SDI

Global X SuperDividend ETF

ETF
ETF
ISIN: US37960A6698
Ticker: SDIV
US37960A6698
SDIV

Price

Dividend metrics

Annual payout (TTM) 
€2.173
Yield (TTM) 
10.92%
Payout ratio 
-
Payout frequency 
Monthly
Dividend growth (3Y) 
-4.174%
Next payment 
€0.201

Dividend history & forecast

€3.254

CHART BY


Status

Ex-date

Pay Date

Yield

% Change

Amount

2025
10.63%
+3.64%
€2.252
Forecasted
04.12.2025
11.12.2025
0.91%
+2.08%
€0.188
Forecasted
05.11.2025
13.11.2025
0.87%
0%
€0.184
Forecasted
03.10.2025
10.10.2025
0.81%
+1.05%
€0.184
Forecasted
05.09.2025
12.09.2025
0.86%
0%
€0.182
Forecasted
05.08.2025
12.08.2025
0.87%
0%
€0.182
Forecasted
03.07.2025
11.07.2025
0.86%
0%
€0.182
Forecasted
05.06.2025
12.06.2025
0.84%
0%
€0.182
Forecasted
03.05.2025
13.05.2025
0.86%
0%
€0.182
Forecasted
03.04.2025
11.04.2025
0.88%
-9.52%
€0.182
Forecasted
05.03.2025
13.03.2025
0.99%
0%
€0.201
Forecasted
05.02.2025
13.02.2025
0.98%
0%
€0.201
Forecasted
28.12.2024
08.01.2025
0.92%
+7.77%
€0.201
2024
10.63%
-12.59%
€2.173
Paid
04.12.2024
11.12.2024
0.91%
+2.72%
€0.187
Paid
05.11.2024
13.11.2024
0.87%
+3.51%
€0.182
Paid
03.10.2024
10.10.2024
0.81%
+2.33%
€0.176
Paid
05.09.2024
12.09.2024
0.86%
-1.26%
€0.172
Paid
05.08.2024
12.08.2024
0.87%
-0.6%
€0.174
Paid
03.07.2024
11.07.2024
0.86%
-0.5%
€0.175
Paid
05.06.2024
12.06.2024
0.84%
-0.21%
€0.176
Paid
03.05.2024
13.05.2024
0.86%
-0.57%
€0.176
Paid
03.04.2024
11.04.2024
0.88%
-7.66%
€0.177
Paid
05.03.2024
13.03.2024
0.99%
-2.19%
€0.192
Paid
05.02.2024
13.02.2024
0.98%
+2.27%
€0.196
Paid
28.12.2023
08.01.2024
0.92%
-0.68%
€0.192
2023
11.79%
-26.17%
€2.486
Paid
05.12.2023
13.12.2023
0.96%
-1.63%
€0.193
Paid
03.11.2023
13.11.2023
0.99%
-1.73%
€0.196
Paid
04.10.2023
13.10.2023
0.99%
+1.15%
€0.20
Paid
06.09.2023
14.09.2023
0.93%
+3.09%
€0.197
Paid
03.08.2023
11.08.2023
0.91%
+0.2%
€0.192
Paid
06.07.2023
14.07.2023
0.95%
-4.07%
€0.191
Paid
05.06.2023
13.06.2023
0.98%
+1.14%
€0.199
Paid
03.05.2023
11.05.2023
0.97%
-4.88%
€0.197
Paid
05.04.2023
14.04.2023
1.01%
-12.89%
€0.207
Paid
03.03.2023
13.03.2023
1.05%
+0.06%
€0.238
Paid
03.02.2023
13.02.2023
0.99%
+0.04%
€0.238
Paid
29.12.2022
09.01.2023
1.06%
-1.01%
€0.238
2022
36.58%
+27.4%
€3.367
Paid
05.12.2022
13.12.2022
3.08%
-4.07%
€0.24
Paid
03.11.2022
10.11.2022
3.37%
-4.36%
€0.25
Paid
05.10.2022
13.10.2022
3.26%
-8.39%
€0.262
Paid
06.09.2022
14.09.2022
3.29%
-1.83%
€0.285
Paid
03.08.2022
11.08.2022
3.34%
-2.81%
€0.291
Paid
06.07.2022
14.07.2022
3.38%
+3.89%
€0.299
Paid
03.06.2022
13.06.2022
2.9%
-0.34%
€0.288
Paid
04.05.2022
12.05.2022
2.91%
+4.98%
€0.289
Paid
05.04.2022
13.04.2022
2.66%
+0.15%
€0.275
Paid
03.03.2022
11.03.2022
2.75%
+4.01%
€0.275
Paid
03.02.2022
11.02.2022
2.44%
-23.99%
€0.264
Paid
30.12.2021
07.01.2022
3.21%
+30.79%
€0.348
2021
23.27%
-6.45%
€2.643
Paid
03.12.2021
13.12.2021
2.44%
+12.69%
€0.266
Paid
03.11.2021
12.11.2021
2.04%
+1.35%
€0.236
Paid
05.10.2021
13.10.2021
2.03%
+1.77%
€0.233
Paid
03.09.2021
14.09.2021
2.02%
-0.57%
€0.229
Paid
