Global X Variable Rate Preferred ETF (PFFV)

News/Announcements: None

Updated: 2024-12-27

Last Close Price: $23.7349

Yield: 7.39%

Payout Ratio: --

PE Ratio: 6.13

Market Cap: 0.26B

Frequency: Monthly

Dividend History (adjusted for splits)

Ex-Dividend DatePayout DateCash Amount% Change
2025-02-052025-02-13$0.146unconfirmed/estimated
2024-12-042024-12-11$0.146
2024-11-052024-11-13$0.1460.69%
2024-10-032024-10-10$0.1451.4%
2024-09-052024-09-12$0.143
2024-08-052024-08-12$0.1434.38%
2024-07-032024-07-11$0.137
2024-06-052024-06-12$0.1373.01%
2024-05-032024-05-13$0.133
2024-04-032024-04-11$0.133
2024-03-052024-03-13$0.133
2024-02-052024-02-13$0.133-45.98%
2023-12-282024-01-08$0.24621989.4%
2023-12-052023-12-13$0.13
2023-11-032023-11-13$0.13
2023-10-042023-10-13$0.13
2023-09-062023-09-14$0.13
2023-08-032023-08-11$0.13
2023-07-062023-07-14$0.13
2023-06-052023-06-13$0.13
2023-05-032023-05-11$0.134%
2023-04-052023-04-14$0.125
2023-03-032023-03-13$0.125
2023-02-032023-02-13$0.1254.17%
2022-12-292023-01-09$0.12
2022-12-052022-12-13$0.12
2022-11-032022-11-10$0.12-4%
2022-10-052022-10-13$0.125
2022-09-062022-09-14$0.125
2022-08-032022-08-11$0.125
2022-07-062022-07-14$0.125
2022-06-032022-06-13$0.125
2022-05-042022-05-12$0.125
2022-04-052022-04-13$0.125
2022-03-032022-03-11$0.125
2022-02-032022-02-11$0.1253.73%
2021-12-302022-01-07$0.1205
2021-12-032021-12-13$0.1205
2021-11-032021-11-12$0.1205
2021-10-052021-10-13$0.1205
2021-09-032021-09-14$0.1205
2021-08-042021-08-12$0.1205
2021-07-062021-07-14$0.1205
2021-06-032021-06-11$0.1205
2021-05-052021-05-13$0.1205
2021-04-052021-04-13$0.1205-1.63%
2021-03-032021-03-11$0.1225
2021-02-032021-02-11$0.122516.22%
2020-12-302021-01-08$0.1054-13.96%
2020-12-032020-12-11$0.1225
2020-11-042020-11-12$0.1225
2020-10-052020-10-13$0.1225
2020-09-032020-09-14$0.1225
2020-08-052020-08-13$0.12250.41%
2020-01-032020-01-11$0.122



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