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How This Company Makes Money

Dividend Analysis FSOV

Max Ratio

5Y Dividend Growth

0.00 %

Consecutive Years

2 years

Dividend History FSOV

1 year
3 years
5 years
10 years
15 years
11/21/2021 - 11/28/2021

First Trust Low Duration Global Government Bond UCITS ETF Dividends: 3.44 % Yield, History, Payment Schedule

FSOV
Current price
17.10 EUR -0.02 EUR (-0.12%)
ISIN IE00BKS2X317
Category Global Government Bond - EUR Hedged
Exchange Euronext Amsterdam
Capitalization 5 860 235 EUR
Yield for 12 month -0.47 %
1Y
3Y
5Y
10Y
15Y
FSOV
11/21/2021 - 11/28/2021

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Advanced Highlights

Total Assets

5 860 235 EUR

Net Expense Ratio

Annual Holdings Turnover

Asset HoldingFSOV

Cash

Long 141.49%
Short 125.93%
Net Assets 15.57%

The US stocks

Long -
Short -
Net Assets -

Stocks ex-US

Long -
Short -
Net Assets -

Bonds

Long 134.66%
Short 50.23%
Net Assets 84.43%

Other

Long -
Short -
Net Assets -

Breakdown FSOV

1y Volatility 1.44%
Returns YTD 3.24%
3y Volatility 2.84%
Returns 1Y 3.82%
3y ExpReturn 0.00%
Returns 3Y 2.70%
3y SharpRatio -0.04%
Returns 5Y -1.15%
Returns 10Y 0.00%

Technical Indicators FSOV

For 52 Weeks

14.11 EUR 14.82 EUR
50 Day MA 14.76 EUR
200 Day MA 14.72 EUR