Global X MSCI SuperDividend EAFE ETF (EFAS) Dividend Yield, Date & History

$14.98
+0.14 (+0.94%)
(As of 05/13/2024 ET)

Dividend Summary

Dividend Yield
5.94%
Annual Dividend
$0.89
Dividend Increase
Track Record
1 Year
Recent
Dividend Payment
May. 13
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Global X MSCI SuperDividend EAFE ETF vs. The Competition

TypeGlobal X MSCI SuperDividend EAFE ETF CompaniesNASDAQ Companies
Annual Dividend$0.89$1.32$1.23
Dividend Yield5.94%1,519.59%393.11%
Annualized 3-Year Dividend Growth0.00%3,361.00%1,378.66%
Track Record1 year1 year7 years

Global X MSCI SuperDividend EAFE ETF Dividend History by Quarter

AnnouncedPeriodAmountYieldEx-Dividend DateRecord DatePayable Date
5/2/2024Monthly$0.06755.58%5/3/20245/6/20245/13/2024
4/2/2024Monthly$0.06755.53%4/3/20244/4/20244/11/2024
3/4/2024Monthly$0.06753/5/20243/6/20243/13/2024
2/2/2024Monthly$0.06752/5/20242/6/20242/13/2024
12/27/2023Monthly$0.156012.98%12/28/202312/29/20231/8/2024
12/4/2023Monthly$0.06755.94%12/5/202312/6/202312/13/2023
11/2/2023Monthly$0.06756.13%11/3/202311/6/202311/13/2023
10/3/2023Monthly$0.06806.44%10/4/202310/5/202310/13/2023
9/5/2023Monthly$0.06756.12%9/6/20239/7/20239/14/2023
8/2/2023Monthly$0.06758/3/20238/4/20238/11/2023
7/5/2023Monthly$0.06405.81%7/6/20237/7/20237/14/2023
6/2/2023Monthly$0.06405.76%6/5/20236/6/20236/13/2023
5/2/2023Monthly$0.06405.51%5/3/20235/4/20235/11/2023
4/4/2023Monthly$0.07206.32%4/5/20234/6/20234/14/2023
3/2/2023Monthly$0.07206.1%3/3/20233/6/20233/13/2023
2/2/2023Monthly$0.08206.91%2/3/20232/6/20232/13/2023
12/28/2022Monthly$0.136012%12/29/202212/30/20221/9/2023
12/2/2022Monthly$0.08207.29%12/5/202212/6/202212/13/2022
11/2/2022Monthly$0.08208.42%11/3/202211/4/202211/10/2022
10/4/2022Monthly$0.08208.29%10/5/202210/6/202210/13/2022
9/2/2022Monthly$0.08207.83%9/6/20229/7/20229/14/2022
8/2/2022Monthly$0.08207.18%8/3/20228/4/20228/11/2022
7/5/2022Monthly$0.08207.45%7/6/20227/7/20227/14/2022
6/2/2022Monthly$0.07806.13%6/3/20226/6/20226/13/2022
5/3/2022Monthly$0.07205.73%5/4/20225/5/20225/12/2022
4/4/2022Monthly$0.06805.27%4/5/20224/6/20224/13/2022
3/2/2022Monthly$0.06805.5%3/3/20223/4/20223/11/2022
2/2/2022Monthly$0.06805.1%2/3/20222/4/20222/11/2022
12/29/2021Monthly$0.12609.66%12/30/202112/31/20211/7/2022
12/2/2021Monthly$0.06805.44%12/3/202112/6/202112/13/2021
11/2/2021Monthly$0.06805.18%11/3/202111/4/202111/12/2021
10/4/2021Monthly$0.06805.29%10/5/202110/6/202110/13/2021
9/2/2021Monthly$0.06805.09%9/3/20219/7/20219/14/2021
8/3/2021Monthly$0.06504.89%8/4/20218/5/20218/12/2021
12/29/2020Monthly$0.05204.25%12/30/202012/31/20201/8/2021
12/2/2020Monthly$0.05204.32%12/3/202012/4/202012/11/2020
11/3/2020Monthly$0.05205.21%11/4/202011/5/202011/12/2020
10/2/2020Monthly$0.05104.95%10/5/202010/6/202010/13/2020
8/4/2020Monthly$0.04704.47%8/5/20208/6/20208/13/2020
1/1/1900$0.04707/6/20207/7/20207/14/2020
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6/2/2020Monthly$0.04704.55%6/3/20206/4/20206/11/2020
5/4/2020Monthly$0.04705.06%5/5/20205/6/20205/13/2020
4/2/2020Monthly$0.04705.56%4/3/20204/6/20204/14/2020
3/3/2020Monthly$0.07205.83%3/4/20203/5/20203/12/2020
2/5/2020monthly$0.07205.8%2/5/20202/6/20202/13/2020
12/30/2019monthly$0.07516.2%12/30/201912/31/20191/8/2020
12/4/2019monthly$0.07516.5%12/4/201912/5/201912/12/2019
10/2/2019Monthly$0.07505.94%10/3/201910/4/201910/11/2019
9/5/2019--$0.07516.9%9/5/20199/6/20199/13/2019
8/2/2019Monthly$0.07506.09%8/5/20198/6/20198/13/2019
7/2/2019Monthly$0.07805.84%7/3/20197/5/20197/12/2019
6/5/2019monthly$0.07996.69%6/5/20196/6/20196/13/2019
5/3/2019monthly$0.08236.14%5/3/20195/6/20195/13/2019
4/3/2019monthly$0.08236.1%4/3/20194/4/20194/11/2019
3/5/2019monthly$0.08236.1%3/5/20193/6/20193/13/2019
2/5/2019monthly$0.08236.13%2/5/20192/6/20192/13/2019
12/28/2018monthly$0.153812.27%12/28/201812/31/20181/8/2019
12/4/2018Monthly$0.08206.38%12/6/201812/6/201812/13/2018
11/5/2018monthly$0.08236.06%11/5/201811/6/201811/13/2018
10/3/2018monthly$0.08235.85%10/3/201810/4/201810/11/2018
9/5/2018Monthly$0.07905.64%9/6/20189/7/20189/14/2018
8/3/2018monthly$0.07675.31%8/3/20188/6/20188/13/2018
7/4/2018monthly$0.07675.35%7/5/20187/6/20187/13/2018
6/5/2018monthly$0.07675.27%6/5/20186/6/20186/13/2018
5/2/2018Monthly$0.07204.74%5/3/20185/4/20185/11/2018
4/4/2018monthly$0.07244.91%4/4/20184/5/20184/12/2018
3/5/2018monthly$0.07244.88%3/5/20183/6/20183/13/2018
2/5/2018monthly$0.07244.85%2/5/20182/6/20182/13/2018
12/28/2017monthly$0.268817.88%12/28/201712/29/20171/9/2018
12/4/2017monthly$0.07244.76%12/1/201712/4/201712/12/2017
(Data available from 1/1/2013 forward)

