Explore the dividend history of QYLD and unlock valuable insights for your investment strategy.
Ex-Dividend Date
Dividend Yield
Paid this Year
PE Ratio
Understanding the dividend history of QYLD can provide valuable information for investors. By examining the historical dividend yields, you can gauge the income potential of owning Global X NASDAQ 100 Covered Call ETF shares. Additionally, the annual dividend figures and the stock's PE ratio can help you assess the financial health and valuation of the company.
Our platform empowers you to make informed investment decisions based on Global X NASDAQ 100 Covered Call ETF's dividend track record. By leveraging our unique 10-point methodology for dividend stock selection, you can identify profitable opportunities and optimize your portfolio for long-term income generation. Stay up-to-date with the latest ex-dividend dates and dividend announcements of Global X NASDAQ 100 Covered Call ETF to capitalize on the potential rewards of dividend investing.
Declaration Date | Ex Dividend Date | Cash Amount | Dividend Type | Pay Date |
---|---|---|---|---|
24 Jul 2023 (Mon) | 1 Aug 2023 (Tue) | $0.1731 | Cash Dividend | 22 Aug 2023 (Tue) |
20 Jun 2023 (Tue) | 28 Jun 2023 (Wed) | $0.1797 | Cash Dividend | 24 Jul 2023 (Mon) |
22 May 2023 (Mon) | 31 May 2023 (Wed) | $0.1768 | Cash Dividend | 20 Jun 2023 (Tue) |
24 Apr 2023 (Mon) | 2 May 2023 (Tue) | $0.1682 | Cash Dividend | 22 May 2023 (Mon) |
20 Mar 2023 (Mon) | 28 Mar 2023 (Tue) | $0.1730 | Cash Dividend | 24 Apr 2023 (Mon) |
21 Feb 2023 (Tue) | 1 Mar 2023 (Wed) | $0.1690 | Cash Dividend | 20 Mar 2023 (Mon) |
23 Jan 2023 (Mon) | 31 Jan 2023 (Tue) | $0.1674 | Cash Dividend | 21 Feb 2023 (Tue) |
29 Dec 2022 (Thu) | 9 Jan 2023 (Mon) | $0.1696 | Cash Dividend | 23 Jan 2023 (Mon) |
21 Nov 2022 (Mon) | 30 Nov 2022 (Wed) | $0.1614 | Cash Dividend | 29 Dec 2022 (Thu) |
24 Oct 2022 (Mon) | 1 Nov 2022 (Tue) | $0.1648 | Cash Dividend | 21 Nov 2022 (Mon) |
19 Sep 2022 (Mon) | 27 Sep 2022 (Tue) | $0.1558 | Cash Dividend | 24 Oct 2022 (Mon) |
22 Aug 2022 (Mon) | 30 Aug 2022 (Tue) | $0.1583 | Cash Dividend | 19 Sep 2022 (Mon) |
18 Jul 2022 (Mon) | 26 Jul 2022 (Tue) | $0.1737 | Cash Dividend | 22 Aug 2022 (Mon) |
21 Jun 2022 (Tue) | 29 Jun 2022 (Wed) | $0.1733 | Cash Dividend | 18 Jul 2022 (Mon) |
23 May 2022 (Mon) | 1 Jun 2022 (Wed) | $0.1662 | Cash Dividend | 21 Jun 2022 (Tue) |
18 Apr 2022 (Mon) | 26 Apr 2022 (Tue) | $0.1710 | Cash Dividend | 23 May 2022 (Mon) |
21 Mar 2022 (Mon) | 29 Mar 2022 (Tue) | $0.1965 | Cash Dividend | 18 Apr 2022 (Mon) |
22 Feb 2022 (Tue) | 2 Mar 2022 (Wed) | $0.2009 | Cash Dividend | 21 Mar 2022 (Mon) |
24 Jan 2022 (Mon) | 1 Feb 2022 (Tue) | $0.1935 | Cash Dividend | 22 Feb 2022 (Tue) |
30 Dec 2021 (Thu) | 7 Jan 2022 (Fri) | $0.1945 | Cash Dividend | 24 Jan 2022 (Mon) |