First Trust Smith Opportunistic Fixed Income ETF (FIXD) Price

First Trust Smith Opportunistic Fixed Income ETF Price

42.26
-0.16 (-0.38 %)
TER0.65 %
AUM3.04 B USD
Holdings407
CurrencyUSD
Funds Launch2/14/2017

First Trust Smith Opportunistic Fixed Income ETF Price

Details

Stock Price

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First Trust Smith Opportunistic Fixed Income ETF Stock Price History
DateFirst Trust Smith Opportunistic Fixed Income ETF Price
9/18/202642.26 USD
9/17/202642.42 USD
9/16/202642.18 USD
9/15/202642.20 USD
9/14/202642.22 USD
9/11/202642.28 USD
9/10/202642.31 USD
9/9/202642.58 USD
9/8/202642.71 USD
9/4/202642.73 USD
9/3/202642.73 USD
9/2/202642.68 USD
9/1/202642.63 USD
8/31/202642.82 USD
8/28/202642.87 USD
8/27/202642.96 USD
8/26/202642.98 USD
8/25/202643.05 USD
8/24/202642.84 USD
8/21/202642.75 USD
8/20/202642.97 USD
8/19/202643.14 USD
8/18/202642.92 USD
8/17/202642.89 USD
8/14/202642.98 USD
8/13/202643.09 USD
8/12/202642.95 USD
8/10/202642.93 USD
8/7/202643.08 USD
8/6/202642.99 USD
Access this data via the Eulerpool API

Performance

1W+0.09 %
1M-1.13 %
3M-3.10 %
YTD-4.56 %

First Trust Smith Opportunistic Fixed Income ETF Profile

Der First Trust TCW Opportunistic Fixed Income ETF ist ein Exchange Traded Fund (ETF), der eine Anlage in festverzinsliche Wertpapiere ermöglicht. Doch wie ist der ETF entstanden und wie hat er sich entwickelt?

Die Entstehung des First Trust TCW Opportunistic Fixed Income ETF geht zurück bis ins Jahr 2013. Damals schlossen sich die beiden Unternehmen First Trust Advisors und TCW zusammen, um gemeinsam einen neuen ETF auf den Markt zu bringen. Ziel war es, Anlegern eine Möglichkeit zu bieten, in eine Vielzahl von festverzinslichen Anlagen mit unterschiedlichen Risiko- und Renditeprofilen zu investieren.

Seitdem hat sich der ETF kontinuierlich weiterentwickelt. Heute ist er ein wichtiger Vertreter in der Anlageklasse der festverzinslichen ETFs und bietet Anlegern eine breite Diversifikation über verschiedene Branchen und Emittenten hinweg. Dabei werden Anlagen in High Yield Anleihen genauso wie in Investment Grade Anleihen getätigt. Der Fokus liegt dabei darauf, die besten Gelegenheiten am Markt zu nutzen und Gewinne zu erzielen.

Welche Inhalte stecken nun im First Trust TCW Opportunistic Fixed Income ETF? Im Fondsportfolio befinden sich Anleihen aus der ganzen Welt, was auch das Risiko des Fonds reduziert. Dabei sind sowohl Unternehmens- als auch Staatsanleihen enthalten, was zusätzlich zur Diversifikation des Portfolios beiträgt. Es werden jedoch vorwiegend US-Anleihen bevorzugt, um das Währungsrisiko so gering wie möglich zu halten.

Zudem werden im Rahmen der Anlagestrategie auch Derivate eingesetzt, um das Risiko des Fonds weiter zu minimieren und Gewinne zu erzielen. Der Fondsmanager wählt gezielt Anlagen aus, die eine höhere Rendite als vergleichbare Anleihen auf dem Markt bieten. Dabei wird jedoch ein breites Spektrum an Emittenten und Branchen berücksichtigt, um das Risiko zu diversifizieren.

In welche Anlageklasse passt der First Trust TCW Opportunistic Fixed Income ETF? Festverzinsliche ETFs gehören zu den sichereren Anlageoptionen im Vergleich zu Aktien-ETFs, da sie in der Regel ein geringeres Risiko aufweisen. Der First Trust TCW Opportunistic Fixed Income ETF folgt jedoch einer opportunen Anlagestrategie und kann somit auch höhere Renditen erzielen als vergleichbare, konservativer ausgerichtete festverzinsliche ETFs. Bei einer Aufteilung des Portfolios kann der ETF in eine konservative bis moderate Strategie eingeordnet werden.

