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Global X SuperIncome Preferred ETF SPFF · ETF Open Global X SuperIncome Preferred ETF in new tab

9.29 USD
Yield
6.82%
Beta
1.14
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Key Metrics
Dividend
Dividend Yield6.82%
Annual dividends0.60 USD
Ex-Div. DateJuly 1, 2026
Weights
Sector Weights
Financial Services 53.76%
Technology 18.74%
Utilities 13.88%
Healthcare 3.88%
Consumer Cyclical 3.03%
Basic Materials 2.56%
Real Estate 2.05%
Industrials 1.81%
Cash & Others 0.29%
Country Weights
United States 95.38%
Canada 4.43%
Other 0.19%

Global X SuperIncome Preferred ETF Analysis (SPFF)

ETF

Investment Objective: Global X SuperIncome Preferred ETF is an investment vehicle . It is currently trading at 9.29 USD.

Portfolio Composition: The fund is heavily weighted towards the Financial Services sector (54%), the Technology sector (19%), the Utilities sector (14%) and markets in United States (95%), Canada (4%), Other (0%) .
For a full breakdown of all holdings, see the "Weights" card above.

Income: This is a distributing fund with a current yield of 6.82%.

Investor FAQ

Does Global X SuperIncome Preferred ETF pay a dividend?

Yes, it pays an annual dividend of 0.60 USD (6.82% yield).

What asset class is Global X SuperIncome Preferred ETF?

Global X SuperIncome Preferred ETF is classified as a ETF. You can compare it against its peer in the "Related Symbols" list.

Fund Strategy

The fund will invest 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 the highest-yielding preferred securities listed in the United States, as determined by Solactive AG, the administrator of the underlying index (“Index Administrator”).