04.08.2021
12.08.2021
2.02%
+3.11%
€0.23
Paid
06.07.2021
14.07.2021
1.9%
+2.33%
€0.223
Paid
03.06.2021
11.06.2021
1.84%
-0.26%
€0.218
Paid
05.05.2021
13.05.2021
1.87%
-1.02%
€0.219
Paid
05.04.2021
13.04.2021
1.9%
+10.97%
€0.221
Paid
03.03.2021
11.03.2021
1.76%
+7.29%
€0.199
Paid
03.02.2021
11.02.2021
1.7%
+0.78%
€0.185
Paid
30.12.2020
08.01.2021
1.74%
-0.93%
€0.184
2020
25.75%
-32.17%
€2.825
Paid
03.12.2020
11.12.2020
1.79%
-2.54%
€0.186
Paid
04.11.2020
12.11.2020
1.95%
-6.74%
€0.191
Paid
05.10.2020
13.10.2020
2.23%
+1.08%
€0.204
Paid
03.09.2020
14.09.2020
2.16%
-0.44%
€0.202
Paid
05.08.2020
13.08.2020
2.12%
-3.43%
€0.203
Paid
06.07.2020
14.07.2020
2.15%
+5.52%
€0.21
Paid
03.06.2020
11.06.2020
1.96%
-4.13%
€0.199
Paid
05.05.2020
13.05.2020
2.29%
-7.72%
€0.208
Paid
03.04.2020
14.04.2020
2.63%
-31.27%
€0.225
Paid
04.03.2020
12.03.2020
2.26%
-3.04%
€0.328
Paid
05.02.2020
13.02.2020
2.12%
+2.48%
€0.338
Paid
30.12.2019
08.01.2020
2.08%
+0.66%
€0.33
2019
26.82%
+4.63%
€4.165
Paid
04.12.2019
12.12.2019
2.14%
-1.56%
€0.328
Paid
05.11.2019
13.11.2019
2.13%
+0.22%
€0.333
Paid
03.10.2019
11.10.2019
2.16%
-1.32%
€0.332
Paid
05.09.2019
13.09.2019
2.28%
+0.18%
€0.337
Paid
05.08.2019
13.08.2019
2.32%
-2.89%
€0.336
Paid
03.07.2019
12.07.2019
2.28%
-3.76%
€0.346
Paid
05.06.2019
13.06.2019
2.39%
-0.43%
€0.36
Paid
03.05.2019
13.05.2019
2.27%
+0.25%
€0.361
Paid
03.04.2019
11.04.2019
2.23%
+0.62%
€0.36
Paid
05.03.2019
13.03.2019
2.21%
-0.58%
€0.358
Paid
05.02.2019
13.02.2019
2.14%
+1.7%
€0.36
Paid
28.12.2018
08.01.2019
2.26%
-0.81%
€0.354
2018
22.92%
+2.82%
€3.98
Paid
05.12.2018
13.12.2018
2.14%
-0.46%
€0.357
Paid
05.11.2018
13.11.2018
2.11%
+2.47%
€0.359
Paid
03.10.2018
11.10.2018
2.08%
+0.38%
€0.35
Paid
06.09.2018
14.09.2018
1.96%
-2.01%
€0.349
Paid
03.08.2018
13.08.2018
1.96%
+2.53%
€0.356
Paid
05.07.2018
13.07.2018
1.94%
+2.15%
€0.347
Paid
05.06.2018
13.06.2018
1.92%
+5.54%
€0.34
Paid
03.05.2018
11.05.2018
1.84%
+7.85%
€0.322
Paid
04.04.2018
12.04.2018
1.79%
+0.51%
€0.298
Paid
05.03.2018
13.03.2018
1.76%
-0.31%
€0.297
Paid
05.02.2018
13.02.2018
1.75%
-3.44%
€0.298
Paid
28.12.2017
09.01.2018
1.68%
-1.57%
€0.308
2017
20.28%
-0.76%
€3.871
Paid
01.12.2017
12.12.2017
1.72%
+1.17%
€0.313
Paid
01.11.2017
10.11.2017
1.68%
+1.7%
€0.31
Paid
02.10.2017
11.10.2017
1.63%
+0.19%
€0.305
Paid
01.09.2017
13.09.2017
1.67%
-0.99%
€0.304
Paid
01.08.2017
10.08.2017
1.67%
-2.98%
€0.307
Paid
03.07.2017
12.07.2017
1.67%
-1.94%
€0.316
Paid
01.06.2017
12.06.2017
1.69%
-2.95%
€0.323
Paid
01.05.2017
10.05.2017
1.7%
-1.83%
€0.333
Paid
03.04.2017
12.04.2017
1.71%
+0.03%
€0.339
Paid
01.03.2017
10.03.2017
1.71%
-0.31%
€0.339
Paid
01.02.2017
10.02.2017
1.69%
-1.03%
€0.34
Paid
28.12.2016
06.01.2017
1.73%
+1.03%
€0.343
2016
21.43%
-2.78%
€3.901
Paid
01.12.2016
12.12.2016
1.75%
+2.35%
€0.34
Paid
01.11.2016
10.11.2016
1.77%
+1.12%
€0.332
Paid
03.10.2016
12.10.2016
1.72%
+1.87%
€0.328
Paid
01.09.2016
13.09.2016
1.68%
-0.29%
€0.322
Paid
01.08.2016
10.08.2016
1.69%
-0.79%
€0.323
Paid
