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SDIV | Global X SuperDividend ETF Holdings

(Stock Exchange: AMEX)
Symbol Name Market Cap Weight Valuation Profitability Growth Health 200SMA Price Change IV IV Rank
0551.HK YUE YUEN INDUSTRIAL HLDG 1.85%
VLK.AS VAN LANSCHOT KEMPEN NV 1.32%
ADRO.JK ADARO ENERGY IND 1.30%
0014.HK HYSAN DEVELOPMENT CO 1.29%
0683.HK KERRY PROPERTIES LTD 1.28%
KNTK Kinetik Holdings Inc. 3.73B 1.25%
62.46 3.08% 25.44% 8.26%
MFEA.MI MFE-MEDIAFOREU-A 1.24%
SBRA Sabra Health Care REIT, Inc. 4.35B 1.23%
18.39 0.00% 49.85% 12.45%
0010.HK HANG LUNG GROUP LTD 1.23%
1310.HK HKBN LTD 1.22%
1908.HK C&D INTERNATIONA 1.22%
3618.HK CQRC BANK-H 1.20%
RWT Redwood Trust, Inc. 937.11M 1.20%
7.09 0.93% 38.63% 44.27%
AMBP Ardagh Metal Packaging S.A. 2.20B 1.19%
3.69 1.52% 54.02% 71.20%
SIRI-R.BK SANSIRI PCL-NVDR 1.18%
GOOD Gladstone Commercial Corporation 745.75M 1.18%
16.98 1.07% 48.66% 34.85%
RDF.JO REDEFINE PROPERTIES LTD 1.18%
BDN Brandywine Realty Trust 965.20M 1.18%
5.59 3.71% 58.50% 15.37%
CERT.SI CROMWELL REIT EUR 1.16%
COFA.PA COFACE SA 1.16%
GRT.JO GROWTHPOINT PROP 1.16%
VALE3.SA VALE SA 1.15%
ENOG.L Energean PLC 1.15%
KEN.TA KENON HOLDINGS LTD 1.15%
OHI Omega Healthcare Investors, Inc. 10.86B 1.14%
40.24 0.89% 22.63% 31.86%
IGO.AX IGO LTD 1.13%
DLEKG.TA DELEK GROUP LTD 1.13%
1883.HK CITIC TELECOM 1.12%
KREF KKR Real Estate Finance Trust Inc. 802.87M 1.12%
11.54 0.70% 7.60% 40.54%
BTI British American Tobacco p.l.c. 81.63B 1.11%
36.97 -0.30% 23.60% 83.39%
PTBA.JK BUKIT ASAM TBK PT 1.11%
CIM Chimera Investment Corporation 1.18B 1.09%
14.65 0.90% 30.95% 8.49%
VOD Vodafone Group Public Limited Company 23.03B 1.09%
8.85 -1.01% 35.79% 34.05%
GMRE Global Medical REIT Inc. 585.53M 1.08%
8.77 1.45% 61.01% 49.20%
0081.HK CHINA OVERSEAS G 1.08%
1171.HK YANKUANG ENRGY-H 1.07%
GNL Global Net Lease, Inc. 1.68B 1.07%
7.30 0.07% 119.92% 65.42%
0008.HK PCCW LTD 1.05%
UNIT Uniti Group Inc. 1.44B 1.05%
5.91 4.33% 51.40% 11.07%
BPCC.KW BOUBYAN PETROCHEMICALS CO 1.04%
ICAD.PA ICADE 1.04%
ABR Arbor Realty Trust, Inc. 2.74B 1.04%
14.51 -0.72% 40.84% 9.20%
0303.HK VTECH HOLDINGS LTD 1.03%
MPW Medical Properties Trust, Inc. 2.52B 1.02%
4.21 -1.29% 90.32% 30.44%
PHNX.L PHOENIX GROUP HO 1.02%
MFA MFA Financial, Inc. 1.12B 1.02%
10.93 0.78% 28.34% 37.59%
0101.HK HANG LUNG PROPERTIES LTD 1.02%
EFC Ellington Financial Inc. 1.13B 0.99%
12.41 0.99% 41.90% 50.46%
BWLPG.OL BW LPG LTD 0.99%
ABDN.L ABRDN PLC 0.97%
0546.HK FUFENG GROUP LTD 0.96%
