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The Board of Trustees of First Trust Enhanced Equity Income Fund (the "Fund") (NYSE:FFA), CUSIP 337318109, previously approved a managed distribution policy for the Fund (the "Managed Distribution Plan") in reliance on exemptive relief received from the Securities and Exchange Commission which permits the Fund to make periodic distributions of long-term capital gains more frequently than otherwise permitted with respect to its common shares subject to certain conditions. The Fund has declared a distribution payable on June 30, 2025, to shareholders of record as of June 23, 2025, with an ex-dividend date of June 23, 2025. This Notice is meant to provide you information about the sources of
First Trust Enhanced Equity Income Fund (the "Fund") (NYSE:FFA) has declared the Fund's regularly scheduled quarterly distribution of $0.35 per share. The distribution will be payable on June 30, 2025, to shareholders of record as of June 23, 2025. The ex-dividend date is expected to be June 23, 2025. The quarterly distribution information for the Fund appears below. First Trust Enhanced Equity Income Fund (FFA): Distribution per share: $0.35 Distribution Rate based on the June 9, 2025 NAV of $21.02: 6.66% Distribution Rate based on the June 9, 2025 closing market price of $19.95: 7.02% The Fund's Board of Trustees has ap
The Board of Trustees of First Trust Enhanced Equity Income Fund (the "Fund") (NYSE:FFA), CUSIP 337318109, previously approved a managed distribution policy for the Fund (the "Managed Distribution Plan") in reliance on exemptive relief received from the Securities and Exchange Commission which permits the Fund to make periodic distributions of long-term capital gains more frequently than otherwise permitted with respect to its common shares subject to certain conditions. The Fund has declared a distribution payable on March 31, 2025, to shareholders of record as of March 24, 2025, with an ex-dividend date of March 24, 2025. This Notice is meant to provide you information about the sources
3 - FIRST TRUST ENHANCED EQUITY INCOME FUND (0001291334) (Issuer)
5 - FIRST TRUST ENHANCED EQUITY INCOME FUND (0001291334) (Issuer)
4 - FIRST TRUST ENHANCED EQUITY INCOME FUND (0001291334) (Issuer)
N-CSR - FIRST TRUST ENHANCED EQUITY INCOME FUND (0001291334) (Filer)
N-CEN - FIRST TRUST ENHANCED EQUITY INCOME FUND (0001291334) (Filer)
N-CSRS - FIRST TRUST ENHANCED EQUITY INCOME FUND (0001291334) (Filer)
SC 13G/A - FIRST TRUST ENHANCED EQUITY INCOME FUND (0001291334) (Subject)
SC 13G/A - FIRST TRUST ENHANCED EQUITY INCOME FUND (0001291334) (Subject)
SC 13G/A - FIRST TRUST ENHANCED EQUITY INCOME FUND (0001291334) (Subject)
The Board of Trustees of First Trust Enhanced Equity Income Fund (the "Fund") (NYSE:FFA), CUSIP 337318109, previously approved a managed distribution policy for the Fund (the "Managed Distribution Plan") in reliance on exemptive relief received from the Securities and Exchange Commission which permits the Fund to make periodic distributions of long-term capital gains more frequently than otherwise permitted with respect to its common shares subject to certain conditions. The Fund has declared a distribution payable on June 30, 2025, to shareholders of record as of June 23, 2025, with an ex-dividend date of June 23, 2025. This Notice is meant to provide you information about the sources of
First Trust Enhanced Equity Income Fund (the "Fund") (NYSE:FFA) has declared the Fund's regularly scheduled quarterly distribution of $0.35 per share. The distribution will be payable on June 30, 2025, to shareholders of record as of June 23, 2025. The ex-dividend date is expected to be June 23, 2025. The quarterly distribution information for the Fund appears below. First Trust Enhanced Equity Income Fund (FFA): Distribution per share: $0.35 Distribution Rate based on the June 9, 2025 NAV of $21.02: 6.66% Distribution Rate based on the June 9, 2025 closing market price of $19.95: 7.02% The Fund's Board of Trustees has ap
The Board of Trustees of First Trust Enhanced Equity Income Fund (the "Fund") (NYSE:FFA), CUSIP 337318109, previously approved a managed distribution policy for the Fund (the "Managed Distribution Plan") in reliance on exemptive relief received from the Securities and Exchange Commission which permits the Fund to make periodic distributions of long-term capital gains more frequently than otherwise permitted with respect to its common shares subject to certain conditions. The Fund has declared a distribution payable on March 31, 2025, to shareholders of record as of March 24, 2025, with an ex-dividend date of March 24, 2025. This Notice is meant to provide you information about the sources