Global X Emerging Markets Bond ETF
EMBD
#1786
ETF rank
C$0.39 B
Marketcap
๐Ÿ‡บ๐Ÿ‡ธ US
Market
C$33.21
Share price
0.16%
Change (1 day)
8.35%
Change (1 year)

Global X Emerging Markets Bond ETF (EMBD) - Distributions and Dividends

Distributions paid over the last 12 months: 1.54999 USD
Current distribution yield: 0.00%

Yearly distributions/payments for Global X Emerging Markets Bond ETF (EMBD)

Distributions Yield for Global X Emerging Markets Bond ETF (EMBD)

Distributions History

DatePay DateRecord DateAmountCurrency
2025-12-082025-12-082025-12-010.1090USD
2025-11-102025-11-102025-11-030.1120USD
2025-10-082025-10-082025-10-010.1120USD
2025-09-092025-09-092025-09-020.1100USD
2025-08-082025-08-082025-08-010.1120USD
2025-07-092025-07-092025-07-010.1120USD
2025-06-092025-06-092025-06-020.1130USD
2025-05-082025-05-082025-05-010.1090USD
2025-04-082025-04-082025-04-010.1130USD
2025-03-102025-03-102025-03-030.1010USD
2025-02-102025-02-102025-02-030.1000USD
2025-01-072025-01-072024-12-300.2470USD
2024-12-112024-12-112024-12-040.1000USD
2024-11-132024-11-132024-11-050.1000USD
2024-10-102024-10-102024-10-030.1000USD
2024-09-122024-09-122024-09-050.1000USD
2024-08-122024-08-122024-08-050.0960USD
2024-07-112024-07-112024-07-030.0960USD
2024-06-122024-06-122024-06-050.0960USD
2024-05-132024-05-132024-05-060.0960USD
2024-04-112024-04-112024-04-040.0960USD
2024-03-132024-03-132024-03-060.0940USD
2024-02-132024-02-132024-02-060.0940USD
2024-01-082024-01-082023-12-290.2017USD
2023-12-132023-12-132023-12-060.0940USD
2023-11-132023-11-132023-11-060.0920USD
2023-10-132023-10-132023-10-050.0920USD
2023-09-142023-09-142023-09-070.0920USD
2023-08-112023-08-112023-08-040.0920USD
2023-07-142023-07-142023-07-070.0900USD
2023-06-132023-06-132023-06-060.0900USD
2023-05-112023-05-112023-05-040.0860USD
2023-04-142023-04-142023-04-060.0860USD
2023-03-132023-03-132023-03-060.0850USD
2023-02-132023-02-132023-02-060.0850USD
2023-01-092023-01-092022-12-300.0543USD
2022-12-132022-12-132022-12-060.0850USD
2022-11-102022-11-102022-11-040.0850USD
2022-10-132022-10-132022-10-060.0850USD
2022-09-142022-09-142022-09-070.0850USD
2022-08-112022-08-112022-08-040.0850USD
2022-07-142022-07-142022-07-070.0850USD
2022-06-132022-06-132022-06-060.0800USD
2022-05-122022-05-122022-05-050.0800USD
2022-04-132022-04-132022-04-060.0770USD
2022-03-112022-03-112022-03-040.0800USD
2022-02-112022-02-112022-02-040.0880USD
2022-01-072022-01-072021-12-310.3110USD
2021-12-132021-12-132021-12-060.0880USD
2021-11-122021-11-122021-11-040.0880USD
2021-10-132021-10-132021-10-060.0880USD
2021-09-142021-09-142021-09-070.0880USD
2021-08-122021-08-122021-08-050.0880USD
2021-07-142021-07-142021-07-070.0880USD
2021-06-112021-06-112021-06-040.0880USD
2021-05-132021-05-132021-05-060.0915USD
2021-04-132021-04-132021-04-060.0915USD
2021-03-112021-03-112021-03-040.0915USD
2021-02-112021-02-112021-02-040.0915USD
2021-01-082021-01-082020-12-310.3776USD
2020-12-112020-12-112020-12-040.0915USD
2020-11-122020-11-122020-11-050.0915USD
2020-10-132020-10-132020-10-060.0915USD
2020-09-142020-09-142020-09-040.0915USD
2020-08-132020-08-132020-08-060.0915USD
2020-07-142020-07-142020-07-070.0911USD