FCEF

FCEF

NASDAQ

First Trust Income Opportunities ETF

23.5023

0.125(0.53%)
Volume

0.0M

Market Cap

$71.40M

P/E Ratio

-

EPS

-


Price Chart

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Key Financial Ratios

P/E Ratio

-

P/B Ratio

-

EPS

-

ROE

-

Profit Margin

-

Operating Margin

-

Peer Comparison

Compare TSM with similar companies in the sector

Company Price Change % P/E Market Cap D/E
AGQI
First Trust Active Global Quality Income ETF
$17.64 0.59% - $55.50M -
DIVL
Madison Dividend Value ETF
$24.74 0.57% - $61.09M -
EASG
Xtrackers MSCI EAFE Selection Equity ETF
$37.90 1.42% - $62.71M -
GTR
WisdomTree Target Range Fund
$26.47 0.90% - $64.34M -
HYIN
WisdomTree Private Credit & Alternative Income Fund
$15.23 1.74% - $54.83M -
PFI
Invesco Dorsey Wright Financial Momentum ETF
$58.53 1.30% - $58.69M -
RDFI
Rareview Dynamic Fixed Income ETF
$23.93 0.44% - $64.00M -
RSEE
Rareview Systematic Equity ETF
$36.75 1.82% - $60.18M -
SAGP
Strategas Global Policy Opportunities ETF
$36.16 1.16% - $60.15M -
TRND
Pacer Trendpilot Fund of Funds ETF
$35.13 1.42% - $53.74M -

* Peer stocks are selected based on market capitalization and sector

Private Notes

Key Statistics

52 Week High

$23.89

52 Week Low

$20.12

Dividend

-

Dividend Yield

-

About First Trust Income Opportunities ETF

The First Trust Income Opportunities ETF (formerly First Trust CEF Income Opportunity ETF) (the "Fund") seeks to provide current income with a secondary emphasis on total return. Under normal market conditions, the Fund seeks to achieve its investment objectives by investing in a portfolio of closed-end investment companies ("closed-end funds") and exchange-traded funds ("ETFs") that are listed and traded in the United States on registered exchanges. Closed-end funds and ETFs are managed registered investment companies which invest in various types of securities. Both closed-end funds and ETFs trade on a securities exchange and their shares may, at times, trade at a premium or discount to their net asset value. As a shareholder in a pooled investment vehicle, the Fund will bear its ratable share of an underlying fund's expenses and would remain subject to payment of the underlying fund's advisory and administrative fees with respect to assets so invested.