FT Cboe Vest Gold Target Income ETF
Symbol
IGLD
Price
$19.09
Exchange
AMEX
Industry
Asset Management - Income
Dividend Yield
18.78%
Ex-Dividend Date
01-02-2025
Dividend Details
Ex-Dividend Date | Amount | Dividend Yield | Payment Date |
---|---|---|---|
01.02.2025 | $0.1138 | 0.60% | 01.03.2025 |
12.02.2024 | $2.4043 | 11.21% | 12.03.2024 |
11.01.2024 | $0.1438 | 0.65% | 11.04.2024 |
10.01.2024 | $0.1393 | 0.65% | 10.02.2024 |
09.03.2024 | $0.1448 | 0.69% | 09.04.2024 |
08.01.2024 | $0.1426 | 0.69% | 08.02.2024 |
07.01.2024 | $0.1388 | 0.69% | 07.02.2024 |
06.03.2024 | $0.1405 | 0.70% | 06.04.2024 |
05.01.2024 | $0.1403 | 0.71% | 05.03.2024 |
04.01.2024 | $0.1359 | 0.69% | 04.03.2024 |
03.01.2024 | $0.132 | 0.70% | 03.05.2024 |
02.01.2024 | $0.132 | 0.70% | 02.05.2024 |
01.02.2024 | $0.1339 | 0.70% | 01.04.2024 |
12.01.2023 | $0.1331 | 0.70% | 12.05.2023 |
11.01.2023 | $0.1312 | 0.70% | 11.03.2023 |
10.02.2023 | $0.1277 | 0.71% | 10.04.2023 |
09.01.2023 | $0.1334 | 0.70% | 09.06.2023 |
08.01.2023 | $0.1348 | 0.70% | 08.03.2023 |
07.03.2023 | $0.127 | 0.66% | 07.06.2023 |
06.01.2023 | $0.1383 | 0.70% | 06.05.2023 |
05.01.2023 | $0.119 | 0.60% | 05.03.2023 |
04.03.2023 | $0.1186 | 0.60% | 04.05.2023 |
03.01.2023 | $0.1183 | 0.63% | 03.03.2023 |
02.01.2023 | $0.123 | 0.62% | 02.03.2023 |
01.03.2023 | $0.1053 | 0.55% | 01.05.2023 |
12.01.2022 | $0.109 | 0.58% | 12.05.2022 |
11.01.2022 | $0.096 | 0.54% | 11.03.2022 |
10.03.2022 | $0.084 | 0.46% | 10.05.2022 |
09.01.2022 | $0.083 | 0.44% | 09.06.2022 |
08.01.2022 | $0.083 | 0.43% | 08.03.2022 |
07.01.2022 | $0.068 | 0.34% | 07.06.2022 |
06.01.2022 | $0.059 | 0.29% | 06.03.2022 |
05.02.2022 | $0.058 | 0.28% | 05.04.2022 |
04.01.2022 | $0.055 | 0.26% | 04.05.2022 |
03.01.2022 | $0.052 | 0.25% | 03.03.2022 |
02.01.2022 | $0.05 | 0.25% | 02.03.2022 |
12.01.2021 | $0.052 | 0.26% | 12.03.2021 |
11.01.2021 | $0.05 | 0.26% | 11.03.2021 |
10.01.2021 | $0.049 | 0.25% | 10.05.2021 |
09.01.2021 | $0.051 | 0.25% | 09.03.2021 |
08.02.2021 | $0.051 | 0.27% | 08.04.2021 |
07.01.2021 | $0.05 | 0.25% | 07.06.2021 |
06.01.2021 | $0.054 | 0.28% | 06.03.2021 |
05.03.2021 | $0.051 | 0.27% | 05.05.2021 |
04.01.2021 | $0.049 | 0.25% | 04.06.2021 |
Holdings
Name | Weight (%) |
---|---|
U.S. Treasury Bill, 0%, due 11/28/2025 | 76.087% |
2025-11-28 SPDR Gold Trust P 367.50 | 22.602% |
2025-01-31 SPDR Gold Trust C 242.13 | 0.798% |
US Dollar | 0.323% |
2025-11-28 SPDR Gold Trust C 367.50 | 0.19% |