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First Trust US Equity Opportunities ETF

FPXARCA
Benzinga Data가 제공하는 로고
$126.18
1.741.40%
가까이에: -
$99.75
-26.43-20.95%
시간외: Sep 5, 4:24 PM EDT
Sector
Technology
Region
US
AUM
682.87M
Fund Score

First Trust US Equity Opportunities ETF (ARCA:FPX) 시세 및 뉴스 요약

First Trust US Equity Opportunities ETF (ARCA: FPX) 주가, 뉴스, 차트, 주식 조사, 프로필.

개장가$124.94
고가$127.11
52주 최고가$126.25
운용자산682.87M
배당$0.22
배당락일3월 21, 2024
거래량39.31K
시가 총액$41.89B
관리 수수료0.4%
P/E 비율28.43
전일 종가$124.44
저가$124.93
52주 최저가$85.99
발행 주식7.30M
수익률0.22%
배당금 지급시기분기별
평균 일일 볼륨15.90K
베타1.16
평균 비용 비율0.59%
P/B 비율4.87

FAQ

Q

First Trust US Equity Opportunities ETF (FPX) 주식을 어떻게 사나요?

A

당신은 어떤 온라인 중개업체를 통해 ARCA:FPX 주식을 구매할 수 있습니다.

우리의 최고의 주식 중개업체 목록을 확인하세요.

Q

First Trust US Equity Opportunities ETF (FPX)의 경쟁자는 누구인가요?

A

First Trust US Equity Opportunities ETF에 대한 경쟁사가 없습니다.

Q

First Trust US Equity Opportunities ETF (FPX) 주식의 예측 또는 목표 가격은 무엇입니까?

A

합의된 목표 가격을 제공하기 위한 First Trust US Equity Opportunities ETF에 대한 분석은 없습니다.

Q

현재 First Trust US Equity Opportunities ETF (FPX) 주가가 얼마인가요?

A

First Trust US Equity Opportunities ETF (ARCA: FPX)의 주식 가격은 마지막으로 2024년 9월 5일 오후 4:24 GMT-4에 업데이트된 $99.75입니다.

Q

First Trust US Equity Opportunities ETF (FPX)는 배당금을 지급하나요?

A

A Class A Common Stock의 주당 분기별 현금 배당금은 0.01입니다. 분기별 현금 배당금은 3월 21, 2024에 기록한 주주들에게 3월 28, 2024에 지급되었습니다.

Q

First Trust US Equity Opportunities ETF (ARCA:FPX)의 실적 발표는 언제인가요?

A

First Trust US Equity Opportunities ETF에 대한 예정된 다가오는 실적이 없습니다.

Q

First Trust US Equity Opportunities ETF (FPX)는 분할될 예정인가요?

A

First Trust US Equity Opportunities ETF에는 예정된 분할이 없습니다.

개장가$124.94
고가$127.11
52주 최고가$126.25
운용자산682.87M
배당$0.22
배당락일3월 21, 2024
거래량39.31K
시가 총액$41.89B
관리 수수료0.4%
P/E 비율28.43
전일 종가$124.44
저가$124.93
52주 최저가$85.99
발행 주식7.30M
수익률0.22%
배당금 지급시기분기별
평균 일일 볼륨15.90K
베타1.16
평균 비용 비율0.59%
P/B 비율4.87
ETF Details
SectorTechnology
CategoryMid Performer-Mid Growth
Investment StyleLarge Cap Growth
Fund Inception4월 12, 2006
Managers
Stan Ueland
Roger F. Testin
Chris A. Peterson
Daniel J. Lindquist
Jon C. Erickson
Erik Russo
David G. McGarel
DefinitionMost of the stocks in this Equity Fund have average financial performance and average growth potential
Investment Policy
The Fund will normally invest at least 90% of its net assets (including investment borrowings) in the securities that comprise the Index. The Fund, using an indexing investment approach, attempts to replicate, before fees and expenses, the performance of the Index. The Index is developed, maintained and sponsored by IPOX Schuster LLC (the Index Provider). Solactive serves as the index calculation agent. It is the sole responsibility of the Index Provider to decide on all matters relating to the Index methodology and Index constituent selection. The Index Provider may make exceptions to the Index methodology regarding constituent inclusion, exclusion and weighting. The Index seeks to measure the performance of equity securities of the 100 typically largest and most liquid initial public offerings (IPOs) (including spin-offs and equity carve-outs) of U.S. companies. An IPO is a public offering in which the shares of stock in a company are sold to the general public for the first time on an exchange. The Index measures the performance of a companys equity securities for the 1,000 trading days following its IPO. According to the Index Provider, a company is eligible for inclusion in the Index on the close of the 6th trading day following its IPO and is eligible to remain in the Index until the close of the 1,000th trading day. The IPOX Global Composite Index (the Base Index) serves as the initial universe for the Index. The Base Index is a market capitalization-weighted index which seeks to provide exposure to the aftermarket performance of the U.S. IPO market. Securities must meet the size and float standards of the Index. Additionally, companies that experience abnormally large underpricing in their IPO are not eligible for inclusion in the Base Index. According to the Index Provider, the Index is selected by first excluding all securities comprising the Base Index that are issued by non-U.S. companies. The remaining securities are then ranked according to market capitalization. The 100 securities with the largest market capitalizations are included in the Index. While the Index is market-capitalization weighted, individual securities are capped at a weight of 10%. The Index may contain the securities of small, mid and large capitalization companies.
Top ETF Holdings
SymbolNameShare %
REGNRegeneron Parmaceutica...10.1%
CARRCarrier Global Corp7.33%
ABNBAirbnb Inc5.51%
IOTSamsara Inc, Class A5.43%
OTISOtis Worldwide Corpora...3.62%
DASHDoordash Inc - Class A...3.17%
PLTRPalantir Technologies ...2.86%
CEGConstellation Energy C...2.86%
DKNGDraftKings Inc2.38%
KVUEKenvue Inc2.23%