Global X SuperDividend U.S. ETF
DIV
#1478
ETF rank
HK$5.87 B
Marketcap
๐Ÿ‡บ๐Ÿ‡ธ US
Market
HK$150.55
Share price
1.11%
Change (1 day)
11.79%
Change (1 year)

Global X SuperDividend U.S. ETF - Holdings

Etf holdings as of June 8, 2026Number of holdings: 50

Full holdings list

Weight %NameTickerShares Held
2.66%
CBL & ASSOCIATES PROPERTIESCBL409355
2.64%
TSAKOS ENERGY NAVIGATION LTDTEN528437
2.59%
MILLICOM INTL CELLULAR S.A.TIGO228138
2.37%
ALEXANDER'S INCALX65859
2.29%
PLAINS ALL AMER PIPELINE LPPAA739242
2.26%
FLEX LNG LTDFLNG561022
2.25%
WESTLAKE CHEMICAL PARTNERS LWLKP712729
2.22%
CVR PARTNERS LPUAN141147
2.21%
SUNCOKE ENERGY INCSXC1789554
2.20%
TFS FINANCIAL CORPTFSL985174
2.20%
USA COMPRESSION PARTNERS LPUSAC582442
2.19%
ALTRIA GROUP INCMO226997
2.17%
HESS MIDSTREAM LP - CLASS AHESM410623
2.17%
SFL CORP LTDSFL1452184
2.10%
GLOBAL PARTNERS LPGLP316354
2.08%
WESTERN MIDSTREAM PARTNERS LWES345363
2.06%
NORTHWESTERN ENERGY GROUPNWE218019
2.04%
DOMINION ENERGY INCD230062
2.04%
VAIL RESORTS INCMTN109639
2.04%
EASTERLY GOVERNMENT PROPERTIDEA628494
2.02%
GAMING AND LEISURE PROPERTIEGLPI319499
2.02%
UNIVERSAL CORP/VAUVV281846
2.02%
ENNIS INCEBF731702
2.01%
MPLX LPMPLX263343
2.01%
AVISTA CORPAVA353272
2.01%
KRAFT HEINZ CO/THEKHC635102
2.00%
NORTHWEST NATURAL HOLDING CONWN300851
1.99%
GLOBAL SHIP LEASE INC-CL AGSL388805
1.98%
COMMUNITY HEALTHCARE TRUST ICHCT838109
1.96%
CLEARWAY ENERGY INC-CCWEN371557
1.96%
DELEK LOGISTICS PARTNERS LPDKL278237
1.94%
ARMOUR RESIDENTIAL REIT INCARR856205
1.93%
SUBURBAN PROPANE PARTNERS LPSPH744710
1.92%
PFIZER INCPFE551892
1.91%
UNITED PARCEL SERVICE-CL BUPS130748
1.90%
VERIZON COMMUNICATIONS INCVZ308696
1.87%
OMEGA HEALTHCARE INVESTORSOHI315297
1.84%
COPA HOLDINGS SA-CLASS ACPA103013
1.83%
LTC PROPERTIES INCLTC378514
1.83%
UNIVERSAL HEALTH RLTY INCOMEUHT344221
1.75%
ENERGIZER HOLDINGS INCENR656925
1.69%
VITESSE ENERGY INCVTS699524
1.67%
ARDAGH METAL PACKAGING SAAMBP3139858
1.65%
PERRIGO CO PLCPRGO1045895
1.61%
AT&T INCT526692
1.60%
WESTERN UNION COWU1599864
1.59%
FLOWERS FOODS INCFLO1563428
1.56%
NATL HEALTH INVESTORS INCNHI165995
1.48%
JBS NV-AJBS936312
1.43%
CONAGRA BRANDS INCCAG799509