Global X Funds

Global X Funds - Global X MLP ETF MLPA

Dividend Summary

The next Global X Funds - Global X MLP ETF dividend is expected to go ex in 9 days and to be paid in 12 days.
The previous Global X Funds - Global X MLP ETF dividend was 100c and it went ex 3 months ago and it was paid 3 months ago.
There are typically 4 dividends per year (excluding specials).

Latest Dividends
Summary Previous dividend Next dividend
Status Paid Forecast
Type Quarterly Quarterly
Per share 100c Sign Up Required
Declaration date 20 Jan 2026 (Tue) 11 May 2026 (Mon)
Ex-div date 09 Feb 2026 (Mon) 11 May 2026 (Mon)
Pay date 12 Feb 2026 (Thu) 14 May 2026 (Thu)

Enter the number of Global X Funds - Global X MLP ETF shares you hold and we'll calculate your dividend payments:

Previous Payment
Next Payment
Forecast Accuracy
We have not made any dividend predictions for Global X Funds - Global X MLP ETF
Dividend Yield Today
7.3%
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 Funds - Global X MLP ETF
Status Type Decl. date Ex-div date Pay date Decl. Currency Forecast amount Decl. amount Accuracy
Forecast Quarterly 08 May 2028 08 May 2028 11 May 2028 USD Sign up
Forecast Quarterly 18 Jan 2028 07 Feb 2028 10 Feb 2028 USD Sign up
Forecast Quarterly 08 Nov 2027 08 Nov 2027 15 Nov 2027 USD Sign up
Forecast Quarterly 09 Aug 2027 09 Aug 2027 12 Aug 2027 USD Sign up
Forecast Quarterly 10 May 2027 10 May 2027 13 May 2027 USD Sign up
Forecast Quarterly 19 Jan 2027 08 Feb 2027 11 Feb 2027 USD Sign up
Forecast Quarterly 09 Nov 2026 09 Nov 2026 13 Nov 2026 USD Sign up
Forecast Quarterly 10 Aug 2026 10 Aug 2026 13 Aug 2026 USD Sign up
Forecast Quarterly 11 May 2026 11 May 2026 14 May 2026 USD Sign up
Paid Quarterly 20 Jan 2026 09 Feb 2026 12 Feb 2026 USD 100c
Paid Quarterly 02 Jan 2025 07 Nov 2025 17 Nov 2025 USD 98c
Paid Quarterly 02 Jan 2025 07 Aug 2025 14 Aug 2025 USD 93.5c
Paid Quarterly 02 Jan 2025 07 May 2025 14 May 2025 USD 93.5c
Paid Quarterly 02 Jan 2025 07 Feb 2025 14 Feb 2025 USD 93.5c
Paid Quarterly 28 Dec 2023 07 Nov 2024 15 Nov 2024 USD 91c
Paid Quarterly 28 Dec 2023 07 Aug 2024 14 Aug 2024 USD 90c
Paid Quarterly 28 Dec 2023 07 May 2024 15 May 2024 USD 90c
Paid Quarterly 28 Dec 2023 07 Feb 2024 15 Feb 2024 USD 87c
Paid Quarterly 10 Mar 2023 07 Nov 2023 15 Nov 2023 USD 87c
Paid Quarterly 10 Mar 2023 07 Aug 2023 15 Aug 2023 USD 84c
Paid Quarterly 10 Mar 2023 05 May 2023 15 May 2023 USD 84c
Paid Quarterly 06 Feb 2023 07 Feb 2023 15 Feb 2023 USD 77c
Paid Quarterly 01 Feb 2022 07 Nov 2022 15 Nov 2022 USD 77c
Paid Quarterly 01 Feb 2022 05 Aug 2022 15 Aug 2022 USD 77c
Paid Quarterly 01 Feb 2022 06 May 2022 16 May 2022 USD 75c
Paid Quarterly 01 Feb 2022 07 Feb 2022 15 Feb 2022 USD 72.5c
Paid Quarterly 06 Jan 2021 05 Nov 2021 15 Nov 2021 USD 72.5c
Paid Quarterly 05 Aug 2021 06 Aug 2021 16 Aug 2021 USD 72.5c
Paid Quarterly 06 Jan 2021 07 May 2021 17 May 2021 USD 77.5c
