2019$0.0332.33%2.35%$16.77
12/18/201812/31/2018$0.22316.81%16.93%$15.81
09/14/201809/28/2018$0.0523.63%3.67%$17.07
08/21/201808/31/2018$0.0724.98%5.05%$17.07
07/20/201807/31/2018$0.0453.06%3.05%$17.57
06/21/201806/29/2018$0.1047.3%7.26%$17.23
05/22/201805/31/2018$0.1157.72%7.73%$17.86
04/20/201804/30/2018$0.0543.51%3.57%$18.01
03/22/201803/29/2018$0.16811.06%11.04%$18.25
02/21/201802/28/2018$0.0100.64%0.66%$18.29
01/23/201801/31/2018$0.0211.31%1.3%$19.43
12/21/201712/29/2017$0.0976.29%6.24%$18.63
11/21/201711/30/2017$0.1086.96%6.95%$18.64
10/20/201710/31/2017$0.0704.46%4.52%$18.59
09/21/201709/29/2017$0.0966.18%6.16%$18.70
08/22/201708/31/2017$0.0714.58%4.59%$18.46
07/21/201707/31/2017$0.0674.3%4.29%$18.64
06/22/201706/30/2017$0.0966.48%6.41%$17.95
05/23/201705/31/2017$0.1208.14%8.25%$17.46
04/21/201704/28/2017$0.0694.83%4.74%$17.43
03/23/201703/31/2017$0.0886.12%6%$17.53
02/22/201702/28/2017$0.0100.71%0.71%$17.00
01/20/201701/31/2017$0.0100.73%0.73%$16.48
12/21/201612/30/2016$0.0866.49%6.47%$15.95
11/22/201611/30/2016$0.0584.42%4.42%$15.74
10/21/201610/31/2016$0.15010.73%10.9%$16.52
09/21/201609/30/2016$0.0634.42%4.43%$17.08
08/23/201608/31/2016$0.0201.37%1.4%$17.13
07/21/201607/29/2016$0.0151.06%1.04%$17.32
06/22/201606/30/2016$0.16511.82%11.86%$16.69
05/20/201605/31/2016$0.1158.41%8.28%$16.67
04/21/201604/29/2016$0.0130.92%0.9%$17.30
03/23/201603/31/2016$0.0231.68%1.62%$17.05
02/23/201602/29/2016$0.0514.03%4.01%$15.27
01/21/201601/29/2016$0.0100.84%0.79%$15.26
12/23/201512/31/2015$0.0947.02%6.79%$16.61
11/20/201511/30/2015$0.0533.86%3.9%$16.29
10/21/201510/30/2015$0.0594.24%4.26%$16.61
09/23/201509/30/2015$0.0544.07%4.07%$15.93
08/21/201508/31/2015$0.0765.52%5.54%$16.45
07/21/201507/31/2015$0.0312.06%2.1%$17.71
06/24/201506/30/2015$0.16510.67%11.09%$17.86
05/21/201505/29/2015$0.0804.94%5.03%$19.07
02/20/201502/27/2015$0.0301.86%1.84%$19.53
12/23/201412/31/2014$0.1358.44%8.39%$19.32
11/21/201411/28/2014$0.0553.24%3.27%$20.19
10/21/201410/31/2014$0.0824.88%4.82%$20.43
09/23/201409/30/2014$0.0512.98%3%$20.39
08/21/201408/29/2014$0.0392.19%2.17%$21.55
07/22/201407/31/2014$0.1096.04%6.12%$21.36
06/24/201406/30/2014$0.1075.95%5.89%$21.81
05/21/201405/30/2014$0.0965.36%5.35%$21.55
04/22/201404/30/2014$0.1146.53%6.37%$21.49
03/25/201403/31/2014$0.0684.05%3.94%$20.71
02/21/201402/28/2014$0.0513.01%2.99%$20.50
01/22/201401/31/2014$0.0744.44%4.57%$19.43
12/18/201312/31/2013$0.54532.7%32.03%$20.42
11/21/201311/29/2013$0.0452.59%2.59%$20.83
10/22/201310/31/2013$0.0613.44%3.47%$21.09
09/20/201309/30/2013$0.0794.57%4.61%$20.58

Projected Future Returns & Dividends for FID

Based on past 10-year performance, here are FID growth metrics:

Share price CAGR of +2.7%
Dividend CAGR of -4.88%

Using FID CAGR metrics, we can estimate that your initial $10000 investment, over the next 10 years, should grow as follows:

FID (DRIP)FID - No DRIP
Current Price$22.30$22.30
Start Shares448.43448.43
Start Value$10,000$10,000
  
After 10 years:
Final Share Count549.76448.43
Dividends Payment$0.10$0.10
Annual Dividends$209$171
Yield on cost2.09%1.71%
Share Price$29.12$29.12
Total Dividends$2,524$2,272
Final Value$16,007$15,328

Estimated Future Value + Dividends - FID

NOTE: Above numbers are our estimate based on FID's Dividend and Price CAGR over past 10 years. These numbers should only be considered as "potential future returns"! DRIP assumes reinvesting dividends; No-DRIP assumes collecting dividends as cash.

We cannot guarantee that your actual returns will meet these estimates.

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Company Info

First Trust S&P International Dividend Aristocrats ETF (FID) had its IPO on 2013-08-23, and is traded on NASDAQ stock exchange.

The First Trust S&P International Dividend Aristocrats ETF (FID), formerly known as the International Multi-Asset Diversified Income Index Fund, is designed to replicate the price and yield performance of the S&P International Dividend Aristocrats Index. This objective is measured before the ETF's fees and expenses. Typically, under normal circumstances, the Fund commits a minimum of 90% of its net assets, including any investment borrowings, to the equity securities that constitute this underlying index. Employing an indexing strategy, the Fund's investment advisor aims for a high degree of alignment, specifically targeting a correlation of 0.95 or better between the ETF's performance and the Index's performance, again, prior to accounting for fees and expenses. A correlation of 1.00 would signify a perfect match.

FID website: https://www.ftportfolios.com/Retail/Etf/EtfSummary.aspx?Ticker=FID


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Loading signals…

DCF model unavailable for FID — no fundamentals on file (ETFs and funds are not modelable).