Frequency - Monthly

Dividend Date Revenew Currency Payment Date
25/12/04 0.151945 USD 25/12/12
25/10/30 0.150943 USD 25/11/07
25/10/02 0.113299 USD 25/10/10
25/08/28 0.115977 USD 25/09/05
25/07/31 0.115337 USD 25/08/08
25/07/03 0.142691 USD 25/07/11
25/05/30 0.146321 USD 25/06/06
25/05/08 0.142216 USD 25/05/16
25/04/03 0.15058 USD 25/04/11
25/03/06 0.104404 USD 25/03/14
25/01/30 0.136777 USD 25/02/07
25/01/16 0.159081 USD 25/01/24
24/11/29 0.132677 USD 24/12/09
24/10/31 0.13975 USD 24/11/08
24/10/03 0.12502 USD 24/10/11
24/08/29 0.147261 USD 24/09/06
24/08/01 0.10527 USD 24/08/09
24/07/05 0.092711 USD 24/07/15
24/05/30 0.094529 USD 24/06/07
24/05/02 0.114097 USD 24/05/10
24/03/27 0.106803 USD 24/04/04
24/03/07 0.102974 USD 24/03/15
24/02/01 0.107084 USD 24/02/09
24/01/11 0.09561 USD 24/01/18
23/11/30 0.091001 USD 23/12/07
23/11/02 0.140877 USD 23/11/09
23/09/28 0.110297 USD 23/10/05
23/08/31 0.129899 USD 23/09/07
23/08/03 0.096734 USD 23/08/10
 

Dividends paid by Structured ETF Global X S&P 500 Covered Call Ucits Etf


The Exchange accepts no responsability for the content of the website you are now accessing or for any reliance placed by you or any person on the information contained on it.

By allowing this link the Exchange does not intend in any country, directly or indirectly, to solicit business or offer any securities to any person.


You will be redirected in five seconds.