US Pfd ETF/Global X Funds (NYSE:PFFD) Dividend History

Click to see US Pfd ETF/Global X Funds Dividend Data, Dates and more financial information, or here to see PFFD Projected 10 Year Dividend Yield.

US Pfd ETF/Global X Funds (NYSE:PFFD) Dividend Information
 
US Pfd ETF/Global X Funds (NYSE:PFFD) Dividend History
US Pfd ETF/Global X FundsPFFD 2024 Dividends
Decl Date Ex Date Rec Date Pay Date Type AmountAmt $
Dec. 03, 202412/3/24 Dec. 04, 202412/4/24 Dec. 04, 202412/4/24 Dec. 11, 202412/11/24 0 0.103
Nov. 04, 202411/4/24 Nov. 05, 202411/5/24 Nov. 05, 202411/5/24 Nov. 13, 202411/13/24 0 0.103
Oct. 02, 202410/2/24 Oct. 03, 202410/3/24 Oct. 03, 202410/3/24 Oct. 10, 202410/10/24 0 0.105
Sep. 04, 20249/4/24 Sep. 05, 20249/5/24 Sep. 05, 20249/5/24 Sep. 12, 20249/12/24 0 0.105
Aug. 02, 20248/2/24 Aug. 05, 20248/5/24 Aug. 05, 20248/5/24 Aug. 12, 20248/12/24 0 0.105
Jul. 02, 20247/2/24 Jul. 03, 20247/3/24 Jul. 03, 20247/3/24 Jul. 11, 20247/11/24 0 0.105
Jun. 04, 20246/4/24 Jun. 05, 20246/5/24 Jun. 05, 20246/5/24 Jun. 12, 20246/12/24 0 0.105
May. 02, 20245/2/24 May. 03, 20245/3/24 May. 06, 20245/6/24 May. 13, 20245/13/24 0 0.105
Apr. 02, 20244/2/24 Apr. 03, 20244/3/24 Apr. 04, 20244/4/24 Apr. 11, 20244/11/24 0 0.105
Mar. 04, 20243/4/24 Mar. 05, 20243/5/24 Mar. 06, 20243/6/24 Mar. 13, 20243/13/24 0 0.105
Feb. 02, 20242/2/24 Feb. 05, 20242/5/24 Feb. 06, 20242/6/24 Feb. 13, 20242/13/24 0 0.105
Dec. 27, 202312/27/23 Dec. 28, 202312/28/23 Dec. 29, 202312/29/23 Jan. 08, 20241/8/24 0 0.105
US Pfd ETF/Global X FundsPFFD 2024 Total: 1.255
US Pfd ETF/Global X FundsPFFD 2023 Dividends
Decl Date Ex Date Rec Date Pay Date Type AmountAmt $
Dec. 04, 202312/4/23 Dec. 05, 202312/5/23 Dec. 06, 202312/6/23 Dec. 13, 202312/13/23 0 0.105
Nov. 02, 202311/2/23 Nov. 03, 202311/3/23 Nov. 06, 202311/6/23 Nov. 13, 202311/13/23 0 0.105
Oct. 03, 202310/3/23 Oct. 04, 202310/4/23 Oct. 05, 202310/5/23 Oct. 13, 202310/13/23 0 0.105
Sep. 05, 20239/5/23 Sep. 06, 20239/6/23 Sep. 07, 20239/7/23 Sep. 14, 20239/14/23 0 0.105
Aug. 02, 20238/2/23 Aug. 03, 20238/3/23 Aug. 04, 20238/4/23 Aug. 11, 20238/11/23 0 0.105
Jul. 05, 20237/5/23 Jul. 06, 20237/6/23 Jul. 07, 20237/7/23 Jul. 14, 20237/14/23 0 0.105
Jun. 02, 20236/2/23 Jun. 05, 20236/5/23 Jun. 06, 20236/6/23 Jun. 13, 20236/13/23 0 0.105
May. 02, 20235/2/23 May. 03, 20235/3/23 May. 04, 20235/4/23 May. 11, 20235/11/23 0 0.105
Apr. 04, 20234/4/23 Apr. 05, 20234/5/23 Apr. 06, 20234/6/23 Apr. 14, 20234/14/23 0 0.105
Mar. 02, 20233/2/23 Mar. 03, 20233/3/23 Mar. 06, 20233/6/23 Mar. 13, 20233/13/23 0 0.105
Feb. 02, 20232/2/23 Feb. 03, 20232/3/23 Feb. 06, 20232/6/23 Feb. 13, 20232/13/23 0 0.105
Dec. 28, 202212/28/22 Dec. 29, 202212/29/22 Dec. 30, 202212/30/22 Jan. 09, 20231/9/23 0 0.105
US Pfd ETF/Global X FundsPFFD 2023 Total: 1.260
US Pfd ETF/Global X FundsPFFD 2022 Dividends
Decl Date Ex Date Rec Date Pay Date Type AmountAmt $
Dec. 02, 202212/2/22 Dec. 05, 202212/5/22 Dec. 06, 202212/6/22 Dec. 13, 202212/13/22 0 0.105
Nov. 02, 202211/2/22 Nov. 03, 202211/3/22 Nov. 04, 202211/4/22 Nov. 10, 202211/10/22 0 0.105
Oct. 04, 202210/4/22 Oct. 05, 202210/5/22 Oct. 06, 202210/6/22 Oct. 13, 202210/13/22 0 0.105
Sep. 02, 20229/2/22 Sep. 06, 20229/6/22 Sep. 07, 20229/7/22 Sep. 14, 20229/14/22 0 0.105
Aug. 02, 20228/2/22 Aug. 03, 20228/3/22 Aug. 04, 20228/4/22 Aug. 11, 20228/11/22 0 0.105
Jul. 05, 20227/5/22 Jul. 06, 20227/6/22 Jul. 07, 20227/7/22 Jul. 14, 20227/14/22 0 0.109
Jun. 02, 20226/2/22 Jun. 03, 20226/3/22 Jun. 06, 20226/6/22 Jun. 13, 20226/13/22 0 0.109
May. 03, 20225/3/22 May. 04, 20225/4/22 May. 05, 20225/5/22 May. 12, 20225/12/22 0 0.109
Apr. 04, 20224/4/22 Apr. 05, 20224/5/22 Apr. 06, 20224/6/22 Apr. 13, 20224/13/22 0 0.109
Mar. 02, 20223/2/22 Mar. 03, 20223/3/22 Mar. 04, 20223/4/22 Mar. 11, 20223/11/22 0 0.109
Feb. 02, 20222/2/22 Feb. 03, 20222/3/22 Feb. 04, 20222/4/22 Feb. 11, 20222/11/22 0 0.109
Dec. 29, 202112/29/21 Dec. 30, 202112/30/21 Dec. 31, 202112/31/21 Jan. 07, 20221/7/22 0 0.109
US Pfd ETF/Global X FundsPFFD 2022 Total: 1.288

