SDI

Global X SuperDividend ETF Dividends

ETFETF
ISIN: US37960A6698
Ticker: SDIV
US37960A6698
SDIV

Dividend metrics

Annual payout (TTM)

 
$2.364

Yield (TTM)

 
11.05%

Payout ratio

 
-

Payout frequency

 
Monthly

Dividend growth (3Y)

 
-5.694%

Next payment

 
$0.21

Dividend history & forecast

$3.808

CHART BY


Status

Ex-date

Pay Date

Yield

% Change

Amount

202510.68%0%$2.364
Forecasted05.12.202513.12.20250.96%+9.38%$0.21
Forecasted05.11.202513.11.20250.87%0%$0.192
Forecasted03.10.202510.10.20250.81%+1.05%$0.192
Forecasted05.09.202512.09.20250.86%0%$0.19
Forecasted05.08.202512.08.20250.87%0%$0.19
Forecasted03.07.202511.07.20250.86%0%$0.19
Forecasted05.06.202512.06.20250.84%0%$0.19
Forecasted03.05.202513.05.20250.86%0%$0.19
Forecasted03.04.202511.04.20250.88%-9.52%$0.19
Forecasted05.03.202513.03.20250.99%0%$0.21
Forecasted05.02.202513.02.20250.98%0%$0.21
Forecasted28.12.202408.01.20250.92%0%$0.21
202410.68%-12.12%$2.364
Forecasted05.12.202413.12.20240.96%+9.38%$0.21
Paid05.11.202413.11.20240.87%0%$0.192
Paid03.10.202410.10.20240.81%+1.05%$0.192
Paid05.09.202412.09.20240.86%0%$0.19
Paid05.08.202412.08.20240.87%0%$0.19
Paid03.07.202411.07.20240.86%0%$0.19
Paid05.06.202412.06.20240.84%0%$0.19
Paid03.05.202413.05.20240.86%0%$0.19
Paid03.04.202411.04.20240.88%-9.52%$0.19
Paid05.03.202413.03.20240.99%0%$0.21
Paid05.02.202413.02.20240.98%0%$0.21
Paid28.12.202308.01.20240.92%0%$0.21
202311.79%-24.12%$2.69
Paid05.12.202313.12.20230.96%0%$0.21
Paid03.11.202313.11.20230.99%0%$0.21
Paid04.10.202313.10.20230.99%0%$0.21
Paid06.09.202314.09.20230.93%0%$0.21
Paid03.08.202311.08.20230.91%-2.33%$0.21
Paid06.07.202314.07.20230.95%0%$0.215
Paid05.06.202313.06.20230.98%0%$0.215
Paid03.05.202311.05.20230.97%-6.52%$0.215
Paid05.04.202314.04.20231.01%-9.8%$0.23
Paid03.03.202313.03.20231.05%0%$0.255
Paid03.02.202313.02.20230.99%0%$0.255
Paid29.12.202209.01.20231.06%0%$0.255
202236.58%+13.46%$3.545
Paid05.12.202213.12.20223.08%0%$0.255
Paid03.11.202210.11.20223.37%0%$0.255
Paid05.10.202213.10.20223.26%-10.53%$0.255
Paid06.09.202214.09.20223.29%-5%$0.285
Paid03.08.202211.08.20223.34%0%$0.30
Paid06.07.202214.07.20223.38%0%$0.30
Paid03.06.202213.06.20222.9%0%$0.30
Paid04.05.202212.05.20222.91%0%$0.30
Paid05.04.202213.04.20222.66%0%$0.30
Paid03.03.202211.03.20222.75%0%$0.30
Paid03.02.202211.02.20222.44%-24.07%$0.30
Paid30.12.202107.01.20223.21%+31.7%$0.395
202123.27%-2.58%$3.125
Paid03.12.202113.12.20212.44%+11.11%$0.30
Paid03.11.202112.11.20212.04%0%$0.27
Paid05.10.202113.10.20212.03%0%$0.27
Paid03.09.202114.09.20212.02%0%$0.27
Paid04.08.202112.08.20212.02%+2.27%$0.27
Paid06.07.202114.07.20211.9%0%$0.264
Paid03.06.202111.06.20211.84%0%$0.264
Paid05.05.202113.05.20211.87%0%$0.264
Paid05.04.202113.04.20211.9%+10.69%$0.264
Paid03.03.202111.03.20211.76%+6%$0.239
Paid03.02.202111.02.20211.7%0%$0.225
