GLOBAL X ANNOUNCES APRIL 2025 DISTRIBUTIONS FOR ITS SUITE OF ETFs
The ex-dividend date for the following Distributions is anticipated to be
Ticker Symbol |
ETF Name |
Cash per Security |
Frequency |
BKCC |
|
|
Monthly |
BKCL |
|
|
Monthly |
BNKL |
|
|
Monthly |
CANL |
|
|
Monthly |
CASH |
|
|
Monthly |
CBIL |
Global X 0-3 Month T-Bill ETF |
|
Monthly |
CNCC |
Global X S&P/TSX 60 Covered Call ETF |
|
Monthly |
CNCL |
|
|
Monthly |
EACC |
Global X MSCI EAFE Covered Call ETF |
|
Monthly |
EACL |
Global X Enhanced MSCI EAFE Covered Call ETF |
|
Monthly |
EMCC |
Global X MSCI Emerging Markets Covered Call ETF |
|
Monthly |
EMCL |
Global X Enhanced MSCI Emerging Markets Covered Call ETF |
|
Monthly |
ENCC |
|
$0.12000 |
Monthly |
ENCL |
Global X Enhanced Canadian Oil and Gas Equity Covered Call ETF |
|
Monthly |
EQCC |
|
|
Monthly |
EQCL |
Global X Enhanced All-Equity Asset Allocation Covered Call ETF |
$0.22000 |
Monthly |
GLCC |
|
|
Monthly |
GRCC |
Global X Growth Asset Allocation Covered Call ETF |
|
Monthly |
HAB |
Global X Active Corporate Bond ETF |
|
Monthly |
HAD |
Global X Active Canadian Bond ETF |
|
Monthly |
HAF |
|
|
Monthly |
HBAL |
|
|
Monthly |
HBNK |
Global X Equal Weight Canadian Banks Index ETF |
|
Monthly |
HCON |
|
|
Monthly |
HEQL |
Global X Enhanced All-Equity Asset Allocation ETF |
|
Monthly |
HEQT |
|
|
Monthly |
HFR |
|
|
Monthly |
HGRW |
Global X Growth Asset Allocation ETF |
|
Monthly |
HGY |
Global X Gold Yield ETF |
|
Monthly |
HMP |
Global X Active Canadian Municipal Bond ETF |
|
Monthly |
HPR |
Global X Active Preferred Share ETF |
|
Monthly |
HYBR |
Global X Active Hybrid Bond and Preferred Share ETF |
|
Monthly |
LPAY |
Global X Long-Term |
|
Monthly |
LPAY.U |
|
Monthly |
|
MPAY |
Global X Mid-Term |
|
Monthly |
MPAY.U |
|
Monthly |
|
NRGY |
|
|
Monthly |
PAYL |
|
|
Monthly |
PAYM |
|
|
Monthly |
PAYS |
|
|
Monthly |
PPLN |
|
|
Monthly |
QQCC |
|
$0.12000 |
Monthly |
QQCL |
|
|
Monthly |
RING |
|
$0.12000 |
Monthly |
RSCC |
Global X Russell 2000 Covered Call ETF |
|
Monthly |
SAFE |
|
|
Monthly |
SPAY |
Global X Short-Term |
|
Monthly |
SPAY.U |
|
Monthly |
|
UBIL.U |
Global X 0-3 Month |
|
Monthly |
UCSH.U |
|
|
Monthly |
USCC |
|
$0.12000 |
Monthly |
USCC.U |
$0.12000 |
Monthly |
|
USCL |
|
|
Monthly |
UTIL |
|
|
Monthly |
The record date for all ETFs will be
|
(1) |
Distributions for
Global X Short-Term |
|
(2) |
Distributions for the Global X 0-3 Month |
|
(3) |
Distributions for Global X USD High Interest Savings ETF are declared and paid in |
|
(4) |
Distributions for the Global X S&P 500 Covered Call ETF are declared and paid in |
Distributions for the ETFs will vary from period to period. For further information regarding the Distributions, please visit www.GlobalX.ca.
About
Commissions, management fees, and expenses all may be associated with an investment in products (the "Global X Funds") managed by
The payment of distributions, if any, is not guaranteed and may fluctuate at any time. The payment of distributions should not be confused with an exchange traded fund's ("ETF") performance, rate of return, or yield. If distributions paid by the ETF are greater than the performance of the ETF, distributions paid may include a return of capital and an investor's original investment will decrease. A return of capital is not taxable to the investor but will generally reduce the adjusted cost base of the securities held for tax purposes. Distributions are paid as a result of capital gains realized by an ETF, and income and dividends earned by an ETF are taxable to the investor in the year they are paid. The investor's adjusted cost base will be reduced by the amount of any returns of capital. If the investor's adjusted cost base goes below zero, investors will realize capital gains equal to the amount below zero. Future distribution dates may be amended at any time. To recognize that these distributions have been allocated to investors for tax purposes the amounts of these distributions should be added to the adjusted cost base of the units held. The characterization of distributions, if any, for tax purposes, (such as dividends/other income/capital gains, etc.) will not be known for certain until after the ETF's tax year-end. Therefore, investors will be informed of the tax characterization after year-end and not with each distribution if any. For tax purposes, these amounts will be reported annually by brokers on official tax statements. Please refer to the applicable ETF distribution policy in the prospectus for more information.
The Global X ETFs are not sponsored, endorsed, sold, or promoted by S&P, TSX,
Nasdaq®, Nasdaq-100®, and Nasdaq-100 Index® are trademarks of
The Global X Russell 2000 Index ETF and the Global X Russell 2000 Covered Call ETF (in this disclaimer, the "Russell 2000 Funds") have been developed solely by
The funds or securities referred to herein are not sponsored, endorsed, or promoted by MSCI, and MSCI bears no liability with respect to any such funds or securities or any index on which such funds or securities are based. The prospectus contains a more detailed description of the limited relationship MSCI has with
Certain statements may constitute a forward-looking statement, including those identified by the expression "expect" and similar expressions (including grammatical variations thereof). The forward-looking statements are not historical facts but reflect the author's current expectations regarding future results or events. These forward-looking statements are subject to a number of risks and uncertainties that could cause actual results or events to differ materially from current expectations. These and other factors should be considered carefully, and readers should not place undue reliance on such forward-looking statements. These forward-looking statements are made as of the date hereof and the authors do not undertake to update any forward-looking statement that is contained herein, whether as a result of new information, future events or otherwise, unless required by applicable law.
This communication is intended for informational purposes only and does not constitute an offer to sell or the solicitation of an offer to purchase exchange traded products managed by
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