PMT PennyMac Mortgage Investment Trust 1.16B 0.96%
13.35 1.52% 42.46% 50.79%
DX Dynex Capital, Inc. 989.31M 0.96%
12.48 0.52% 45.47% 32.50%
STWD Starwood Property Trust, Inc. 6.71B 0.96%
19.91 0.81% 18.23% 5.68%
KRP Kimbell Royalty Partners, LP 1.76B 0.95%
16.02 0.13% 40.72% 21.12%
FBRT Franklin BSP Realty Trust, Inc. 1.05B 0.95%
12.89 0.43% 29.59% 46.58%
OET.OL OKEANIS ECO TANKERS CORP 0.94%
RITM Rithm Capital Corp. 5.61B 0.93%
10.80 1.50% 24.99% 51.12%
DHT DHT Holdings, Inc. 1.67B 0.92%
10.36 -1.76% 36.41% 42.14%
AGNC AGNC Investment Corp. 8.59B 0.92%
9.70 0.47% 20.53% 8.19%
CLCO Cool Company Ltd. 499.97M 0.92%
9.31 -12.50% N/A N/A
FLNG FLEX LNG Ltd. 1.41B 0.91%
26.24 -0.98% 24.22% 36.93%
SEIT.L SDCL ENERGY EFFI 0.91%
NLY Annaly Capital Management, Inc. 11.08B 0.91%
19.77 1.52% 19.68% 24.43%
YAL.AX YANCOAL AUSTRALIA LTD 0.91%
ENG.MC ENAGAS SA 0.90%
ELPE GA HELLENiQ ENERGY 0.90%
BRAP4.SA BRADESPAR SA 0.89%
AGAS.OL AVANCE GAS HOLDING LTD 0.87%
OPAP GA OPAP SA 0.87%
ITMG.JK INDO TAMBANGRAYA 0.86%
CMIN3.SA CSN MINERACAO SA 0.85%
FRO Frontline Ltd. 4.35B 0.85%
19.53 -3.60% 50.75% 87.32%
BXMT Blackstone Mortgage Trust, Inc. 3.25B 0.85%
18.80 1.27% 24.98% 34.70%
TWO Two Harbors Investment Corp. 1.20B 0.84%
11.55 0.74% 26.67% 47.83%
VAR.OL VAR ENERGI ASA 0.84%
BRY Berry Corporation 327.76M 0.83%
4.26 1.67% 278.43% 75.03%
0639.HK SHOUGANG FUSHAN 0.82%
NAT Nordic American Tankers Limited 625.34M 0.81%
2.9950 -0.17% 99.72% 98.83%
HUMANSFT.KW HUMANSOFT HOLDING CO KSC 0.80%
MNG.L M&G PLC 0.79%
PROX BB PROXIMUS 0.79%
SQZ.L SERICA ENERGY PLC 0.78%
ARI Apollo Commercial Real Estate Finance, I... 1.27B 0.76%
9.20 0.82% 87.30% 44.54%
BRSP BrightSpire Capital, Inc. 807.20M 0.76%
6.22 1.21% 206.24% 53.09%
EC Ecopetrol S.A. 16.85B 0.74%
8.20 1.42% 16.14% 61.17%
RC Ready Capital Corporation 1.23B 0.74%
7.29 1.25% 51.08% 33.11%
HAFNI.OL HAFNIA LTD 0.73%
PETR4.SA PETROLEO BRASILEIRO SA 0.73%
VULC3.SA VULCABRAS SA 0.73%
NEP NextEra Energy Partners, LP 1.52B 0.73%
16.30 1.37% 51.20% 72.38%
NYMT New York Mortgage Trust, Inc. 531.70M 0.71%
5.87 1.21% 53.06% 51.79%
WDS.AX WOODSIDE ENERGY GROUP LTD 0.71%
CIVI Civitas Resources, Inc. 5.07B 0.70%
52.53 1.79% 34.96% 41.12%
LEVE3.SA MAHLE-METAL LEVE SA 0.70%
SVC Service Properties Trust 452.45M 0.69%
2.7150 4.83% 78.34% 37.45%
CSNA3.SA SID NACIONAL 0.67%
LIO.L LIONTRUST ASSET 0.67%
MMS.AX MCMILLAN SHAKESPEARE LTD 0.65%
ORL.TA OIL REFINERIES LTD 0.64%
Total holdings: 107 Recognized Stocks: 42 Others: 65
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