First Trust Exchange-Traded Fund II - First Trust NASDAQ Cybersecurity ETF CIBR

Dividend Summary

The next First Trust Exchange-Traded Fund II - First Trust NASDAQ Cybersecurity ETF dividend is expected to go ex in 2 months and to be paid in 3 months.
The previous First Trust Exchange-Traded Fund II - First Trust NASDAQ Cybersecurity ETF dividend was 0.29c and it went ex 17 days ago and it was paid 11 days ago.
There are typically 4 dividends per year (excluding specials).

Latest Dividends
Summary Previous dividend Next dividend
Status Paid Forecast
Type Quarterly Quarterly
Per share 0.29c Sign Up Required
Declaration date 23 Sep 2026 (Wed) 10 Dec 2026 (Thu)
Ex-div date 24 Sep 2026 (Thu) 11 Dec 2026 (Fri)
Pay date 30 Sep 2026 (Wed) 31 Dec 2026 (Thu)

Enter the number of First Trust Exchange-Traded Fund II - First Tru... shares you hold and we'll calculate your dividend payments:

Previous Payment
Next Payment
Forecast Accuracy
—
We have not made any dividend predictions for First Trust Exchange-Traded Fund II - First Trust NASDAQ Cybersecurity ETF
Dividend Yield Today
0.2%
The dividend yield is calculated by dividing the annual dividend payment by the prevailing share price
The table below shows the full dividend history for First Trust Exchange-Traded Fund II - First Trust NASDAQ Cybersecurity ETF
Status Type Decl. date Ex-div date Pay date Decl. Currency Forecast amount Decl. amount Accuracy
Forecast Quarterly 07 Dec 2028 08 Dec 2028 29 Dec 2028 USD Sign up —
Forecast Quarterly 23 Jun 2028 26 Jun 2028 30 Jun 2028 USD Sign up —
Forecast Quarterly 09 Dec 2027 10 Dec 2027 31 Dec 2027 USD Sign up —
Forecast Quarterly 24 Jun 2027 25 Jun 2027 30 Jun 2027 USD Sign up —
Forecast Quarterly 10 Dec 2026 11 Dec 2026 31 Dec 2026 USD Sign up —
Paid Quarterly 23 Sep 2026 24 Sep 2026 30 Sep 2026 USD — 0.29c
Paid Quarterly 24 Jun 2026 25 Jun 2026 30 Jun 2026 USD — 7.21c
Paid Quarterly 25 Mar 2026 26 Mar 2026 31 Mar 2026 USD — 10.98c
Paid Quarterly 11 Dec 2025 12 Dec 2025 31 Dec 2025 USD — 20.84c
Paid Quarterly 24 Sep 2025 25 Sep 2025 30 Sep 2025 USD — 0.06c
Paid Quarterly 25 Jun 2025 26 Jun 2025 30 Jun 2025 USD — 8.98c
Paid Quarterly 26 Mar 2025 27 Mar 2025 31 Mar 2025 USD — 0.43c
Paid Quarterly 12 Dec 2024 13 Dec 2024 31 Dec 2024 USD — 8.12c
Paid Quarterly 25 Sep 2024 26 Sep 2024 30 Sep 2024 USD — 1.08c
Paid Quarterly 26 Jun 2024 27 Jun 2024 28 Jun 2024 USD — 6.62c
Paid Quarterly – 21 Mar 2024 28 Mar 2024 USD — 2.37c
Paid Quarterly 21 Dec 2023 22 Dec 2023 29 Dec 2023 USD — 16.58c
Paid Quarterly 21 Sep 2023 22 Sep 2023 29 Sep 2023 USD — 0.88c
