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GX MSCI Superdividend EAFE ETF (EFAS)

GX MSCI Superdividend EAFE ETF (EFAS)
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Overview

Name Global X MSCI SuperDividend EAFE ETF
Fund Family Global X Mgt
Underlying Index MSCI EAFE Top 50 Dividend Index
Inception Date 11/14/16
First Trade Date 11/16/16
Leverage Long
Asset Class Equity

Description:

The Global X MSCI SuperDividend EAFE ETF seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the MSCI EAFE Top 50 Dividend Index.

Investment Information

Alpha -5.00
60-Month Beta 0.93
Standard Deviation +0.63
Shares Outstanding, K 730.00
Managed Assets, $K 10,267.50 K
Net Asset Value 14.07
First Trade Price 14.85
P/E Ratio 10.10
Management Fee 0.57%
Options No
Latest Dividend 0.076
Last Dividend Date 12/04/24
Annual Dividend 0.94
Annual Dividend Yield 6.68%
1-Year Return -3.47%
3-Year Return -10.41%
5-Year Return -13.87%
Management Expense Ratio 0.57%

EFAS Dividends

Date Value
12/04/24 $0.0760
11/05/24 $0.0760
10/03/24 $0.0750
09/05/24 $0.0750
08/05/24 $0.0730
07/03/24 $0.0680
06/05/24 $0.0680
05/03/24 $0.0680
04/03/24 $0.0680
03/05/24 $0.0680
02/05/24 $0.0680
12/28/23 $0.1560
12/05/23 $0.0680
11/03/23 $0.0680
10/04/23 $0.0680
09/06/23 $0.0680
08/03/23 $0.0680
07/06/23 $0.0640
06/05/23 $0.0640
05/03/23 $0.0640
04/05/23 $0.0720
03/03/23 $0.0720
02/03/23 $0.0820
12/29/22 $0.1360
12/05/22 $0.0820
11/03/22 $0.0820
10/05/22 $0.0820
09/06/22 $0.0820
08/03/22 $0.0820
07/06/22 $0.0820
06/03/22 $0.0780
05/04/22 $0.0720
04/05/22 $0.0680
03/03/22 $0.0680
02/03/22 $0.0680
12/30/21 $0.1260
12/03/21 $0.0680
11/03/21 $0.0680
10/05/21 $0.0680
09/03/21 $0.0680
08/04/21 $0.0650
07/06/21 $0.0610
06/03/21 $0.0610
05/05/21 $0.0580
04/05/21 $0.0580
03/03/21 $0.0580
02/03/21 $0.0550
12/30/20 $0.0520
12/03/20 $0.0520
11/04/20 $0.0520
10/05/20 $0.0510
09/03/20 $0.0470
08/05/20 $0.0470
07/06/20 $0.0470
06/03/20 $0.0470
05/05/20 $0.0470
04/03/20 $0.0470
03/04/20 $0.0720
02/05/20 $0.0720
12/30/19 $0.0750
12/04/19 $0.0750
11/05/19 $0.0750
10/03/19 $0.0750
09/05/19 $0.0750
08/05/19 $0.0750
07/03/19 $0.0780
06/05/19 $0.0800
05/03/19 $0.0820
04/03/19 $0.0820
03/05/19 $0.0820
02/05/19 $0.0820
12/28/18 $0.1540
12/06/18 $0.0820
11/05/18 $0.0820
10/03/18 $0.0820
09/06/18 $0.0790
08/03/18 $0.0770
07/05/18 $0.0770
06/05/18 $0.0770
05/03/18 $0.0720
04/04/18 $0.0720
03/05/18 $0.0720
02/05/18 $0.0720
12/28/17 $0.2690
12/01/17 $0.0720
11/01/17 $0.0720
10/02/17 $0.0720
09/01/17 $0.0720
08/01/17 $0.0670
07/03/17 $0.0620
06/01/17 $0.0560
05/01/17 $0.0560
04/03/17 $0.0560
03/01/17 $0.0560
02/01/17 $0.0560
12/28/16 $0.0280
12/01/16 $0.0050
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