GLOBAL X ETFS ICAV GLOBAL X NAS - Price History
Monthly price history for QYLD.L (GLOBAL X ETFS ICAV GLOBAL X NAS)
Date | Adjusted price | Real price |
---|---|---|
May 2024 | $16.40 | $16.40 |
April 2024 | $16.42 | $16.42 |
March 2024 | $16.68 | $16.68 |
February 2024 | $16.34 | $16.68 |
January 2024 | $16.06 | $16.55 |
December 2023 | $15.74 | $16.37 |
November 2023 | $15.26 | $15.87 |
October 2023 | $14.68 | $15.57 |
September 2023 | $14.85 | $15.75 |
August 2023 | $15.15 | $16.24 |
July 2023 | $15.61 | $17.06 |
June 2023 | $15.18 | $16.59 |
May 2023 | $15.21 | $16.80 |
April 2023 | $14.93 | $16.65 |
March 2023 | $14.58 | $16.26 |
February 2023 | $13.86 | $15.78 |
January 2023 | $13.85 | $15.92 |
December 2022 | $12.90 | $14.83 |
November 2022 | $13.11 | $15.07 |
QYLD.L
Price: $16.39
52 week price:
5-year range yield:
Forward Dividend Yield: 11.66%
Payout Ratio: 251.72%
Payout Ratio Range:
Dividend Per Share: 1.92 USD
Earnings Per Share: 0.76 USD
P/E Ratio: 21.67
Exchange: LSE
Market Capitalization: 61.8 million
Years Paying Dividends: 2