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Global X MSCI SuperDividend EAFE ETF (EFAS)

Foreign Large Value | Exchange Traded Fund | NasdaqGM
21.74 USD +0.07 (0.302%) ⇧ (July 13, 2026, 4 p.m. EDT)
After hours: 21.74 +0.05 (0.209%) ⇧ (July 13, 2026, 4:10 p.m. EDT)

Short-term:★★⯪☆☆Long-term:★★★☆☆Dividends:★★★★☆
Hot Take | July 11, 2026, 4:09 a.m. EDT

The most compelling feature here is the robust income profile, which aligns perfectly with the fund's mandate as a superdividend vehicle. The trailing yield sits at a healthy 4.74%, and the recent payment history shows consistency with a slight upward tick in the most recent quarterly distribution, suggesting management is successfully passing through earnings without cutting the check. This reliability earns a strong rating for income-focused investors. However, the capital appreciation story is mixed. While the long-term trajectory over the last eight years is positive, driven by a massive rebound in 2021 and strong gains in 2025, the asset has been flat to slightly negative over the last twelve months. It is currently trading just below its 50-day moving average, indicating a lack of immediate momentum. The statistical forecast model, which looks at short-term price noise, is essentially neutral, offering no clear edge for a swing trade. Consequently, while the business quality and dividend track record are solid, the lack of recent price strength limits the overall investment thesis to a 'hold' or a moderate buy for yield, rather than a high-conviction growth play.

Model Selection — Backtest MAE (log-scale, lower is better)
ModelMAE
AutoETS ✓0.010838
MSTL_84_1150.011010
MSTL0.012637
AutoTheta0.013523
MSTL_1150.014227
MSTL_840.023699
AutoARIMA0.049915

Forecast horizon: 60 days | Selected: AutoETS

Forecast Reliability
Score 53%
H-stat 11.83
Ljung-Box p 0.000
Jarque-Bera p 0.268
Excess Kurtosis -0.80
Attribute Value
Trailing P/E 14.02

Dividend Data

Yield Summary
Last Yield 1yr Yield 3yr Avg 5yr Avg
0.42% 5.16% 5.98% 6.23%
Dividend History
Date Dividend Yield %
2026-07-06 0.090 0.418799
2026-06-03 0.090 0.418994
2026-05-05 0.086 0.391621
2026-04-06 0.086 0.400690
2026-03-04 0.086 0.413382
2026-02-04 0.082 0.395944
2025-12-30 0.153 0.784978
2025-12-03 0.072 0.382267
2025-11-05 0.072 0.390795
2025-10-03 0.072 0.383264
2025-09-04 0.072 0.385749
2025-08-05 0.072 0.390986
2025-07-03 0.072 0.395822
2025-06-04 0.071 0.403868
2025-05-05 0.071 0.421740
2025-04-03 0.069 0.434235
2025-03-05 0.069 0.440895
2025-02-05 0.074 0.509291
2024-12-30 0.162 1.161290
2024-12-04 0.076 0.527046
2024-11-05 0.076 0.508701
2024-10-03 0.075 0.499334
2024-09-05 0.075 0.484809
2024-08-05 0.074 0.517121
2024-07-03 0.068 0.468642
2024-06-05 0.068 0.458221
2024-05-03 0.068 0.468804
2024-04-03 0.068 0.464164
2024-03-05 0.068 0.483263
2024-02-05 0.068 0.489914
2023-12-28 0.156 1.081681
2023-12-05 0.068 0.498717
2023-11-03 0.068 0.514178
2023-10-04 0.068 0.536489
2023-09-06 0.068 0.513595
2023-08-03 0.068 0.501475
2023-07-06 0.065 0.491865
2023-06-05 0.065 0.487805
2023-05-03 0.065 0.465950
2023-04-05 0.073 0.534016
2023-03-03 0.073 0.515173
2023-02-03 0.082 0.576247
2022-12-29 0.136 1.000000
2022-12-05 0.082 0.610255
2022-11-03 0.082 0.702055
2022-10-05 0.082 0.690817
2022-09-06 0.082 0.652347
2022-08-03 0.082 0.598540
2022-07-06 0.082 0.620742
2022-06-03 0.078 0.510471
2022-05-04 0.072 0.477137
2022-04-05 0.068 0.438851
2022-03-03 0.068 0.458159
2022-02-03 0.068 0.424841
2021-12-30 0.126 0.805163
2021-12-03 0.068 0.453484
2021-11-03 0.068 0.431746
2021-10-05 0.068 0.440586
2021-09-03 0.068 0.424072
2021-08-04 0.065 0.407651
2021-07-06 0.061 0.380062
2021-06-03 0.061 0.369227
2021-05-05 0.059 0.364085
2021-04-05 0.059 0.368704
2021-03-03 0.059 0.384365
2021-02-03 0.055 0.373768
2020-12-30 0.053 0.357384
2020-12-03 0.053 0.366528
2020-11-04 0.053 0.442589
2020-10-05 0.051 0.416327
2020-09-03 0.048 0.380228
2020-08-05 0.048 0.380771
2020-07-06 0.048 0.382928
2020-06-03 0.048 0.374181
2020-05-05 0.048 0.430377
2020-04-03 0.048 0.472906
2020-03-04 0.072 0.485502
2020-02-05 0.072 0.445269
2019-12-30 0.075 0.460123
2019-12-04 0.075 0.476311
2019-11-05 0.075 0.464425
2019-10-03 0.075 0.495278
2019-09-05 0.075 0.496065
2019-08-05 0.075 0.507786
2019-07-03 0.078 0.486588
2019-06-05 0.080 0.512656
2019-05-03 0.082 0.509633
2019-04-03 0.082 0.506173
2019-03-05 0.082 0.506204
2019-02-05 0.082 0.509380
2018-12-28 0.154 1.023936
2018-12-06 0.082 0.529374
2018-11-05 0.082 0.503376
2018-10-03 0.082 0.485926
2018-09-06 0.080 0.473093
2018-08-03 0.077 0.443830
2018-07-05 0.077 0.440756
2018-06-05 0.077 0.440705
2018-05-03 0.072 0.398649
2018-04-04 0.072 0.407010
2018-03-05 0.072 0.404426
2018-02-05 0.072 0.402235
2017-12-28 0.415 2.299806
2017-12-01 0.072 0.394737
2017-11-01 0.072 0.395387
2017-10-02 0.072 0.392906
2017-09-01 0.072 0.395604
2017-08-01 0.067 0.364210
2017-07-03 0.062 0.359212
2017-06-01 0.057 0.329480
2017-05-01 0.057 0.337278
2017-04-03 0.057 0.345455
2017-03-01 0.057 0.356919
2017-02-01 0.057 0.354037
Additional Data
trailingAnnualDividendRate 0.0
trailingAnnualDividendYield 0.0
dividendDate 2017-04-12
dividendYield 4.74