Paid Quarterly 26 Jun 2023 27 Jun 2023 30 Jun 2023 USD — 5.3c
Paid Quarterly 22 Dec 2022 23 Dec 2022 30 Dec 2022 USD — 9.54c
Paid Quarterly 23 Jun 2022 24 Jun 2022 30 Jun 2022 USD — 0.33c
Paid Quarterly 24 Mar 2022 25 Mar 2022 31 Mar 2022 USD — 2.04c
Paid Quarterly 22 Dec 2021 23 Dec 2021 31 Dec 2021 USD — 28.07c
Paid Quarterly 05 Feb 2021 24 Jun 2021 30 Jun 2021 USD — 3.3c
Paid Quarterly 23 Dec 2020 24 Dec 2020 31 Dec 2020 USD — 2.7c
Paid Quarterly 23 Sep 2020 24 Sep 2020 30 Sep 2020 USD — 3.29c
Paid Quarterly 24 Jun 2020 25 Jun 2020 30 Jun 2020 USD — 2.96c
Paid Quarterly 25 Mar 2020 26 Mar 2020 31 Mar 2020 USD — 39.9c
Paid Quarterly 12 Dec 2019 13 Dec 2019 31 Dec 2019 USD — 4.72c
Paid Quarterly 24 Sep 2019 25 Sep 2019 30 Sep 2019 USD — 0.4c
Paid Quarterly 13 Jun 2019 14 Jun 2019 28 Jun 2019 USD — 1.84c
Paid Quarterly 09 Jan 2018 18 Dec 2018 31 Dec 2018 USD — 3.94c
Paid Quarterly 09 Jan 2018 21 Jun 2018 29 Jun 2018 USD — 0.81c
Paid Quarterly 09 Jan 2018 22 Mar 2018 29 Mar 2018 USD — 0.52c
Paid Quarterly 20 Dec 2017 21 Dec 2017 29 Dec 2017 USD — 0.53c
Paid Quarterly 20 Sep 2017 21 Sep 2017 29 Sep 2017 USD — 0.74c
Paid Quarterly 21 Jun 2017 22 Jun 2017 30 Jun 2017 USD — 1.02c
Paid Quarterly 20 Dec 2016 21 Dec 2016 30 Dec 2016 USD — 2.04c
Paid Quarterly 20 Sep 2016 21 Sep 2016 30 Sep 2016 USD — 0.55c
Paid Quarterly 21 Jun 2016 22 Jun 2016 30 Jun 2016 USD — 1.47c
Paid Quarterly 22 Mar 2016 23 Mar 2016 31 Mar 2016 USD — 10.94c
Paid Quarterly 22 Dec 2015 23 Dec 2015 31 Dec 2015 USD — 10.32c
Year Amount Change
2006 0.0c —
2007 0.0c
0%
2008 0.0c
0%
2009 0.0c
0%
2010 0.0c
0%
2011 0.0c
0%
2012 0.0c
0%
2013 0.0c
0%
2014 0.0c
0%
2015 10.32c
100%
2016 15.0c
45.3%
2017 2.29c
-84.7%
2018 5.27c
130.1%
2019 6.96c
32.1%
2020 48.85c
601.9%
2021 31.37c
-35.8%
2022 11.91c
-62.0%
2023 22.76c
91.1%
2024 18.19c
-20.1%
2025 30.31c
66.6%
2026 Sign Up Required
2027 Sign Up Required
2028 Sign Up Required

First Trust Exchange-Traded Fund II Optimized Dividend Chart

The chart below shows the optimized dividends for this security over a rolling 12-month period.
Dividend Yield Today
0.2%
Optimized Yield
Sign Up Required
52 Week High
0.1% on 08 October 2026
52 Week Low
0.1% on 09 October 2026
Next Ex-Div-Date Countdown
Sign Up Required

About First Trust Exchange-Traded Fund II

Sector
Unknown
Country
United States
Share Price
$110.00 (yesterday's closing price)
Shares in Issue
173 million
Market Cap
$19.0bn
CADI
The Consecutive Annual Dividend Increases - the number of years this company has been increasing its dividends
1
Market Indices
none
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