01.07.2016
13.07.2016
1.73%
+1.38%
€0.326
Paid
01.06.2016
10.06.2016
1.77%
+1.53%
€0.321
Paid
02.05.2016
11.05.2016
1.76%
-0.34%
€0.316
Paid
01.04.2016
12.04.2016
1.81%
-1.81%
€0.318
Paid
01.03.2016
10.03.2016
1.92%
+0.91%
€0.323
Paid
01.02.2016
10.02.2016
2.01%
-3.16%
€0.32
Paid
29.12.2015
08.01.2016
1.83%
+0.16%
€0.331
2015
20.26%
+22.62%
€4.012
Paid
01.12.2015
10.12.2015
1.81%
-1.22%
€0.33
Paid
02.11.2015
12.11.2015
1.78%
+5.32%
€0.334
Paid
01.10.2015
13.10.2015
1.8%
-0.41%
€0.318
Paid
01.09.2015
11.09.2015
1.79%
-1.59%
€0.319
Paid
03.08.2015
12.08.2015
1.65%
-1.36%
€0.324
Paid
01.07.2015
13.07.2015
1.63%
+2.88%
€0.328
Paid
01.06.2015
10.06.2015
1.54%
-0.94%
€0.319
Paid
01.05.2015
12.05.2015
1.52%
-5.76%
€0.322
Paid
01.04.2015
13.04.2015
1.54%
-0.22%
€0.342
Paid
02.03.2015
11.03.2015
1.53%
+7.48%
€0.343
Paid
02.02.2015
11.02.2015
1.55%
-22.87%
€0.319
Paid
29.12.2014
08.01.2015
2.1%
+42.36%
€0.413
2014
17.79%
-19.5%
€3.272
Paid
01.12.2014
10.12.2014
1.52%
-0.1%
€0.29
Paid
03.11.2014
12.11.2014
1.51%
+1.55%
€0.291
Paid
01.10.2014
10.10.2014
1.49%
+2.35%
€0.286
Paid
02.09.2014
11.09.2014
1.4%
+3.45%
€0.28
Paid
01.08.2014
12.08.2014
1.4%
+1.78%
€0.27
Paid
01.07.2014
11.07.2014
1.4%
-0.54%
€0.266
Paid
02.06.2014
11.06.2014
1.41%
+1.66%
€0.267
Paid
01.05.2014
12.05.2014
1.46%
+0.93%
€0.263
Paid
01.04.2014
10.04.2014
1.48%
+0.13%
€0.26
Paid
03.03.2014
12.03.2014
1.53%
-2.22%
€0.26
Paid
03.02.2014
12.02.2014
1.58%
-2.56%
€0.266
Paid
27.12.2013
08.01.2014
1.62%
+1.54%
€0.273
2013
23.8%
+5.12%
€4.065
Paid
02.12.2013
11.12.2013
1.6%
-2.55%
€0.269
Paid
01.11.2013
12.11.2013
1.57%
-6.85%
€0.276
Paid
01.10.2013
10.10.2013
1.75%
-1.71%
€0.296
Paid
03.09.2013
12.09.2013
1.82%
-3.59%
€0.301
Paid
01.08.2013
12.08.2013
1.85%
-1.62%
€0.312
Paid
01.07.2013
11.07.2013
1.95%
+1.86%
€0.318
Paid
03.06.2013
12.06.2013
1.87%
-4.04%
€0.312
Paid
01.05.2013
10.05.2013
1.79%
-2.42%
€0.325
Paid
01.04.2013
10.04.2013
1.87%
+9.75%
€0.333
Paid
01.03.2013
12.03.2013
1.72%
-6.23%
€0.303
Paid
01.02.2013
12.02.2013
1.9%
-53.56%
€0.324
Paid
27.12.2012
09.01.2013
4.1%
+132.65%
€0.697
2012
23.18%
+99.45%
€3.867
Paid
03.12.2012
12.12.2012
1.79%
+127.33%
€0.299
Paid
01.11.2012
13.11.2012
0.77%
-70.95%
€0.132
Paid
01.10.2012
10.10.2012
2.66%
+67.65%
€0.453
Paid
04.09.2012
13.09.2012
1.61%
-6.96%
€0.27
Paid
01.08.2012
10.08.2012
1.66%
-33.49%
€0.291
Paid
02.07.2012
12.07.2012
2.59%
+15.48%
€0.437
Paid
01.06.2012
12.06.2012
2.35%
+50.45%
€0.378
Paid
01.05.2012
10.05.2012
1.54%
-48.49%
€0.252
Paid
02.04.2012
11.04.2012
2.89%
+240.15%
€0.488
Paid
01.03.2012
12.03.2012
0.85%
+90.6%
€0.144
Paid
01.02.2012
10.02.2012
0.46%
-88.36%
€0.0753
Paid
28.12.2011
09.01.2012
4%
+6.08%
€0.647
2011
12.48%
-
€1.939
Paid
01.12.2011
12.12.2011
3.9%
+372.62%
€0.61
Paid
01.11.2011
10.11.2011
0.82%
-78.58%
€0.129
Paid
03.10.2011
12.10.2011
4.13%
+182.33%
€0.602
Paid
01.09.2011
13.09.2011
1.33%
+25.6%
€0.213
Paid
01.08.2011
10.08.2011
1.05%
-20.76%
€0.17
Paid
01.07.2011
13.07.2011
1.24%
-
€0.214

