Global X MSCI SuperDividend® EAFE ETF(EFAS) USD 14.19
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.09%USD 0.154USD0.07252023-03-03
USD0.08152023-02-03
20226.90%USD 0.979USD0.135942022-12-29
USD0.08152022-12-05
USD0.08152022-11-03
USD0.08152022-10-05
USD0.08152022-09-06
USD0.08152022-08-03
USD0.08152022-07-06
USD0.0782022-06-03
USD0.0722022-05-04
USD0.0682022-04-05
USD0.0682022-03-03
USD0.0682022-02-03
20215.74%USD 0.815USD0.125692021-12-30
USD0.0682021-12-03
USD0.0682021-11-03
USD0.0682021-10-05
USD0.0682021-09-03
USD0.0652021-08-04
USD0.0612021-07-06
USD0.0612021-06-03
USD0.05852021-05-05
USD0.05852021-04-05
USD0.05852021-03-03
USD0.0552021-02-03
20204.51%USD 0.641USD0.05252020-12-30
USD0.05252020-12-03
USD0.05252020-11-04
USD0.0512020-10-05
USD0.0482020-09-03
USD0.0482020-08-05
USD0.0482020-07-06
USD0.0482020-06-03
USD0.0482020-05-05
USD0.0482020-04-03
USD0.0722020-03-04
USD0.0722020-02-05
20196.60%USD 0.937USD0.07512019-12-30
USD0.07512019-12-04
USD0.07512019-11-05
USD0.07512019-10-03
USD0.07512019-09-05
USD0.07512019-08-05
USD0.07752019-07-03
USD0.07992019-06-05
USD0.08232019-05-03
USD0.08232019-04-03
USD0.08232019-03-05
USD0.08232019-02-05
20187.05%USD 1USD0.15382018-12-28
USD0.08232018-12-06
USD0.08232018-11-05
USD0.08232018-10-03
USD0.07952018-09-06
USD0.07672018-08-03
USD0.07672018-07-05
USD0.07672018-06-05
USD0.07242018-05-03
USD0.07242018-04-04
USD0.07242018-03-05
USD0.07242018-02-05
20177.85%USD 1.114USD0.414952017-12-28
USD0.07242017-12-01
USD0.07242017-11-01
USD0.07242017-10-02
USD0.07152017-09-01
USD0.06652017-08-01
USD0.06152017-07-03
USD0.05652017-06-01
USD0.05652017-05-01
USD0.05652017-04-03
USD0.05652017-03-01
USD0.05652017-02-01
20160.24%USD 0.033USD0.028372016-12-28
USD0.0052016-12-01