Paid30.12.202008.01.20211.74%0%$0.225
202025.75%-31.4%$3.207
Paid03.12.202011.12.20201.79%0%$0.225
Paid04.11.202012.11.20201.95%-6.25%$0.225
Paid05.10.202013.10.20202.23%0%$0.24
Paid03.09.202014.09.20202.16%0%$0.24
Paid05.08.202013.08.20202.12%0%$0.24
Paid06.07.202014.07.20202.15%+6.67%$0.24
Paid03.06.202011.06.20201.96%0%$0.225
Paid05.05.202013.05.20202.29%-9.09%$0.225
Paid03.04.202014.04.20202.63%-32.49%$0.248
Paid04.03.202012.03.20202.26%0%$0.367
Paid05.02.202013.02.20202.12%0%$0.367
Paid30.12.201908.01.20202.08%0%$0.367
201926.82%-0.35%$4.675
Paid04.12.201912.12.20192.14%0%$0.367
Paid05.11.201913.11.20192.13%0%$0.367
Paid03.10.201911.10.20192.16%-2.4%$0.367
Paid05.09.201913.09.20192.28%0%$0.376
Paid05.08.201913.08.20192.32%-3.84%$0.376
Paid03.07.201912.07.20192.28%-3.7%$0.391
Paid05.06.201913.06.20192.39%0%$0.406
Paid03.05.201913.05.20192.27%0%$0.406
Paid03.04.201911.04.20192.23%0%$0.406
Paid05.03.201913.03.20192.21%0%$0.406
Paid05.02.201913.02.20192.14%0%$0.406
Paid28.12.201808.01.20192.26%0%$0.406
201822.92%+7.99%$4.692
Paid05.12.201813.12.20182.14%0%$0.406
Paid05.11.201813.11.20182.11%0%$0.406
Paid03.10.201811.10.20182.08%0%$0.406
Paid06.09.201814.09.20181.96%0%$0.406
Paid03.08.201813.08.20181.96%0%$0.406
Paid05.07.201813.07.20181.94%+1.12%$0.406
Paid05.06.201813.06.20181.92%+4.29%$0.401
Paid03.05.201811.05.20181.84%+4.48%$0.385
Paid04.04.201812.04.20181.79%0%$0.368
Paid05.03.201813.03.20181.76%0%$0.368
Paid05.02.201813.02.20181.75%0%$0.368
Paid28.12.201709.01.20181.68%0%$0.368
201720.28%+0.15%$4.345
Paid01.12.201712.12.20171.72%+1.83%$0.368
Paid01.11.201710.11.20171.68%0%$0.362
Paid02.10.201711.10.20171.63%0%$0.362
Paid01.09.201713.09.20171.67%0%$0.362
Paid01.08.201710.08.20171.67%0%$0.362
Paid03.07.201712.07.20171.67%0%$0.362
Paid01.06.201712.06.20171.69%0%$0.362
Paid01.05.201710.05.20171.7%0%$0.362
Paid03.04.201712.04.20171.71%0%$0.362
Paid01.03.201710.03.20171.71%0%$0.362
Paid01.02.201710.02.20171.69%0%$0.362
Paid28.12.201606.01.20171.73%0%$0.362
201621.43%-2.82%$4.338
Paid01.12.201612.12.20161.75%0%$0.362
Paid01.11.201610.11.20161.77%0%$0.362
Paid03.10.201612.10.20161.72%0%$0.362
Paid01.09.201613.09.20161.68%0%$0.362
Paid01.08.201610.08.20161.69%0%$0.362
Paid01.07.201613.07.20161.73%0%$0.362
Paid01.06.201610.06.20161.77%0%$0.362
Paid02.05.201611.05.20161.76%0%$0.362
Paid01.04.201612.04.20161.81%0%$0.362
Paid01.03.201610.03.20161.92%0%$0.362
Paid01.02.201610.02.20162.01%0%$0.362
Paid29.12.201508.01.20161.83%0%$0.362
201520.26%+2.69%$4.464
Paid01.12.201510.12.20151.81%0%$0.362
Paid02.11.201512.11.20151.78%0%$0.362
Paid01.10.201513.10.20151.8%0%$0.362
Paid01.09.201511.09.20151.79%0%$0.362
Paid03.08.201512.08.20151.65%0%$0.362
Paid01.07.201513.07.20151.63%0%$0.362
Paid01.06.201510.06.20151.54%0%$0.362
Paid01.05.201512.05.20151.52%0%$0.362
Paid01.04.201513.04.20151.54%0%$0.362
