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First Trust Specialty Finance Financial Opportunities Fund Stock (FGB) Dividend Overview

  • First Trust Specialty Finance Financial Opportunities Fund (FGB) currently pays a dividend of $0.10 per share with annual dividend yield of 9.35% and price-to-earnings ratio of -.
  • First Trust Specialty Finance Financial Opportunities Fund (FGB) pays out a dividend four times per year. Quarterly payment frequency should be carefully considered as it can affect investors’ investment strategy.
  • First Trust Specialty Finance Financial Opportunities Fund (FGB) most recent ex-dividend date occurred on November 22, 2024 with dividend payment of $0.10 per share received on December 02, 2024. Shareholders eligible for this dividend payment owned FGB stock before or on this ex-dividend date.
Ex-dividend date
11/22/2024
Annual Dividend
$0.40
Dividend Yield
9.35%
P/E Ratio
-

First Trust Specialty Finance Financial Opportunities Fund Stock (FGB) Dividend History

Table below shows the detailed dividend history of First Trust Specialty Finance Financial Opportunities Fund Stock (FGB). In 2024, the first First Trust Specialty Finance Financial Opportunities Fund’s dividend date was on February 22, 2024 with a dividend of $0.0825 per share. We recommend investors to review dividend dates and payments carefully with the aim to gain insights on the company’s strategy.
Ex/EFF Date Type Cash amount Declaration date Record date Payment date
11/22/2024 CD $0.10 11/12/2024 11/22/2024 12/02/2024
08/22/2024 CD $0.10 08/12/2024 08/22/2024 08/30/2024
05/22/2024 CD $0.10 05/13/2024 05/23/2024 05/31/2024
02/22/2024 CD $0.0825 02/12/2024 02/23/2024 02/29/2024
11/22/2023 CD $0.0825 11/13/2023 11/24/2023 12/01/2023
08/22/2023 CD $0.0825 08/10/2023 08/23/2023 08/31/2023
05/22/2023 CD $0.0825 05/10/2023 05/23/2023 05/31/2023
02/22/2023 CD $0.0825 02/13/2023 02/23/2023 02/28/2023
11/22/2022 CD $0.0825 11/10/2022 11/23/2022 12/01/2022
08/22/2022 CD $0.0825 08/10/2022 08/23/2022 08/31/2022
05/20/2022 CD $0.0825 05/10/2022 05/23/2022 05/31/2022
02/22/2022 CD $0.0825 02/10/2022 02/23/2022 02/28/2022
11/22/2021 CD $0.0825 11/10/2021 11/23/2021 12/01/2021
08/20/2021 CD $0.0825 08/10/2021 08/23/2021 08/31/2021
05/21/2021 CD $0.0825 05/10/2021 05/24/2021 05/28/2021
02/22/2021 CD $0.0825 02/10/2021 02/23/2021 02/26/2021
11/20/2020 CD $0.0825 11/10/2020 11/23/2020 12/01/2020
08/21/2020 CD $0.0825 08/10/2020 08/24/2020 08/31/2020
05/22/2020 CD $0.135 05/11/2020 05/26/2020 05/29/2020
02/21/2020 CD $0.135 02/10/2020 02/24/2020 02/28/2020
11/22/2019 CD $0.135 11/12/2019 11/25/2019 11/29/2019
08/22/2019 CD $0.175 08/12/2019 08/23/2019 08/30/2019
05/22/2019 CD $0.175 05/13/2019 05/23/2019 05/31/2019
02/22/2019 CD $0.175 02/11/2019 02/25/2019 02/28/2019
11/21/2018 CD $0.175 11/08/2018 11/23/2018 12/03/2018
08/22/2018 CD $0.175 08/13/2018 08/23/2018 08/31/2018
05/22/2018 CD $0.175 05/10/2018 05/23/2018 05/31/2018
02/22/2018 CD $0.175 02/12/2018 02/23/2018 02/28/2018
11/22/2017 CD $0.175 11/09/2017 11/24/2017 12/01/2017
08/22/2017 CD $0.175 08/10/2017 08/24/2017 08/31/2017
05/22/2017 CD $0.175 05/10/2017 05/24/2017 05/31/2017
02/22/2017 CD $0.175 02/09/2017 02/24/2017 02/28/2017
11/21/2016 CD $0.175 11/10/2016 11/23/2016 12/01/2016
08/22/2016 CD $0.175 08/10/2016 08/24/2016 08/31/2016
05/20/2016 CD $0.175 05/10/2016 05/24/2016 05/31/2016
02/22/2016 CD $0.175 02/10/2016 02/24/2016 02/29/2016
11/20/2015 CD $0.175 11/10/2015 11/24/2015 12/01/2015
08/21/2015 CD $0.175 08/10/2015 08/25/2015 08/31/2015
05/21/2015 CD $0.1725 05/26/2015 05/29/2015
02/20/2015 CD $0.1725 02/10/2015 02/24/2015 02/27/2015
11/21/2014 CD $0.1725 11/10/2014 11/25/2014 12/01/2014
08/22/2014 CD $0.1725 08/11/2014 08/26/2014 08/29/2014
05/22/2014 CD $0.17 05/12/2014 05/27/2014 05/30/2014
02/21/2014 CD $0.17 02/10/2014 02/25/2014 02/28/2014
11/20/2013 CD $0.17 11/11/2013 11/22/2013 12/02/2013
08/21/2013 CD $0.17 08/12/2013 08/23/2013 08/30/2013
05/22/2013 CD $0.165 05/09/2013 05/24/2013 05/31/2013
02/20/2013 CD $0.165 02/11/2013 02/22/2013 02/28/2013
11/21/2012 CD $0.165 11/12/2012 11/26/2012 12/03/2012
08/22/2012 CD $0.165 08/24/2012 08/31/2012
05/22/2012 CD $0.16 05/24/2012 05/31/2012
02/22/2012 CD $0.16 02/24/2012 02/29/2012
11/18/2011 CD $0.16 11/22/2011 12/01/2011
08/23/2011 CD $0.16 08/25/2011 08/31/2011
05/20/2011 CD $0.155 05/24/2011 05/31/2011
02/18/2011 CD $0.155 02/23/2011 02/28/2011
11/18/2010 CD $0.155 11/22/2010 12/01/2010
08/18/2010 CD $0.155 08/20/2010 08/31/2010
05/19/2010 CD $0.15 05/21/2010 05/28/2010
02/18/2010 CD $0.145 02/22/2010 02/26/2010
11/18/2009 CD $0.14 11/20/2009 12/01/2009
08/18/2009 CD $0.14 08/20/2009 08/31/2009
05/19/2009 CD $0.14 05/21/2009 05/29/2009
02/18/2009 CD $0.185 02/20/2009 02/27/2009
11/19/2008 CD $0.25 11/21/2008 12/01/2008
08/20/2008 CD $0.37 08/22/2008 08/29/2008
closed_end_fund_equity RVT
$16.65
price up icon 0.06%
closed_end_fund_equity USA
$7.30
price up icon 0.27%
closed_end_fund_equity CLM
$8.97
price up icon 0.67%
closed_end_fund_equity GDV
$25.59
price up icon 1.15%
closed_end_fund_equity ADX
$20.57
price up icon 0.98%
closed_end_fund_equity KYN
$13.68
price up icon 1.26%
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