Exchange Ticker
SPFF
Trades
Dividend Yield
6.82%
Annual Dividends
0.60USD
Next Ex. Div Date
July 1, 2026
Dividend History paid per year (USD)
Historical Dividends
Year Total Dividends
2027
0.32 USD
June 14, 2027 (estimated) 0.0494
May 13, 2027 (estimated) 0.0475
April 13, 2027 (estimated) 0.0475
March 15, 2027 (estimated) 0.0475
Feb. 15, 2027 (estimated) 0.0447
Jan. 8, 2027 (estimated) 0.0844
2026
0.61 USD
Dec. 14, 2026 (estimated) 0.0447
Nov. 13, 2026 (estimated) 0.0447
Oct. 13, 2026 (estimated) 0.0447
Sept. 14, 2026 (estimated) 0.0447
Aug. 12, 2026 (estimated) 0.0447
July 7, 2026 0.0520
June 4, 2026 0.0520
May 6, 2026 0.0500
April 7, 2026 0.0500
March 5, 2026 0.0500
Feb. 5, 2026 0.0470
Jan. 7, 2026 0.0840
2025
0.60 USD
Dec. 8, 2025 0.0470
Nov. 10, 2025 0.0470
Oct. 8, 2025 0.0470
Sept. 9, 2025 0.0470
Aug. 8, 2025 0.0470
July 9, 2025 0.0470
June 9, 2025 0.0470
May 8, 2025 0.0470
April 8, 2025 0.0470
March 10, 2025 0.0480
Feb. 10, 2025 0.0480
Jan. 7, 2025 0.0860
2024
0.56 USD
Dec. 11, 2024 0.0460
Nov. 13, 2024 0.0460
Oct. 10, 2024 0.0460
Sept. 12, 2024 0.0460
Aug. 12, 2024 0.0460
July 11, 2024 0.0460
June 12, 2024 0.0460
May 13, 2024 0.0460
April 11, 2024 0.0460
March 13, 2024 0.0460
Feb. 13, 2024 0.0460
Jan. 8, 2024 0.0580
2023
0.60 USD
Dec. 13, 2023 0.0460
Nov. 13, 2023 0.0460
Oct. 13, 2023 0.0480
Sept. 14, 2023 0.0480
Aug. 11, 2023 0.0480
July 14, 2023 0.0480
June 13, 2023 0.0480
May 11, 2023 0.0480
April 14, 2023 0.0550
March 13, 2023 0.0550
Feb. 13, 2023 0.0550
Jan. 9, 2023 0.0550
2022
0.68 USD
Dec. 13, 2022 0.0550
Nov. 10, 2022 0.0550
Oct. 13, 2022 0.0570
Sept. 14, 2022 0.0570
Aug. 11, 2022 0.0570
July 14, 2022 0.0570
June 13, 2022 0.0570
May 12, 2022 0.0570
April 13, 2022 0.0570
March 11, 2022 0.0570
Feb. 11, 2022 0.0570
Jan. 7, 2022 0.0570
2021
0.68 USD
Dec. 13, 2021 0.0570
Nov. 12, 2021 0.0570
Oct. 13, 2021 0.0570
Sept. 14, 2021 0.0570
Aug. 12, 2021 0.0570
July 14, 2021 0.0570
June 11, 2021 0.0570
May 13, 2021 0.0570
April 13, 2021 0.0570
March 11, 2021 0.0570
Feb. 11, 2021 0.0570
Jan. 8, 2021 0.0570
2020
0.68 USD
Dec. 11, 2020 0.0570
Nov. 12, 2020 0.0570
Oct. 13, 2020 0.0570
Sept. 14, 2020 0.0570
Aug. 13, 2020 0.0570
July 14, 2020 0.0570
June 11, 2020 0.0570
May 13, 2020 0.0570
April 14, 2020 0.0570
March 12, 2020 0.0570
Feb. 13, 2020 0.0570
Jan. 8, 2020 0.0570
2019
0.73 USD
Dec. 12, 2019 0.0570
Nov. 13, 2019 0.0570
Oct. 11, 2019 0.0580
Sept. 13, 2019 0.0580
Aug. 13, 2019 0.0590
July 12, 2019 0.0590
June 13, 2019 0.0590
May 13, 2019 0.0600
April 11, 2019 0.0600
March 13, 2019 0.0600
Feb. 13, 2019 0.0620
Jan. 8, 2019 0.0810
2018
0.84 USD
Dec. 13, 2018 0.0640
Nov. 13, 2018 0.0660
Oct. 11, 2018 0.0680
Sept. 14, 2018 0.0680
Aug. 13, 2018 0.0680
July 13, 2018 0.0680
June 13, 2018 0.0680
May 11, 2018 0.0700
April 12, 2018 0.0740
March 13, 2018 0.0740
Feb. 13, 2018 0.0740
Jan. 9, 2018 0.0740
2017
0.90 USD
Dec. 12, 2017 0.0740
Nov. 10, 2017 0.0740
Oct. 11, 2017 0.0740
Sept. 13, 2017 0.0740
Aug. 10, 2017 0.0740
July 13, 2017 0.0740
June 12, 2017 0.0740
May 10, 2017 0.0740
April 12, 2017 0.0740
March 10, 2017 0.0730
Feb. 10, 2017 0.0730
Jan. 6, 2017 0.0880
2016
0.90 USD
Dec. 12, 2016 0.0730
Nov. 10, 2016 0.0730
Oct. 12, 2016 0.0730
Sept. 13, 2016 0.0730
Aug. 10, 2016 0.0730
July 13, 2016 0.0730
June 10, 2016 0.0730
May 11, 2016 0.0730
April 12, 2016 0.0780
March 10, 2016 0.0780
Feb. 10, 2016 0.0780
Jan. 8, 2016 0.0780
2015
0.99 USD
Dec. 10, 2015 0.0830
Nov. 12, 2015 0.0830
Oct. 13, 2015 0.0830
Sept. 11, 2015 0.0830
Aug. 12, 2015 0.0830
July 13, 2015 0.0830
June 10, 2015 0.0830
May 12, 2015 0.0830
April 13, 2015 0.0830
March 11, 2015 0.0830
Feb. 11, 2015 0.0830
Jan. 8, 2015 0.0790
2014
1.06 USD
Dec. 10, 2014 0.0830
Nov. 12, 2014 0.0830
Oct. 10, 2014 0.0830
Sept. 11, 2014 0.0830
Aug. 12, 2014 0.0830
July 11, 2014 0.0830
June 11, 2014 0.0830
May 12, 2014 0.0830
April 10, 2014 0.0830
March 12, 2014 0.0830
Feb. 12, 2014 0.0830
Jan. 8, 2014 0.1430
2013
1.09 USD
Dec. 11, 2013 0.0860
Nov. 12, 2013 0.0860
Oct. 10, 2013 0.0820
Sept. 12, 2013 0.0810
Aug. 12, 2013 0.0820
July 11, 2013 0.0820
June 12, 2013 0.0840
May 10, 2013 0.0880
April 10, 2013 0.0880
March 12, 2013 0.0820
Feb. 12, 2013 0.0920
Jan. 9, 2013 0.1550
2012
0.45 USD
Dec. 12, 2012 0.0830
Nov. 13, 2012 0.0686
Oct. 10, 2012 0.1010
Sept. 13, 2012 0.1830
Aug. 10, 2012 0.0100
Upcoming Dividends
Name Payment Date Status Amount
Global X SuperIncome Preferred ETF Jul 07, 2026 0.052 USD
Global X SuperIncome Preferred ETF Jun 04, 2026 0.052 USD
Global X SuperIncome Preferred ETF May 06, 2026 0.05 USD
Global X SuperIncome Preferred ETF Apr 07, 2026 0.05 USD
Global X SuperIncome Preferred ETF Mar 05, 2026 0.05 USD
Global X SuperIncome Preferred ETF Feb 05, 2026 0.047 USD
Global X SuperIncome Preferred ETF Jan 07, 2026 0.084 USD
Global X SuperIncome Preferred ETF Dec 08, 2025 0.047 USD
Global X SuperIncome Preferred ETF Nov 10, 2025 0.047 USD
Global X SuperIncome Preferred ETF Oct 08, 2025 0.047 USD
Global X SuperIncome Preferred ETF Sep 09, 2025 0.047 USD
Global X SuperIncome Preferred ETF Aug 08, 2025 0.047 USD
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