Paid02.03.201511.03.20151.53%0%$0.362
Paid02.02.201511.02.20151.55%-25.85%$0.362
Paid29.12.201408.01.20152.1%+34.85%$0.488
201417.79%-19.28%$4.347
Paid01.12.201410.12.20141.52%0%$0.362
Paid03.11.201412.11.20141.51%0%$0.362
Paid01.10.201410.10.20141.49%0%$0.362
Paid02.09.201411.09.20141.4%0%$0.362
Paid01.08.201412.08.20141.4%0%$0.362
Paid01.07.201411.07.20141.4%0%$0.362
Paid02.06.201411.06.20141.41%0%$0.362
Paid01.05.201412.05.20141.46%0%$0.362
Paid01.04.201410.04.20141.48%0%$0.362
Paid03.03.201412.03.20141.53%0%$0.362
Paid03.02.201412.02.20141.58%-2.43%$0.362
Paid27.12.201308.01.20141.62%0%$0.371
201323.8%+9.12%$5.386
Paid02.12.201311.12.20131.6%0%$0.371
Paid01.11.201312.11.20131.57%-7.49%$0.371
Paid01.10.201310.10.20131.75%0%$0.401
Paid03.09.201312.09.20131.82%-3.61%$0.401
Paid01.08.201312.08.20131.85%0%$0.416
Paid01.07.201311.07.20131.95%0%$0.416
Paid03.06.201312.06.20131.87%-1.56%$0.416
Paid01.05.201310.05.20131.79%-3.03%$0.422
Paid01.04.201310.04.20131.87%+10.17%$0.435
Paid01.03.201312.03.20131.72%-9.11%$0.395
Paid01.02.201312.02.20131.9%-52.23%$0.435
Paid27.12.201209.01.20134.1%+132.77%$0.91
201223.18%+86.39%$4.935
Paid03.12.201212.12.20121.79%+133.51%$0.391
Paid01.11.201213.11.20120.77%-71.34%$0.167
Paid01.10.201210.10.20122.66%+66.7%$0.584
Paid04.09.201213.09.20121.61%-1.93%$0.35
Paid01.08.201210.08.20121.66%-33.01%$0.357
Paid02.07.201212.07.20122.59%+12.82%$0.533
Paid01.06.201212.06.20122.35%+45.12%$0.473
Paid01.05.201210.05.20121.54%-49.11%$0.326
Paid02.04.201211.04.20122.89%+239.27%$0.64
Paid01.03.201212.03.20120.85%+90.03%$0.189
Paid01.02.201210.02.20120.46%-87.96%$0.0993
Paid28.12.201109.01.20124%+2.54%$0.825
201112.48%-$2.648
Paid01.12.201112.12.20113.9%+358.46%$0.805
Paid01.11.201110.11.20110.82%-78.88%$0.176
Paid03.10.201112.10.20114.13%+184.69%$0.831
Paid01.09.201113.09.20111.33%+20.87%$0.292
Paid01.08.201110.08.20111.05%-20.38%$0.242
Paid01.07.201113.07.20111.24%-$0.303

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 11.05% and distributions have decreased by 5.69% in the last 3 years.

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

The last payment was made on 13.11.2024.

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 05.11.2024, you received the distribution.

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

Global X SuperDividend ETF paid out a dividend of $2.69 in 2023.

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

Global X SuperDividend ETF paid out a dividend of $3.545 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 -24.12% based on the previous financial year. The average dividend growth over the last 5 years is -10.53%.

1 Year

Negative growth-24.12%

3 Year

Negative growth-5.694%

5 Year

Negative growth-10.53%

10 Year

Negative growth-6.706%

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