Global X ETF ICAV - GLOBAL X SUPERDIVIDEND UCITS ETF USD DIS SDIP

Dividend Summary

The next Global X ETF ICAV - GLOBAL X SUPERDIVIDEND UCITS ETF USD DIS dividend will go ex in 3 days for 8.35c and will be paid in 10 days.
The previous Global X ETF ICAV - GLOBAL X SUPERDIVIDEND UCITS ETF USD DIS dividend was 8.45c and it went ex 25 days ago and it was paid 18 days ago.
There are typically 12 dividends per year (excluding specials).

Latest Dividends
Summary Previous dividend Next dividend
Status Paid Declared
Type Monthly Monthly
Per share 7.893¢ (8.45c) 7.646¢ (8.35c)
Declaration date 12 Jun 2024 (Wed) 11 Jul 2024 (Thu)
Ex-div date 20 Jun 2024 (Thu) 18 Jul 2024 (Thu)
Pay date 27 Jun 2024 (Thu) 25 Jul 2024 (Thu)

Enter the number of Global X ETF ICAV - GLOBAL X SUPERDIVIDEND UCIT... shares you hold and we'll calculate your dividend payments:

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Forecast Accuracy
We have not made any dividend predictions for Global X ETF ICAV - GLOBAL X SUPERDIVIDEND UCITS ETF USD DIS
Dividend Yield Today
0.0%
The dividend yield is calculated by dividing the annual dividend payment by the prevailing share price
The table below shows the full dividend history for Global X ETF ICAV - GLOBAL X SUPERDIVIDEND UCITS ETF USD DIS
Status Type Decl. date Ex-div date Pay date Decl. Currency Forecast amount Decl. amount Accuracy
Declared Monthly 11 Jul 2024 18 Jul 2024 25 Jul 2024 USD 8.35c
Paid Monthly 12 Jun 2024 20 Jun 2024 27 Jun 2024 USD 8.45c
Paid Monthly 16 May 2024 23 May 2024 30 May 2024 USD 7.7c
Paid Monthly 11 Apr 2024 18 Apr 2024 25 Apr 2024 USD 8.15c
Paid Monthly 07 Mar 2024 14 Mar 2024 21 Mar 2024 USD 8.9c
Paid Monthly 08 Feb 2024 15 Feb 2024 22 Feb 2024 USD 8.55c
Paid Monthly 26 Jan 2023 11 Jan 2024 18 Jan 2024 USD 8.7c
Paid Monthly 26 Jan 2023 14 Dec 2023 21 Dec 2023 USD 8.8c
Paid Monthly 26 Jan 2023 16 Nov 2023 24 Nov 2023 USD 8.8c
Paid Monthly 26 Jan 2023 12 Oct 2023 19 Oct 2023 USD 8.8c
Paid Monthly 26 Jan 2023 14 Sep 2023 21 Sep 2023 USD 9c
Paid Monthly 26 Jan 2023 17 Aug 2023 24 Aug 2023 USD 9c
Paid Monthly 26 Jan 2023 20 Jul 2023 27 Jul 2023 USD 9.5c
Paid Monthly 26 Jan 2023 15 Jun 2023 22 Jun 2023 USD 9.5c
Paid Monthly 26 Jan 2023 11 May 2023 18 May 2023 USD 9.5c
Paid Monthly 26 Jan 2023 13 Apr 2023 18 Apr 2023 USD 10.25c
Paid Monthly 26 Jan 2023 16 Mar 2023 23 Mar 2023 USD 10.95c
Paid Monthly 26 Jan 2023 16 Feb 2023 23 Feb 2023 USD 10.95c
Paid Monthly 29 Dec 2022 06 Jan 2023 23 Jan 2023 USD 10.95c
Paid Monthly 08 Dec 2022 16 Dec 2022 03 Jan 2023 USD 10.95c
Paid Monthly 03 Nov 2022 11 Nov 2022 28 Nov 2022 USD 10.95c
Paid Monthly 06 Oct 2022 14 Oct 2022 31 Oct 2022 USD 10.95c
Paid Interim 08 Sep 2022 16 Sep 2022 03 Oct 2022 USD 11.95c
Paid Interim 04 Aug 2022 12 Aug 2022 29 Aug 2022 USD 12.36c
Paid Interim 16 Mar 2022 23 Jun 2022 07 Jul 2022 USD 30.1c
Year Amount Change
2006 0.0¢
2007 0.0¢
0%
2008 0.0¢
0%
2009 0.0¢
0%
2010 0.0¢
0%
2011 0.0¢
0%
2012 0.0¢
0%
2013 0.0¢
0%
2014 0.0¢
0%
2015 0.0¢
0%
2016 0.0¢
0%
2017 0.0¢
0%
2018 0.0¢
0%
2019 0.0¢
0%
2020 0.0¢
0%
2021 0.0¢
0%
2022 86.174926¢
100%
2023 107.128167¢
24.3%

Global X ETF ICAV Optimized Dividend Chart

The chart below shows the optimized dividends for this security over a rolling 12-month period.
Dividend Yield Today
0.0%
Optimized Yield
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52 Week High
0.0% on  
52 Week Low
0.0% on  
Next Ex-Div-Date Countdown
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About Global X ETF ICAV

Sector
Unknown
Country
Ireland
Share Price
€7.21 (price on 12 Jul 2024)
Shares in Issue
4 million
Market Cap
€31mn
CADI
The Consecutive Annual Dividend Increases - the number of years this company has been increasing its dividends
2
Market Indices
none
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