WHEATON, Ill.--(BUSINESS WIRE)--First Trust Advisors L.P. today announced that the previously disclosed per share net asset values (NAV) of the First Trust Exchange-Traded Funds set forth in the table for August 24, 2015 contained errors greater than 1%. The errors resulted from a technical malfunction at our third party administrator, The Bank of New York Mellon. Fund Name Ticker Exchange CUSIP Incorrect NAV Correct NAV First Trust ISE Global Engineering and Construction In


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