Energy: 20.68%
Utilities: 2.98%
Healthcare: 0.13%
Technology: 1.04%
Industrials: 4.08%
Real Estate: 41.75%
Basic Materials: 6.68%
Consumer Cyclical: 5.34%
Consumer Defensive: 2.16%
Financial Services: 8.62%
Communication Services: 6.54%
China: 5.38%
Other: 7.12%
Spain: 1.81%
Brazil: 9.21%
Canada: 1.95%
France: 0.89%
Greece: 0.90%
Israel: 2.78%
Norway: 3.08%
Turkey: 1.65%
Bermuda: 3.53%
Colombia: 0.78%
Australia: 1.14%
Hong Kong: 14.02%
Indonesia: 2.31%
Singapore: 2.53%
Luxembourg: 3.14%
New Zealand: 0.96%
South Africa: 4.71%
United States: 22.49%
United Kingdom: 9.63%
Russian Federation: 0.00%
The fund invests at least 80% of its total assets in the securities of the underlying index and in American Depositary Receipts ("ADRs") and Global Depositary Receipts ("GDRs") based on the securities in the underlying index. The underlying index tracks the performance of 100 equally-weighted companies that rank among the highest dividend yielding equity securities in the world, including emerging market countries.
10.77%
2.32 USD
July 3, 2025
Year | Total Dividends |
---|---|
2026 | 1.07 USD |
June 11, 2026 (estimated) | 0.1719 |
May 13, 2026 (estimated) | 0.1746 |
April 12, 2026 (estimated) | 0.1744 |
March 11, 2026 (estimated) | 0.1832 |
Feb. 13, 2026 (estimated) | 0.1786 |
Jan. 8, 2026 (estimated) | 0.1922 |
2025 | 2.22 USD |
Dec. 13, 2025 (estimated) | 0.1775 |
Nov. 12, 2025 (estimated) | 0.1720 |
Oct. 13, 2025 (estimated) | 0.1703 |
Sept. 14, 2025 (estimated) | 0.1690 |
Aug. 12, 2025 (estimated) | 0.1699 |
July 11, 2025 | 0.1900 |
June 11, 2025 | 0.1920 |
May 12, 2025 | 0.1950 |
April 10, 2025 | 0.1950 |
March 12, 2025 | 0.2000 |
Feb. 12, 2025 | 0.1930 |
Jan. 7, 2025 | 0.1960 |
2024 | 2.54 USD |
Dec. 11, 2024 | 0.1960 |
Nov. 13, 2024 | 0.1920 |
Oct. 10, 2024 | 0.1920 |
Sept. 12, 2024 | 0.1900 |
Aug. 12, 2024 | 0.1900 |
July 11, 2024 | 0.1900 |
June 12, 2024 | 0.1900 |
May 13, 2024 | 0.1900 |
May 3, 2024 | 0.1900 |
April 11, 2024 | 0.1900 |
March 13, 2024 | 0.2100 |
Feb. 13, 2024 | 0.2100 |
Jan. 8, 2024 | 0.2100 |
2023 | 2.69 USD |
Dec. 13, 2023 | 0.2100 |
Nov. 13, 2023 | 0.2100 |
Oct. 13, 2023 | 0.2100 |
Sept. 14, 2023 | 0.2100 |
Aug. 11, 2023 | 0.2100 |
July 14, 2023 | 0.2150 |
June 13, 2023 | 0.2150 |
May 11, 2023 | 0.2150 |
April 14, 2023 | 0.2300 |
March 3, 2023 | 0.2550 |
