Components First Trust Capital Strength ETF - USD

ETF

FTCS

US33733E1047

Delayed Nasdaq 17:52:06 29/04/2024 BST 5-day change 1st Jan Change
82.5 USD +0.35% Intraday chart for First Trust Capital Strength ETF - USD +0.28% +3.07%

Composition of First Trust Capital Strength ETF - USD

Weight
415.1 USD +1.24%-1.53%+9.24%2.25%
449.9 USD +0.24%+1.48%-0.33%2.24%
374 USD -0.55%-1.28%-4.14%2.21%
336.1 USD +0.31%-0.06%-3.07%2.20%
144.6 USD +0.82%+2.51%+12.46%2.19%
113.4 USD +1.27%+0.38%+15.73%2.18%
722.7 USD -0.89%+1.01%+9.49%2.18%
130.7 USD -2.14%-1.92%-5.20%2.14%
53.94 USD +1.08%+0.82%-6.20%2.12%
397 USD -0.11%-0.53%-2.23%2.12%
101.7 USD +0.33%+3.87%+15.36%2.11%
71.48 USD +1.23%+2.86%-1.43%2.10%
304.8 USD -1.05%-4.08%-13.24%2.09%
894.6 USD +1.29%-0.71%+1.76%2.08%
33.88 USD -0.31%-2.09%-2.24%2.07%
142.1 USD +1.32%-1.16%+1.14%2.07%
192.8 USD -0.34%-1.41%-8.05%2.06%
113.1 USD -0.20%-0.67%-10.90%2.05%
272.5 USD -0.74%+0.06%+4.67%2.05%
339.2 USD +1.07%+3.64%+13.41%2.04%
160.2 USD +0.35%-4.52%+3.44%2.04%
90.27 USD -0.81%+1.96%+12.98%2.01%
61.88 USD +0.23%+2.09%+4.90%2.01%
457.5 USD -1.07%+0.16%+7.26%2.01%
288.8 USD +1.55%-0.82%+11.26%1.99%
66.52 USD +1.69%-0.62%-17.87%1.97%
55.76 USD +0.06%+4.68%+13.87%1.96%
176 USD +0.25%-0.32%+3.56%1.94%
146.3 USD +0.09%-1.88%-6.65%1.94%
110.5 USD +0.58%+1.65%+13.45%1.92%
148.7 USD +0.78%+2.19%-5.53%1.92%
465.4 USD +0.88%+0.96%+2.77%1.89%
95.36 USD -1.04%+1.47%+1.76%1.89%
490.4 USD -1.00%-0.09%-6.78%1.88%
198.3 USD +0.19%-1.50%+4.72%1.87%
120.3 USD +0.25%-0.70%+1.07%1.87%
216.4 USD +3.61%+11.56%-16.32%1.84%
161.1 USD -0.11%+0.29%+9.87%1.83%
60.1 USD -0.10%-0.08%+14.35%1.82%
484.7 USD +0.89%+2.98%+3.60%1.78%
47.86 USD -0.01%-0.62%-5.30%1.74%
44.68 USD -0.37%-9.07%-12.91%1.70%
167 USD +0.67%+3.06%+11.88%1.66%
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ETF Ratings

Description

US33733E1047
Total Expense Ratio 0.55%
Asset Class
Sector
Size
Currency
Provider
Underlying The Capital Strength Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
05/07/2006
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 27/03/2024 )

AuM (EUR) 8,396 M€
AuM 1M 8,242 M€
AuM 3 months 8,004 M€
AuM 6 months 7,975 M€
AuM 12 months 7,775 M€
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