Im Hinblick auf die Kosten ist der First Trust TCW Opportunistic Fixed Income ETF eher im gehobenen Bereich angesiedelt. Allerdings sind die Kosten vergleichbar mit anderen aktiv gemanagten Fonds und damit noch innerhalb eines vertretbaren Rahmens.

Insgesamt ist der First Trust TCW Opportunistic Fixed Income ETF ein interessanter Anlageoption für Anleger, die in festverzinsliche Anlagen investieren möchten. Das breite Portfolio, das weltweit in verschiedene Branchen und Emittenten investiert, minimiert das Anlagerisiko und verspricht gleichzeitig vergleichsweise hohe Erträge. Die Kombination aus aktivem Depotmanagement und opportunem Portfoliomanagement macht den ETF zu einer interessanten Anlageoption für konservative bis moderate Anleger.

ETF Holdings by Sector

ETF Sector Allocation
SectorDistribution
Cash & Others
99.74 %
Utility company
0.19 %
Financial sector
0.07 %

ETF Holdings by Country

Distribution of the ETF by countries
CountryDistribution
United States of America
73.89 %
Other
21.87 %
Canada
1.53 %
Switzerland
0.63 %
Cayman Islands
0.59 %
United Kingdom of Great Britain and Northern Ireland
0.38 %
Saudi Arabia
0.37 %
Denmark
0.36 %
Ireland
0.27 %
France
0.11 %

First Trust Smith Opportunistic Fixed Income ETF List of Holdings

Top 1027.92 %
U.S. Treasury Note, 4.375%, due 05/15/2036
U.S. Treasury Note, 4.375%, due 05/15/2036
5.18 %
U.S. Treasury Bond, 5.125%, due 08/15/2046
U.S. Treasury Bond, 5.125%, due 08/15/2046
4.87 %
U.S. Treasury Note, 4.625%, due 08/15/2036
U.S. Treasury Note, 4.625%, due 08/15/2036
4.07 %
U.S. Treasury Bond, 5.125%, due 08/15/2056
U.S. Treasury Bond, 5.125%, due 08/15/2056
3.99 %
U.S. Treasury Bond, 5%, due 05/15/2056
U.S. Treasury Bond, 5%, due 05/15/2056
2.84 %
U.S. Treasury Note, 4.125%, due 10/31/2029
U.S. Treasury Note, 4.125%, due 10/31/2029
2.28 %
U.S. Treasury Bond, 5%, due 05/15/2046
U.S. Treasury Bond, 5%, due 05/15/2046
1.71 %
U.S. Treasury Note, 4.125%, due 08/31/2028
U.S. Treasury Note, 4.125%, due 08/31/2028
1.21 %
THE BOEING CO 7.008%, due 05/01/2064
THE BOEING CO 7.008%, due 05/01/2064
0.93 %
GILDAN ACTIVEWEAR INC 5.40%, due 10/07/2035
GILDAN ACTIVEWEAR INC 5.40%, due 10/07/2035
0.86 %
eulerpool
407 Holdings
CompanyShare
U.S. Treasury Note, 4.375%, due 05/15/2036
U.S. Treasury Note, 4.375%, due 05/15/2036
5.18 %
U.S. Treasury Bond, 5.125%, due 08/15/2046
U.S. Treasury Bond, 5.125%, due 08/15/2046
4.87 %
U.S. Treasury Note, 4.625%, due 08/15/2036
U.S. Treasury Note, 4.625%, due 08/15/2036
4.07 %
U.S. Treasury Bond, 5.125%, due 08/15/2056
U.S. Treasury Bond, 5.125%, due 08/15/2056
3.99 %
U.S. Treasury Bond, 5%, due 05/15/2056
U.S. Treasury Bond, 5%, due 05/15/2056
2.84 %
U.S. Treasury Note, 4.125%, due 10/31/2029
U.S. Treasury Note, 4.125%, due 10/31/2029
2.28 %
U.S. Treasury Bond, 5%, due 05/15/2046
U.S. Treasury Bond, 5%, due 05/15/2046
1.71 %
U.S. Treasury Note, 4.125%, due 08/31/2028
U.S. Treasury Note, 4.125%, due 08/31/2028
1.21 %
THE BOEING CO 7.008%, due 05/01/2064
THE BOEING CO 7.008%, due 05/01/2064
0.93 %
GILDAN ACTIVEWEAR INC 5.40%, due 10/07/2035
GILDAN ACTIVEWEAR INC 5.40%, due 10/07/2035
0.86 %
U.S. Treasury Note, 4.375%, due 08/31/2031
U.S. Treasury Note, 4.375%, due 08/31/2031
0.82 %
U.S. Treasury Bond, 1.625%, due 11/15/2050
U.S. Treasury Bond, 1.625%, due 11/15/2050
0.78 %
U.S. Treasury Note, 4.375%, due 07/31/2031
U.S. Treasury Note, 4.375%, due 07/31/2031
0.77 %
FIRST CITIZENS BANCSHARES Variable rate, due 03/12/2040
FIRST CITIZENS BANCSHARES Variable rate, due 03/12/2040
0.73 %
Fannie Mae FN FA4541, 5%, due 02/01/2056
Fannie Mae FN FA4541, 5%, due 02/01/2056
0.71 %
ALBERTSONS COS/SAFEWAY 6.50%, due 02/15/2028
ALBERTSONS COS/SAFEWAY 6.50%, due 02/15/2028
0.69 %
GNMA G2 MA8347, 4.50%, due 10/20/2052
GNMA G2 MA8347, 4.50%, due 10/20/2052
0.65 %
GNMA G2 788648, 2%, due 12/20/2052
GNMA G2 788648, 2%, due 12/20/2052
0.64 %
Freddie Mac FN SD8491, 5%, due 12/01/2054
Freddie Mac FN SD8491, 5%, due 12/01/2054
0.63 %
Freddie Mac FR SD7553, 3%, due 03/01/2052
Freddie Mac FR SD7553, 3%, due 03/01/2052
0.61 %
VF CORP 2.95%, due 04/23/2030
VF CORP 2.95%, due 04/23/2030
0.61 %
Freddie Mac FR SD1657, 2.50%, due 02/01/2052
Freddie Mac FR SD1657, 2.50%, due 02/01/2052
0.56 %
THE BOEING CO 6.528%, due 05/01/2034
THE BOEING CO 6.528%, due 05/01/2034
0.56 %
Freddie Mac FR SD3012, 3%, due 05/01/2052
Freddie Mac FR SD3012, 3%, due 05/01/2052
0.55 %
TRANSDIGM INC TDG TL J 1L USD
TRANSDIGM INC TDG TL J 1L USD
0.55 %
1 / 17

