As of May 30, 2025
First Trust Dow Jones STOXX Select Dividend 30 Index Fund (ARCA: FDD)
Ticker | Name | Share % | |
---|---|---|---|
LN | Taylor Wimpey Plc | 5.30% | |
ABN | Abn Amro Bank Nv-cva /eur/ | 4.48% | |
AS | Nn Group Nv - Common | 4.01% | |
PL | Polski Koncern Naftowy Orlen S.A. | 3.45% | |
ST | Tele2 Ab (Class B) | 3.81% | |
BR | Ageas Sa/Nv | 3.70% | |
PA | Rubis Group | 3.74% | |
OS | Aker Bp Asa | 5.32% | |
CO | AP Moeller - Maersk A/S A | 3.77% | |
BE | Volkswagen Ag Participating Preferred | 3.49% | |
MI | Poste Italiane Spa | 3.57% |
The FDD ETF is currently trading at $15.37, which represents a -0.13% change. Over the past 52 weeks, the ETF has traded as high as $15.46 and as low as $10.99.
The expense ratio of FDD is 0.59%. This represents the annual fee that all funds or ETFs charge their shareholders.
The total Assets Under Management (AUM) for FDD is 508.05M. This represents the total market value of the assets managed by the ETF.
FDD follows a Large Cap Value investment style.
The top holdings of FDD include: LN (5.3%), ABN (4.48%), AS (4.01%), PL (3.45%), ST (3.81%). These represent the largest positions in the ETF's portfolio.
Average daily volume data for FDD is currently not available.