Paid Quarterly 06 Jan 2021 05 Feb 2021 16 Feb 2021 USD 82.5c
Paid Quarterly 17 Jan 2020 06 Nov 2020 16 Nov 2020 USD 90c
Paid Quarterly 17 Jan 2020 07 Aug 2020 17 Aug 2020 USD 90c
Paid Quarterly 17 Jan 2020 07 May 2020 15 May 2020 USD 90c
Paid Quarterly 17 Jan 2020 07 Feb 2020 18 Feb 2020 USD 18.25c
Paid Quarterly 21 Jan 2019 07 Nov 2019 15 Nov 2019 USD 17.65c
Paid Quarterly 21 Jan 2019 07 Aug 2019 15 Aug 2019 USD 17.65c
Paid Quarterly 21 Jan 2019 07 May 2019 15 May 2019 USD 18.15c
Paid Quarterly 21 Jan 2019 07 Feb 2019 15 Feb 2019 USD 18.15c
Paid Quarterly 26 Jan 2018 08 Nov 2018 16 Nov 2018 USD 18.65c
Paid Quarterly 26 Jan 2018 09 Aug 2018 17 Aug 2018 USD 18.95c
Paid Quarterly 26 Jan 2018 10 May 2018 18 May 2018 USD 19.25c
Paid Quarterly 07 Feb 2018 08 Feb 2018 16 Feb 2018 USD 19.85c
Paid Quarterly 06 Nov 2017 07 Nov 2017 16 Nov 2017 USD 19.85c
Paid Quarterly 04 Aug 2017 07 Aug 2017 16 Aug 2017 USD 19.85c
Paid Quarterly 04 May 2017 05 May 2017 16 May 2017 USD 19.85c
Paid Quarterly 06 Feb 2017 07 Feb 2017 16 Feb 2017 USD 19.85c
Paid Quarterly 04 Nov 2016 07 Nov 2016 16 Nov 2016 USD 19.85c
Paid Quarterly 04 Aug 2016 05 Aug 2016 16 Aug 2016 USD 19.85c
Paid Quarterly 05 May 2016 06 May 2016 17 May 2016 USD 20.5c
Paid Quarterly 04 Feb 2016 05 Feb 2016 17 Feb 2016 USD 22.5c
Paid Quarterly 05 Nov 2015 06 Nov 2015 18 Nov 2015 USD 22.5c
Paid Quarterly 06 Aug 2015 07 Aug 2015 18 Aug 2015 USD 24c
Paid Quarterly 06 May 2015 07 May 2015 18 May 2015 USD 25c
Paid Quarterly 05 Feb 2015 06 Feb 2015 18 Feb 2015 USD 25c
Paid Quarterly 06 Nov 2014 07 Nov 2014 18 Nov 2014 USD 25c
Paid Quarterly 06 Aug 2014 07 Aug 2014 18 Aug 2014 USD 23.5c
Paid Quarterly 06 May 2014 07 May 2014 16 May 2014 USD 22c
Paid Quarterly 06 Feb 2014 07 Feb 2014 19 Feb 2014 USD 22c
Paid Quarterly 06 Nov 2013 07 Nov 2013 19 Nov 2013 USD 21.4c
Paid Quarterly 08 Aug 2013 09 Aug 2013 20 Aug 2013 USD 22.4c
Paid Quarterly 08 May 2013 09 May 2013 20 May 2013 USD 23.6c
Paid Quarterly 07 Feb 2013 08 Feb 2013 20 Feb 2013 USD 23.6c
Paid Monthly 12 Nov 2012 13 Nov 2012 23 Nov 2012 USD 23.81c
Paid Monthly 28 Sep 2012 01 Oct 2012 10 Oct 2012 USD 24.17c
Paid Monthly 02 Jul 2012 12 Jul 2012 USD 17.41c
Year Amount Change
2006 0.0c
2007 0.0c
0%
2008 0.0c
0%
2009 0.0c
0%
2010 0.0c
0%
2011 0.0c
0%
2012 65.39c
100%
2013 91.0c
39.2%
2014 92.5c
1.6%
2015 96.5c
4.3%
2016 82.7c
-14.3%
2017 79.4c
-4.0%
2018 76.7c
-3.4%
2019 71.6c
-6.6%
2020 288.25c
302.6%
2021 305.0c
5.8%
2022 301.5c
-1.1%
2023 332.0c
10.1%
2024 358.0c
7.8%
2025 378.5c
5.7%
2026 Sign Up Required
2027 Sign Up Required

Global X Funds Optimized Dividend Chart

The chart below shows the optimized dividends for this security over a rolling 12-month period.
Dividend Yield Today
7.3%
Optimized Yield
Sign Up Required
52 Week High
10.5% on 01 May 2026
52 Week Low
10.4% on 30 April 2026
Next Ex-Div-Date Countdown
Sign Up Required
No articles found