Feb. 13, 2023 | 0.2550 |
Jan. 9, 2023 | 0.2550 |
2022 | 3.55 USD |
Dec. 13, 2022 | 0.2550 |
Nov. 10, 2022 | 0.2550 |
Oct. 13, 2022 | 0.2550 |
Sept. 14, 2022 | 0.2850 |
Aug. 11, 2022 | 0.3000 |
July 14, 2022 | 0.3000 |
June 13, 2022 | 0.3000 |
May 12, 2022 | 0.3000 |
April 13, 2022 | 0.3000 |
March 11, 2022 | 0.3000 |
Feb. 11, 2022 | 0.3000 |
Jan. 7, 2022 | 0.3960 |
2021 | 3.12 USD |
Dec. 13, 2021 | 0.3000 |
Nov. 12, 2021 | 0.2700 |
Oct. 13, 2021 | 0.2700 |
Sept. 14, 2021 | 0.2700 |
Aug. 12, 2021 | 0.2700 |
July 14, 2021 | 0.2640 |
June 11, 2021 | 0.2640 |
May 13, 2021 | 0.2640 |
April 13, 2021 | 0.2640 |
March 11, 2021 | 0.2385 |
Feb. 11, 2021 | 0.2250 |
Jan. 8, 2021 | 0.2250 |
2020 | 3.21 USD |
Dec. 11, 2020 | 0.2250 |
Nov. 12, 2020 | 0.2250 |
Oct. 13, 2020 | 0.2400 |
Sept. 14, 2020 | 0.2400 |
Aug. 13, 2020 | 0.2400 |
July 14, 2020 | 0.2400 |
June 11, 2020 | 0.2250 |
May 13, 2020 | 0.2250 |
April 14, 2020 | 0.2490 |
March 12, 2020 | 0.3660 |
Feb. 13, 2020 | 0.3660 |
Jan. 8, 2020 | 0.3660 |
2019 | 4.67 USD |
Dec. 12, 2019 | 0.3660 |
Nov. 13, 2019 | 0.3660 |
Oct. 11, 2019 | 0.3660 |
Sept. 13, 2019 | 0.3750 |
Aug. 13, 2019 | 0.3750 |
July 12, 2019 | 0.3906 |
June 13, 2019 | 0.4050 |
May 13, 2019 | 0.4050 |
April 11, 2019 | 0.4050 |
March 13, 2019 | 0.4050 |
Feb. 13, 2019 | 0.4050 |
Jan. 8, 2019 | 0.4050 |
2018 | 4.69 USD |
Dec. 13, 2018 | 0.4050 |
Nov. 13, 2018 | 0.4050 |
Oct. 11, 2018 | 0.4050 |
Sept. 14, 2018 | 0.4050 |
Aug. 13, 2018 | 0.4050 |
July 13, 2018 | 0.4050 |
June 13, 2018 | 0.4020 |
May 11, 2018 | 0.3840 |
April 12, 2018 | 0.3690 |
March 13, 2018 | 0.3690 |
Feb. 13, 2018 | 0.3690 |
Jan. 9, 2018 | 0.3690 |
2017 | 4.36 USD |
Dec. 12, 2017 | 0.3690 |
Nov. 10, 2017 | 0.3630 |
Oct. 11, 2017 | 0.3630 |
Sept. 13, 2017 | 0.3630 |
Aug. 10, 2017 | 0.3630 |
July 13, 2017 | 0.3630 |
June 12, 2017 | 0.3630 |
May 10, 2017 | 0.3630 |
April 12, 2017 | 0.3630 |
March 10, 2017 | 0.3630 |
Feb. 10, 2017 | 0.3630 |
Jan. 6, 2017 | 0.3630 |
2016 | 4.36 USD |
Dec. 12, 2016 | 0.3630 |
Nov. 10, 2016 | 0.3630 |
Oct. 12, 2016 | 0.3630 |
Sept. 13, 2016 | 0.3630 |
Aug. 10, 2016 | 0.3630 |
July 13, 2016 | 0.3630 |
June 10, 2016 | 0.3630 |
May 11, 2016 | 0.3630 |
April 12, 2016 | 0.3630 |
March 10, 2016 | 0.3630 |
Feb. 10, 2016 | 0.3630 |
Jan. 8, 2016 | 0.3630 |
2015 | 4.48 USD |
