Global X Alternative Income ETF(ALTY) USD 11.37
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.77%USD 0.202USD0.06722023-04-05
USD0.06722023-03-03
USD0.06722023-02-03
20227.42%USD 0.843USD0.06722022-12-29
USD0.06722022-12-05
USD0.0672022-11-03
USD0.0672022-10-05
USD0.0672022-09-06
USD0.0672022-08-03
USD0.0672022-07-06
USD0.0712022-06-03
USD0.0712022-05-04
USD0.0762022-04-05
USD0.0762022-03-03
USD0.082022-02-03
20218.15%USD 0.927USD0.10622021-12-30
USD0.08032021-12-03
USD0.082021-11-03
USD0.0762021-10-05
USD0.0762021-09-03
USD0.0712021-08-04
USD0.0712021-07-06
USD0.0712021-06-03
USD0.0712021-05-05
USD0.0712021-04-05
USD0.0752021-03-03
USD0.0782021-02-03
20209.46%USD 1.076USD0.07762020-12-30
USD0.07762020-12-03
USD0.07762020-11-04
USD0.08212020-10-05
USD0.08862020-09-03
USD0.08862020-08-05
USD0.09312020-07-06
USD0.09812020-06-03
USD0.09812020-05-05
USD0.09812020-04-03
USD0.09812020-03-04
USD0.09812020-02-05
201911.37%USD 1.292USD0.226852019-12-30
USD0.09812019-12-04
USD0.09812019-11-05
USD0.09812019-10-03
USD0.09812019-09-05
USD0.09812019-08-05
USD0.09712019-07-03
USD0.09562019-06-05
USD0.09562019-05-03
USD0.09562019-04-03
USD0.09562019-03-05
USD0.09562019-02-05
20189.89%USD 1.125USD0.091842018-12-28
USD0.09562018-12-06
USD0.09562018-11-05
USD0.09562018-10-03
USD0.09342018-09-06
USD0.09342018-08-03
USD0.09342018-07-05
USD0.09342018-06-05
USD0.09342018-05-03
USD0.09342018-04-04
USD0.09342018-03-05
USD0.09222018-02-05
201710.12%USD 1.15USD0.126992017-12-28
USD0.0912017-12-01
USD0.0912017-11-01
USD0.0912017-10-02
USD0.0912017-09-01
USD0.09252017-08-01
USD0.09252017-07-03
USD0.09252017-06-01
USD0.09252017-05-01
USD0.0942017-04-03
USD0.09652017-03-01
USD0.0992017-02-01
201610.73%USD 1.22USD0.109522016-12-28
USD0.0992016-12-01
USD0.0992016-11-01
USD0.0992016-10-03
USD0.0992016-09-01
USD0.0992016-08-01
USD0.10052016-07-01
USD0.10052016-06-01
USD0.10052016-05-02
USD0.10452016-04-01
USD0.10452016-03-01
USD0.10452016-02-01
20155.13%USD 0.583USD0.179892015-12-29
USD0.10452015-12-01
USD0.09952015-11-02
USD0.09952015-10-01
USD0.09952015-09-01