Rule 497(k)
Registration Nos. 333-210186 and 811-23147
First Trust
Exchange-Traded Fund VIII
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Ticker Symbol:
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RSJN
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Exchange:
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NYSE Arca, Inc.
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Management Fees
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0.85%
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Distribution and Service (12b-1) Fees
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0.00%
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Other Expenses(1)
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0.00%
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Total Annual Fund Operating Expenses
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0.85%
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1 Year
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3 Years
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$87
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$271
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You should only consider this investment if:
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You should not consider this investment if:
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●you fully understand the risks inherent in an investment in the
Fund;
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●you do not fully understand the risks inherent in an investment
in the Fund;
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●you desire to invest in a product with a return that depends
upon the performance of the Underlying ETF over the Target
Outcome Period;
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●you do not desire to invest in a product with a return that
depends upon the performance of the Underlying ETF over the
Target Outcome Period;
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●you are willing to hold shares for the duration of the Target
Outcome Period in order to achieve the outcomes that the
Fund seeks to provide;
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●you are unwilling to hold shares for the duration of the Target
Outcome Period in order to achieve the outcomes that the
Fund seeks to provide;
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●you fully understand that investments made when the Fund is
at or near to the cap may have limited to no upside;
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●you do not fully understand that investments made when the
Fund is at or near to the cap may have limited to no upside;
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●you are willing to forgo any gains in excess of the cap;
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●you are unwilling to forgo any gains in excess of the cap;
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●you are not seeking an investment that provides dividends to
shareholders;
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●you are seeking an investment that provides dividends to
shareholders;
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●you fully understand that investments made after the Target
Outcome Period has begun may not fully benefit from the
buffer;
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●you do not fully understand that investments made after the
Target Outcome Period has begun may not fully benefit from
the buffer;
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●you are willing to accept the risk of losing your entire
investment; and
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●you are unwilling to accept the risk of losing your entire
investment; and
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●you have visited the Fund’s website and understand the
investment outcomes available to you based upon the time of
your purchase.
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●you have not visited the Fund’s website and do not understand
the investment outcomes available to you based upon the
timing of your purchase.
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