Dec. 10, 2015 | 0.3630 |
Nov. 12, 2015 | 0.3630 |
Oct. 13, 2015 | 0.3630 |
Sept. 11, 2015 | 0.3630 |
Aug. 12, 2015 | 0.3630 |
July 13, 2015 | 0.3630 |
June 10, 2015 | 0.3630 |
May 12, 2015 | 0.3600 |
April 13, 2015 | 0.3630 |
March 11, 2015 | 0.3630 |
Feb. 11, 2015 | 0.3600 |
Jan. 8, 2015 | 0.4890 |
2014 | 3.99 USD |
Dec. 10, 2014 | 0.3630 |
Nov. 12, 2014 | 0.3630 |
Oct. 10, 2014 | 0.3630 |
Sept. 11, 2014 | 0.3630 |
Aug. 12, 2014 | 0.3630 |
July 11, 2014 | 0.3630 |
June 11, 2014 | 0.3630 |
May 12, 2014 | 0.3630 |
April 10, 2014 | 0.3630 |
March 12, 2014 | 0.3630 |
Feb. 12, 2014 | 0.3630 |
2013 | 4.86 USD |
Dec. 27, 2013 | 0.3720 |
Dec. 2, 2013 | 0.3720 |
Nov. 12, 2013 | 0.3690 |
Oct. 10, 2013 | 0.4020 |
Sept. 12, 2013 | 0.4020 |
Aug. 1, 2013 | 0.4170 |
July 1, 2013 | 0.4170 |
June 3, 2013 | 0.4170 |
May 1, 2013 | 0.4230 |
April 1, 2013 | 0.4350 |
March 1, 2013 | 0.3960 |
Feb. 1, 2013 | 0.4350 |
2012 | 4.85 USD |
Dec. 27, 2012 | 0.9090 |
Dec. 3, 2012 | 0.3900 |
Oct. 1, 2012 | 0.5850 |
Sept. 4, 2012 | 0.3510 |
Aug. 1, 2012 | 0.3570 |
July 2, 2012 | 0.5340 |
June 1, 2012 | 0.4740 |
May 1, 2012 | 0.3270 |
April 2, 2012 | 0.6390 |
March 1, 2012 | 0.1890 |
Feb. 1, 2012 | 0.0990 |
2011 | 2.94 USD |
Dec. 28, 2011 | 0.8250 |
Dec. 1, 2011 | 0.2670 |
Nov. 1, 2011 | 0.1770 |
Oct. 3, 2011 | 0.8310 |
Sept. 1, 2011 | 0.2910 |
Aug. 1, 2011 | 0.2430 |
July 1, 2011 | 0.3030 |
Yearly aggregated dividends
Global X SuperDividend ETF
Jul 11, 2025 Paid
Dividend
0.19 USD |
Global X SuperDividend ETF
Jun 11, 2025 Paid
Dividend
0.192 USD |
Global X SuperDividend ETF
May 12, 2025 Paid
Dividend
0.195 USD |
Global X SuperDividend ETF
Apr 10, 2025 Paid
Dividend
0.195 USD |
Global X SuperDividend ETF
Mar 12, 2025 Paid
Dividend
0.2 USD |
Global X SuperDividend ETF
Feb 12, 2025 Paid
Dividend
0.193 USD |
Global X SuperDividend ETF
Jan 07, 2025 Paid
Dividend
0.196 USD |
Global X SuperDividend ETF
Dec 11, 2024 Paid
Dividend
0.196 USD |
Global X SuperDividend ETF
Nov 13, 2024 Paid
Dividend
0.192 USD |
Global X SuperDividend ETF
Oct 10, 2024 Paid
Dividend
0.192 USD |
Global X SuperDividend ETF
Sep 12, 2024 Paid
Dividend
0.19 USD |
Global X SuperDividend ETF
Aug 12, 2024 Paid
Dividend
0.19 USD |
Split Date | Split Ratio to 1 |
---|---|
Dec. 20, 2022 | 0.33 |
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