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US Pfd ETF/Global X FundsPFFD 2021 Dividends
Decl Date Ex Date Rec Date Pay Date Type AmountAmt $
Dec. 02, 202112/2/21 Dec. 03, 202112/3/21 Dec. 06, 202112/6/21 Dec. 13, 202112/13/21 0 0.109
Nov. 02, 202111/2/21 Nov. 03, 202111/3/21 Nov. 04, 202111/4/21 Nov. 12, 202111/12/21 0 0.109
Oct. 04, 202110/4/21 Oct. 05, 202110/5/21 Oct. 06, 202110/6/21 Oct. 13, 202110/13/21 0 0.109
Sep. 02, 20219/2/21 Sep. 03, 20219/3/21 Sep. 07, 20219/7/21 Sep. 14, 20219/14/21 0 0.113
Aug. 03, 20218/3/21 Aug. 04, 20218/4/21 Aug. 05, 20218/5/21 Aug. 12, 20218/12/21 0 0.109
Jul. 02, 20217/2/21 Jul. 06, 20217/6/21 Jul. 07, 20217/7/21 Jul. 14, 20217/14/21 0 0.109
Jun. 02, 20216/2/21 Jun. 03, 20216/3/21 Jun. 04, 20216/4/21 Jun. 11, 20216/11/21 0 0.109
May. 04, 20215/4/21 May. 05, 20215/5/21 May. 06, 20215/6/21 May. 13, 20215/13/21 0 0.109
Apr. 01, 20214/1/21 Apr. 05, 20214/5/21 Apr. 06, 20214/6/21 Apr. 13, 20214/13/21 0 0.109
Mar. 02, 20213/2/21 Mar. 03, 20213/3/21 Mar. 04, 20213/4/21 Mar. 11, 20213/11/21 0 0.109
Feb. 02, 20212/2/21 Feb. 03, 20212/3/21 Feb. 04, 20212/4/21 Feb. 11, 20212/11/21 0 0.109
Dec. 29, 202012/29/20 Dec. 30, 202012/30/20 Dec. 31, 202012/31/20 Jan. 08, 20211/8/21 0 0.109
US Pfd ETF/Global X FundsPFFD 2021 Total: 1.312
US Pfd ETF/Global X FundsPFFD 2020 Dividends
Decl Date Ex Date Rec Date Pay Date Type AmountAmt $
Dec. 02, 202012/2/20 Dec. 03, 202012/3/20 Dec. 04, 202012/4/20 Dec. 11, 202012/11/20 0 0.109
Nov. 03, 202011/3/20 Nov. 04, 202011/4/20 Nov. 05, 202011/5/20 Nov. 12, 202011/12/20 0 0.109
Oct. 02, 202010/2/20 Oct. 05, 202010/5/20 Oct. 06, 202010/6/20 Oct. 13, 202010/13/20 0 0.109
Sep. 02, 20209/2/20 Sep. 03, 20209/3/20 Sep. 04, 20209/4/20 Sep. 14, 20209/14/20 0 0.109
Aug. 04, 20208/4/20 Aug. 05, 20208/5/20 Aug. 06, 20208/6/20 Aug. 13, 20208/13/20 0 0.109
Jul. 02, 20207/2/20 Jul. 06, 20207/6/20 Jul. 07, 20207/7/20 Jul. 14, 20207/14/20 0 0.114
Jun. 02, 20206/2/20 Jun. 03, 20206/3/20 Jun. 04, 20206/4/20 Jun. 11, 20206/11/20 0 0.114
May. 04, 20205/4/20 May. 05, 20205/5/20 May. 06, 20205/6/20 May. 13, 20205/13/20 0 0.114
Apr. 02, 20204/2/20 Apr. 03, 20204/3/20 Apr. 06, 20204/6/20 Apr. 14, 20204/14/20 0 0.114
