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Smart Investors Daily
FE

NASDAQ · FEMB

First Trust Emerging Markets Local Currency Bond ETF

Financial Services · Asset Management - Bonds

$29.73

Up+$0.00 (+0.00%)

Updated Aug 25, 2026, 1:15 PM

SID Score

5.2/10

Composite research score

Smart Money

Institutional and insider signal

Market cap
286.11M
P/E ratio
Dividend yield
6.13%
52-week range
$28.30 – $30.47
Volume
25.7K
Avg. volume
87.75K

Price performance

FEMB price history

1M range · 21 trading sessions · Daily adjusted prices

FEMB closed at $29.73 after 21 trading sessions, up 2.24% for the selected period.

Last close
$29.73
Period change
+2.24%
Period low
$29.08
Period high
$29.89
Daily close
View OHLC price history
FEMB OHLC price history, latest 40 sessions
DateOpenHighLowCloseVolume
Aug 24, 2026$29.82$29.87$29.57$29.7325.7K
Aug 21, 2026$29.76$29.76$29.30$29.7321.39K
Aug 20, 2026$29.89$29.89$29.5951$29.7457.47K
Aug 19, 2026$29.59$29.94$29.5401$29.8957.22K
Aug 18, 2026$29.64$29.7449$29.4514$29.5538.34K
Aug 17, 2026$29.63$29.719$29.4401$29.58540.26K
Aug 14, 2026$29.68$29.78$29.58$29.6141.13K
Aug 13, 2026$29.82$29.82$29.5161$29.6639.98K
Aug 12, 2026$29.83$29.83$29.4957$29.6440.56K
Aug 11, 2026$29.70$29.74$29.47$29.6433.54K
Aug 10, 2026$29.83$29.83$29.5901$29.7155.15K
Aug 7, 2026$29.76$29.8799$29.645$29.82585.23K
Aug 6, 2026$29.65$29.7006$29.4277$29.595187.63K
Aug 5, 2026$29.59$29.70$29.50$29.6577.47K
Aug 4, 2026$29.48$29.68$29.45$29.52287.87K
Aug 3, 2026$29.39$29.54$29.21$29.4088.3K
Jul 31, 2026$29.40$29.419$29.11$29.34188.34K
Jul 30, 2026$29.25$29.5012$29.1101$29.3736.52K
Jul 29, 2026$29.13$29.20$29.00$29.1272.07K
Jul 28, 2026$29.08$29.2494$29.00$29.1373.98K
Jul 27, 2026$29.08$29.22$28.92$29.08152.27K

Latest FEMB news

The latest Smart Investors Daily articles mentioning FEMB.

FEMB research

Overview

Company profile and research snapshot.

Company profile

Under normal market conditions, the fund seeks to achieve its investment objective by investing at least 80% of its net assets (including investment borrowings) in bonds, notes and bills issued or guaranteed by entities incorporated or domiciled in emerging market countries (collectively, "Bonds") that are denominated in the local currency of the issuer. It is non-diversified.

Analyst outlook

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Consensus
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Implied upside
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businesswire.com · Dec 11, 2025

First Trust Advisors L.P. Announces Distributions for Exchange-Traded Funds

WHEATON, Ill.--(BUSINESS WIRE)--First Trust Advisors L.P. ("FTA") announces the declaration of distributions for 156 exchange-traded fund(s) (each a “Fund,” collectively, the “Funds”) advised by FTA. The following dates apply to today's distribution declarations:   Expected Ex-Dividend Date: December 12, 2025 Record Date: December 12, 2025 Payable Date: December 31, 2025 Ticker Exchange Fund Name Frequency Ordinary Income Per Share Amount Short-Term Capital Gain Per Share Amount Long-Term Capit.

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