Global X MSCI SuperDividend EAFE ETF Dividend - Frequently Asked Questions

What is Global X MSCI SuperDividend EAFE ETF's dividend yield?

The current dividend yield for Global X MSCI SuperDividend EAFE ETF is 5.94%. Learn more on EFAS's dividend yield history.

How much is Global X MSCI SuperDividend EAFE ETF's annual dividend?

The annual dividend for EFAS shares is $0.89. Learn more on EFAS's annual dividend history.

How often does Global X MSCI SuperDividend EAFE ETF pay dividends?

Global X MSCI SuperDividend EAFE ETF pays monthly dividends to shareholders.

When was Global X MSCI SuperDividend EAFE ETF's most recent dividend payment?

Global X MSCI SuperDividend EAFE ETF's most recent monthly dividend payment of $0.0675 per share was made to shareholders on Monday, May 13, 2024.

When was Global X MSCI SuperDividend EAFE ETF's most recent ex-dividend date?

Global X MSCI SuperDividend EAFE ETF's most recent ex-dividend date was Friday, May 3, 2024.

What track record does Global X MSCI SuperDividend EAFE ETF have of raising its dividend?

Global X MSCI SuperDividend EAFE ETF has increased its dividend for 1 year.

When did Global X MSCI SuperDividend EAFE ETF last increase or decrease its dividend?

The most recent change in the company's dividend was a decrease of $0.0885 on Friday, February 2, 2024.

This page (NASDAQ:EFAS) was last updated on 5/14/2024 by MarketBeat.com Staff

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