Mar. 03, 20203/3/20 Mar. 04, 20203/4/20 Mar. 05, 20203/5/20 Mar. 12, 20203/12/20 0 0.114
Feb. 04, 20202/4/20 Feb. 05, 20202/5/20 Feb. 06, 20202/6/20 Feb. 13, 20202/13/20 0 0.114
Dec. 27, 201912/27/19 Dec. 30, 201912/30/19 Dec. 31, 201912/31/19 Jan. 08, 20201/8/20 0 0.114
US Pfd ETF/Global X FundsPFFD 2020 Total: 1.340
US Pfd ETF/Global X FundsPFFD 2019 Dividends
Decl Date Ex Date Rec Date Pay Date Type AmountAmt $
Dec. 03, 201912/3/19 Dec. 04, 201912/4/19 Dec. 05, 201912/5/19 Dec. 12, 201912/12/19 0 0.114
Nov. 04, 201911/4/19 Nov. 05, 201911/5/19 Nov. 06, 201911/6/19 Nov. 13, 201911/13/19 0 0.114
Oct. 02, 201910/2/19 Oct. 03, 201910/3/19 Oct. 04, 201910/4/19 Oct. 11, 201910/11/19 0 0.114
Sep. 04, 20199/4/19 Sep. 05, 20199/5/19 Sep. 06, 20199/6/19 Sep. 13, 20199/13/19 0 0.114
Aug. 02, 20198/2/19 Aug. 05, 20198/5/19 Aug. 06, 20198/6/19 Aug. 13, 20198/13/19 0 0.115
Jul. 02, 20197/2/19 Jul. 03, 20197/3/19 Jul. 05, 20197/5/19 Jul. 12, 20197/12/19 0 0.115
Jun. 04, 20196/4/19 Jun. 05, 20196/5/19 Jun. 06, 20196/6/19 Jun. 13, 20196/13/19 0 0.115
May. 02, 20195/2/19 May. 03, 20195/3/19 May. 06, 20195/6/19 May. 13, 20195/13/19 0 0.115
Apr. 02, 20194/2/19 Apr. 03, 20194/3/19 Apr. 04, 20194/4/19 Apr. 11, 20194/11/19 0 0.115
Mar. 04, 20193/4/19 Mar. 05, 20193/5/19 Mar. 06, 20193/6/19 Mar. 13, 20193/13/19 0 0.115
Feb. 04, 20192/4/19 Feb. 05, 20192/5/19 Feb. 06, 20192/6/19 Feb. 13, 20192/13/19 0 0.115
Dec. 27, 201812/27/18 Dec. 28, 201812/28/18 Dec. 31, 201812/31/18 Jan. 08, 20191/8/19 0 0.115
US Pfd ETF/Global X FundsPFFD 2019 Total: 1.372
US Pfd ETF/Global X Funds Dividend Stock News and Updates

Oct. 02, 2024DIVIDEND ANNOUNCEMENT: US Pfd ETF/Global X Funds (NYSE: PFFD) on 10-02-2024 declared a dividend of $0.1050 per share

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Sep. 25, 2024PFFD STOCK PRICE 52 WEEK HIGH: US Pfd ETF/Global X Funds on 09-25-2024 hit a 52 week high of $21.00

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Sep. 20, 2024PFFD STOCK PRICE 52 WEEK HIGH: US Pfd ETF/Global X Funds on 09-20-2024 hit a 52 week high of $20.97

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