Frequently asked questions

When does Global X SuperDividend ETF pay dividends?

Global X SuperDividend ETF's dividends are paid out in January, February, March, April, May, June, July, August, September, October, November, and December.

How often does Global X SuperDividend ETF pay dividends?

Monthly.

What is the dividend yield of Global X SuperDividend ETF?

The dividend yield is currently 10.92% and distributions have decreased by 4.17% in the last 3 years.

When was Global X SuperDividend ETF's last dividend payout date?

The last payment was made on 11.12.2024.

When do you have to have Global X SuperDividend ETF in your portfolio to receive the last dividend?

If you had Global X SuperDividend ETF in your securities account on 04.12.2024, you received the distribution.

How much was Global X SuperDividend ETF's dividend in 2023?

Global X SuperDividend ETF paid out a dividend of €2.486 in 2023.

How much was Global X SuperDividend ETF's dividend in 2022?

Global X SuperDividend ETF paid out a dividend of €3.367 in 2022.

What is Global X SuperDividend ETF's next dividend?

Global X SuperDividend ETF has not yet announced a next dividend payment yet.

Dividend growth 

The dividend growth is -26.17% based on the previous financial year. The average dividend growth over the last 5 years is -8.986%.

1 Year

Negative growth-26.17%

3 Year

Negative growth-4.174%

5 Year

Negative growth-8.986%

10 Year

Negative growth-4.80%

Other top dividend ETFs

Join the conversation