Global X Funds - Global X Nasdaq 100 Covered Call & Growth ETF Dividends

Symbol
QYLG
Exchange
Nasdaq All Markets
Next Ex-Div Date
25 Apr 2024
Forward Dividend Yield
5.45%
Previous Dividend Calculator
ExDivDate: 18 Mar 2024
Amount: 0.1568 USD
You get

0.1568 USD

Track these dividends and more in DiviTrack for free.

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Status Declaration Date Ex-div Date PaymentDate Amount Currency Change
Estimated - 17 Mar 2025 25 Mar 2025 0.1624 USD + 7.55%
Estimated - 18 Feb 2025 26 Feb 2025 0.151 USD -0.92%
Estimated - 22 Jan 2025 30 Jan 2025 0.1524 USD -86.08%
Estimated - 26 Dec 2024 5 Jan 2025 1.0946 USD + 768.04%
Estimated - 18 Nov 2024 27 Nov 2024 0.1261 USD -6.45%
Estimated - 23 Oct 2024 31 Oct 2024 0.1348 USD -5.40%
Estimated - 16 Sep 2024 24 Sep 2024 0.1425 USD + 7.39%
Estimated - 19 Aug 2024 27 Aug 2024 0.1327 USD -3.70%
Estimated - 25 Jul 2024 2 Aug 2024 0.1378 USD -4.11%
Estimated - 18 Jun 2024 26 Jun 2024 0.1437 USD + 24.74%
Estimated - 20 May 2024 29 May 2024 0.1152 USD + 1.59%
Estimated - 25 Apr 2024 3 May 2024 0.1134 USD -27.68%
Confirmed 15 Mar 2024 18 Mar 2024 26 Mar 2024 0.1568 USD + 4.05%
Confirmed 16 Feb 2024 20 Feb 2024 28 Feb 2024 0.1507 USD + 0.74%
Confirmed 19 Jan 2024 22 Jan 2024 30 Jan 2024 0.1496 USD + 3.82%
Confirmed 27 Dec 2023 28 Dec 2023 8 Jan 2024 0.1441 USD + 12.49%
Confirmed 17 Nov 2023 20 Nov 2023 29 Nov 2023 0.1281 USD -3.97%
Confirmed 20 Oct 2023 23 Oct 2023 31 Oct 2023 0.1334 USD -3.86%
Confirmed 15 Sep 2023 18 Sep 2023 26 Sep 2023 0.13875 USD + 3.01%
Confirmed 18 Aug 2023 21 Aug 2023 29 Aug 2023 0.1347 USD -4.26%
Confirmed 21 Jul 2023 24 Jul 2023 1 Aug 2023 0.1407 USD + 1.52%
Confirmed 16 Jun 2023 20 Jun 2023 28 Jun 2023 0.1386 USD + 11.41%
Confirmed 19 May 2023 22 May 2023 31 May 2023 0.1244 USD -1.27%
Confirmed 21 Apr 2023 24 Apr 2023 2 May 2023 0.126 USD + 2.52%
Confirmed 17 Mar 2023 20 Mar 2023 28 Mar 2023 0.1229 USD + 0.41%
Confirmed 17 Feb 2023 21 Feb 2023 1 Mar 2023 0.1224 USD + 6.53%
Confirmed 20 Jan 2023 23 Jan 2023 31 Jan 2023 0.1149 USD + 1.29%
Confirmed 28 Dec 2022 29 Dec 2022 9 Jan 2023 0.11344 USD -2.54%
Confirmed 18 Nov 2022 21 Nov 2022 30 Nov 2022 0.1164 USD + 12.25%
Confirmed 21 Oct 2022 24 Oct 2022 1 Nov 2022 0.1037 USD -5.98%
Confirmed 16 Sep 2022 19 Sep 2022 27 Sep 2022 0.1103 USD -10.98%
Confirmed 19 Aug 2022 22 Aug 2022 30 Aug 2022 0.1239 USD + 9.65%
Confirmed 15 Jul 2022 18 Jul 2022 26 Jul 2022 0.113 USD + 4.63%
Confirmed 17 Jun 2022 21 Jun 2022 29 Jun 2022 0.108 USD -5.18%
Confirmed 20 May 2022 23 May 2022 1 Jun 2022 0.1139 USD -15.69%
Confirmed 14 Apr 2022 18 Apr 2022 26 Apr 2022 0.1351 USD -1.03%
Confirmed 18 Mar 2022 21 Mar 2022 29 Mar 2022 0.1365 USD + 3.33%
Confirmed 18 Feb 2022 22 Feb 2022 2 Mar 2022 0.1321 USD -1.42%
Confirmed 21 Jan 2022 24 Jan 2022 1 Feb 2022 0.134 USD -95.82%
Confirmed 29 Dec 2021 30 Dec 2021 7 Jan 2022 3.207 USD + 1922.07%
Confirmed 19 Nov 2021 22 Nov 2021 1 Dec 2021 0.1586 USD + 12.21%
Confirmed - 18 Oct 2021 26 Oct 2021 0.14134 USD + 2.01%
Confirmed 17 Sep 2021 20 Sep 2021 28 Sep 2021 0.13855 USD -1.21%
Confirmed 20 Aug 2021 23 Aug 2021 31 Aug 2021 0.14024 USD -11.41%
Confirmed 16 Jul 2021 19 Jul 2021 27 Jul 2021 0.1583 USD + 15.82%
Confirmed 8 Jan 2021 21 Jun 2021 29 Jun 2021 0.13668 USD -8.76%
Confirmed 8 Jan 2021 24 May 2021 2 Jun 2021 0.1498 USD -3.85%
Confirmed 8 Jan 2021 19 Apr 2021 27 Apr 2021 0.1558 USD + 6.35%
Confirmed 8 Jan 2021 22 Mar 2021 30 Mar 2021 0.1465 USD -5.91%
Confirmed 8 Jan 2021 22 Feb 2021 2 Mar 2021 0.1557 USD + 4.11%
Confirmed 8 Jan 2021 19 Jan 2021 27 Jan 2021 0.14955 USD + 0.17%
Confirmed 30 Dec 2020 30 Dec 2020 8 Jan 2021 0.14929 USD + 5.36%
Confirmed 20 Nov 2020 23 Nov 2020 2 Dec 2020 0.1417 USD + 1.43%
Confirmed - 19 Oct 2020 27 Oct 2020 0.1397 USD 0.00%

QYLG Dividend FAQ

The next ex dividend date for Global X Funds - Global X Nasdaq 100 Covered Call & Growth ETF is on 25 Apr 2024.
The last dividend for Global X Funds - Global X Nasdaq 100 Covered Call & Growth ETF went ex dividend on 18 Mar 2024 with a value of 0.1568 USD.
The forward dividend yield for Global X Funds - Global X Nasdaq 100 Covered Call & Growth ETF is 5.45%.