Frequently asked questions about First Trust Smith Opportunistic Fixed Income ETF

First Trust Smith Opportunistic Fixed Income ETF is offered by First Trust, a leading player in the field of passive investments.

The ISIN of First Trust Smith Opportunistic Fixed Income ETF is US33740F8059.

The total expense ratio of First Trust Smith Opportunistic Fixed Income ETF is 0.65%, which means that investors pay 65.00 USD per 10,000 USD in investment capital annually.

The ETF is listed in USD.

European investors may incur additional costs for currency exchange and transaction fees.

No, First Trust Smith Opportunistic Fixed Income ETF does not comply with the EU UCITS investor protection directives.

The ETF invests in various sectors, with focuses on Cash & Others, Utility company, Financial sector.

United States of America has the largest stake in First Trust Smith Opportunistic Fixed Income ETF.

The current average trading volume of First Trust Smith Opportunistic Fixed Income ETF is 357,583.00.

First Trust Smith Opportunistic Fixed Income ETF is domiciled in US.

The fund was launched on 2/14/2017.

The First Trust Smith Opportunistic Fixed Income ETF mainly invests in Wide credit companies.

The NAV of First Trust Smith Opportunistic Fixed Income ETF amounts to 42.32 USD.

Investments can be made through brokers or financial institutions that provide access to trading ETFs.

The ETF is traded on the stock exchange, similar to stocks.

Yes, the ETF can be held in a regular securities account.

The ETF is suitable for both short-term and long-term investment strategies, depending on the investor's goals.

The ETF is valued on a daily stock exchange basis.

Information on dividends should be requested from the provider's website or your broker.

The risks include market fluctuations, currency risks, and the risk associated with smaller companies.

The ETF is obligated to report regularly and transparently on its investments.

The performance can be viewed on Eulerpool or directly on the provider's website.

Further information can be found on the official website of the provider.

ETF profile

First Trust Smith Opportunistic Fixed Income ETF

Symbol
ISIN
CUSIP
Investment SegmentWide credit
EulerpoolFirst Trust
Managed Assets3.04 B USD
Average Volume357,583
DomicileUS
Funds Launch2/14/2017
CurrencyUSD
Total Expense Ratio (TER)0.65 %
NAV (Net Asset Value)42.32 USD
P/B
P/E

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