First Trust Global Tactical Commodity Strategy Fund

FTGC
$28.70 (- $0.24 - 0.83%)
Last updated: 2026-08-03 20:30 UTC
Dividend Yield
2.36%
Dividend Growth
1Y +563.27%
3Y +8.65%
5YN/A
10YN/A
Next Dividend
$0.1691
Sep 02, 2026
Payout Frequency
Quarterly
Payout Ratio
N/A
TTM Dividends
$8.8142
Dividend Charts
Paid Dividends
Dividend Yield (%)
Retro Yield on Cost (%)
Recent Dividends
Pay DateEx-Div DateAmountAnnouncementTypeYield (%)Change
2026-10-03 2026-09-25 $0.1691 N/A Projected 2.34% No Change
2026-09-02 2026-08-25 $0.1691 N/A Projected 2.34% No Change
2026-06-30 2026-06-25 $0.1691 N/A Paid 2.50% -0.2402 (-58.69%)
2026-03-31 2026-03-26 $0.4093 N/A Paid 5.70% -3.2554 (-88.83%)
2025-12-31 2025-12-16 $3.6647 N/A Paid 63.10% +3.5006 (2,133.21%)
2025-09-30 2025-09-25 $0.1641 N/A Paid 2.53% +0.0132 (8.75%)
2025-06-30 2025-06-26 $0.1509 N/A Paid 2.45% +0.0092 (6.49%)
2025-03-31 2025-03-27 $0.1417 N/A Paid 2.22% -0.0429 (-23.24%)
2024-12-31 2024-12-17 $0.1846 N/A Paid 3.09% -0.0021 (-1.12%)
2024-09-30 2024-09-26 $0.1867 N/A Paid 3.15% -0.0088 (-4.50%)
2024-06-28 2024-06-27 $0.1955 N/A Paid 3.27% +0.0315 (19.21%)
2024-03-28 2024-03-21 $0.1640 N/A Paid 2.77% -0.0475 (-22.46%)
2023-12-29 2023-12-15 $0.2115 N/A Paid 3.77% +0.0240 (12.80%)
2023-09-29 2023-09-22 $0.1875 N/A Paid 3.12% -0.0017 (-0.90%)
2023-06-30 2023-06-27 $0.1892 N/A Paid 3.32% +0.0288 (17.96%)
2023-03-31 2023-03-24 $0.1604 N/A Paid 2.73% -2.3675 (-93.65%)
2022-12-30 2022-12-15 $2.5279 N/A Paid 41.29% +2.5206 (34,528.77%)
2022-06-30 2022-06-24 $0.0073 N/A Paid 0.11% -1.6549 (-99.56%)
2021-12-31 2021-12-23 $1.6622 N/A Paid 28.83% +1.5082 (979.35%)
2019-12-13 2019-12-13 $0.1540 N/A Paid 3.31% +0.0200 (14.93%)
2018-12-18 2018-12-18 $0.1340 N/A Paid 2.94% +0.1240 (1,240.00%)
2018-03-22 2018-03-22 $0.0100 N/A Paid 0.19% -0.2400 (-96.00%)
2017-12-21 2017-12-21 $0.2500 N/A Paid 4.95% +0.0810 (47.93%)
N/A 2026-06-25 $0.1690 N/A Paid 2.50% -0.2400 (-58.68%)
N/A 2026-03-26 $0.4090 N/A Paid 5.86% -3.2560 (-88.84%)
N/A 2025-12-16 $3.6650 N/A Paid 64.52% +3.5010 (2,134.76%)
N/A 2025-09-25 $0.1640 N/A Paid 2.52% +0.0130 (8.61%)
N/A 2025-06-26 $0.1510 N/A Paid 2.44% +0.0090 (6.34%)
N/A 2025-03-27 $0.1420 N/A Paid 2.24% -0.0430 (-23.24%)
N/A 2024-12-17 $0.1850 N/A Paid 3.14% -0.0020 (-1.07%)
N/A 2024-09-26 $0.1870 N/A Paid 3.16% -0.0090 (-4.59%)
N/A 2024-06-27 $0.1960 N/A Paid 3.27% +0.0320 (19.51%)
N/A 2024-03-21 $0.1640 N/A Paid 2.78% -0.0480 (-22.64%)
N/A 2023-12-15 $0.2120 N/A Paid 3.76% +0.0240 (12.77%)
N/A 2023-09-22 $0.1880 N/A Paid 3.09% -0.0010 (-0.53%)
N/A 2023-06-27 $0.1890 N/A Paid 3.33% +0.0290 (18.12%)
N/A 2023-03-24 $0.1600 N/A Paid 2.81% -2.3680 (-93.67%)
N/A 2022-12-15 $2.5280 N/A Paid 42.12% +2.5210 (36,014.29%)
N/A 2022-06-24 $0.0070 N/A Paid 0.10% -1.6550 (-99.58%)
N/A 2021-12-23 $1.6620 N/A Paid 28.95% +1.5082 (980.62%)
N/A 2019-12-13 $0.1538 N/A Paid 3.31% +0.0194 (14.43%)
N/A 2018-12-18 $0.1344 N/A Paid 2.95% +0.1249 (1,314.74%)
N/A 2018-03-22 $0.0095 N/A Paid 0.18% -0.2402 (-96.20%)
N/A 2017-12-21 $0.2497 N/A Paid 4.95%