Info Dump

Attribute Value
All Time High 22.28
All Time Low 9.32
Ask 21.8
Ask Size 4
Average Daily Volume10 Day 11,940
Average Daily Volume3 Month 16,022
Average Volume 16,022
Average Volume10Days 11,940
Beta3 Year 0.68
Bid 15.59
Bid Size 2
Category Foreign Large Value
Crypto Tradeable 0
Currency USD
Custom Price Alert Confidence HIGH
Day High 21.77
Day Low 21.65
Dividend Date 1,491,955,200
Dividend Yield 4.74
Eps Trailing Twelve Months 1.550736
Esg Populated 0
Exchange NGM
Exchange Data Delayed By 0
Exchange Timezone Name America/New_York
Exchange Timezone Short Name EDT
Fifty Day Average 21.73056
Fifty Day Average Change 0.0048389435
Fifty Day Average Change Percent 0.00022267918
Fifty Two Week Change Percent 19.98893
Fifty Two Week High 22.28
Fifty Two Week High Change -0.54460144
Fifty Two Week High Change Percent -0.02444351
Fifty Two Week Low 17.82
Fifty Two Week Low Change 3.9153996
Fifty Two Week Low Change Percent 0.2197194
Fifty Two Week Range 17.82 - 22.28
First Trade Date Milliseconds 1,481,812,200,000
Five Year Average Return 0.1273736
Full Exchange Name NasdaqGM
Fund Family Global X Funds
Fund Inception Date 1,478,736,000
Gmt Off Set Milliseconds -14,400,000
Has Pre Post Market Data 1
Language en-US
Legal Type Exchange Traded Fund
Long Business Summary The fund invests at least 80% of its total assets in the securities of the underlying index. The underlying index tracks the performance of 50 equally-weighted companies that rank among the highest dividend yielding equity securities in Europe, Australasia and the Far East, as defined by MSCI, the provider of the underlying index ("index provider").
Long Name Global X MSCI SuperDividend EAFE ETF
Market us_market
Market State POSTPOST
Max Age 86,400
Message Board Id finmb_402895757
Nav Price 21.62
Net Assets 48,373,936.0
Net Expense Ratio 0.55
Open 21.69
Phone +1 8884938631
Post Market Change 0.045398712
Post Market Change Percent 0.2093071
Post Market Price 21.7354
Post Market Time 1,783,973,404
Previous Close 21.67
Price Hint 2
Quote Source Name Nasdaq Real Time Price
Quote Type ETF
Region US
Regular Market Change 0.06539917
Regular Market Change Percent 0.3017959
Regular Market Day High 21.77
Regular Market Day Low 21.65
Regular Market Day Range 21.65 - 21.77
Regular Market Open 21.69
Regular Market Previous Close 21.67
Regular Market Price 21.7354
Regular Market Time 1,783,972,800
Regular Market Volume 46,162
Short Name Global X MSCI SuperDividend EAF
Source Interval 15
Symbol EFAS
Three Year Average Return 0.24583481
Total Assets 48,373,936
Tradeable 0
Trailing Annual Dividend Rate 0.0
Trailing Annual Dividend Yield 0.0
Trailing P E 14.016183
Trailing Peg Ratio None
Trailing Three Month Nav Returns 3.44796
Trailing Three Month Returns 3.44796
Triggerable 1
Two Hundred Day Average 20.333376
Two Hundred Day Average Change 1.4020233
Two Hundred Day Average Change Percent 0.06895182
Type Disp ETF
Volume 46,162
Yield 0.047399998
Ytd Return 12.97637