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Global X MSCI SuperDividend EAFE ETF (EFAS)

Foreign Large Value | Exchange Traded Fund | NasdaqGM
21.81 USD -0.04 (-0.183%) ⇩ (April 17, 2026, 4 p.m. EDT)
After hours: 21.80 -0.02 (-0.015%) ⇩ (April 17, 2026, 4:04 p.m. EDT)

Short-term: ★★★☆☆ | Long-term: ★★★★☆ | Dividends: ★★★★★
Hot Take | April 11, 2026, 1:28 p.m. EDT

EFAS shows a strong dividend yield of 4.6%, indicating it is a solid choice for income-focused investors. The recent price history shows a steady increase, with the price hovering around the 21.84 level, which is near the 52-week high. The recent price movement suggests a positive trend, but the 50-day average is slightly above the 200-day average, indicating a potential consolidation phase. Given the consistent dividend payouts over the past five years, EFAS is a reliable income generator. However, the forecasting model stats indicate a modest upward prediction of 5.02% for the next 45 days, which could be a good opportunity for short-term traders looking to capitalize on the upward momentum.

Model Selection — Backtest MAE (log-scale, lower is better)
ModelMAE
AutoETS ✓0.018168
AutoARIMA0.018241
MSTL0.018390
AutoTheta0.026718

Forecast horizon: 45 days | Selected: AutoETS

Forecast Reliability
Score 74%
H-stat 1.18
Ljung-Box p 0.000
Jarque-Bera p 0.307
Excess Kurtosis -0.96
Attribute Value
Trailing P/E 14.95

Dividend Data

Yield Summary
Last Yield 1yr Yield 3yr Avg 5yr Avg
0.40% 5.27% 6.62% 7.26%
Dividend History
Date Dividend Yield %
2026-04-06 0.086 0.400690
2026-03-04 0.086 0.415044
2026-02-04 0.082 0.399181
2025-12-30 0.153 0.794554
2025-12-03 0.072 0.389977
2025-11-05 0.072 0.400206
2025-10-03 0.072 0.394043
2025-09-04 0.072 0.398123
2025-08-05 0.072 0.405096
2025-07-03 0.072 0.411718
2025-06-04 0.071 0.421753
2025-05-05 0.071 0.442196
2025-04-03 0.069 0.457226
2025-03-05 0.069 0.466262
2025-02-05 0.074 0.541038
2024-12-30 0.162 1.240035
2024-12-04 0.076 0.569297
2024-11-05 0.076 0.552355
2024-10-03 0.075 0.544958
2024-09-05 0.075 0.531707
2024-08-05 0.074 0.569927
2024-07-03 0.068 0.519120
2024-06-05 0.068 0.509989
2024-05-03 0.068 0.524160
2024-04-03 0.068 0.521428
2024-03-05 0.068 0.545426
2024-02-05 0.068 0.555609
2023-12-28 0.156 1.232645
2023-12-05 0.068 0.574427
2023-11-03 0.068 0.595176
2023-10-04 0.068 0.624235
2023-09-06 0.068 0.600804
2023-08-03 0.068 0.589611
2023-07-06 0.065 0.581222
2023-06-05 0.065 0.579217
2023-05-03 0.065 0.555965
2023-04-05 0.073 0.640174
2023-03-03 0.073 0.620861
2023-02-03 0.082 0.698079
2022-12-29 0.136 1.218222
2022-12-05 0.082 0.750975
2022-11-03 0.082 0.869145
2022-10-05 0.082 0.861213
2022-09-06 0.082 0.818830
2022-08-03 0.082 0.756151
2022-07-06 0.082 0.788945
2022-06-03 0.078 0.652795
2022-05-04 0.072 0.613259
2022-04-05 0.068 0.566793
2022-03-03 0.068 0.594312
2022-02-03 0.068 0.553590
2021-12-30 0.126 1.053658
2021-12-03 0.068 0.598203
2021-11-03 0.068 0.572087
2021-10-05 0.068 0.586333
2021-09-03 0.068 0.566877
2021-08-04 0.065 0.547237
2021-07-06 0.061 0.512281
2021-06-03 0.061 0.499556
2021-05-05 0.059 0.494404
2021-04-05 0.059 0.502523
2021-03-03 0.059 0.525836
2021-02-03 0.055 0.513295
2020-12-30 0.053 0.492645
2020-12-03 0.053 0.507062
2020-11-04 0.053 0.614537
2020-10-05 0.051 0.580634
2020-09-03 0.048 0.532543
2020-08-05 0.048 0.535301
2020-07-06 0.048 0.540398
2020-06-03 0.048 0.530115
2020-05-05 0.048 0.612099
2020-04-03 0.048 0.675503
2020-03-04 0.072 0.696702
2020-02-05 0.072 0.642145
2019-12-30 0.075 0.666537
2019-12-04 0.075 0.693132
2019-11-05 0.075 0.679085
2019-10-03 0.075 0.727576
2019-09-05 0.075 0.732347
2019-08-05 0.075 0.753426
2019-07-03 0.078 0.725539
2019-06-05 0.080 0.768153
2019-05-03 0.082 0.767559
2019-04-03 0.082 0.766269
2019-03-05 0.082 0.770222
2019-02-05 0.082 0.778988
2018-12-28 0.154 1.573909
2018-12-06 0.082 0.822184
2018-11-05 0.082 0.785876
2018-10-03 0.082 0.762468
2018-09-06 0.080 0.745952
2018-08-03 0.077 0.703122
2018-07-05 0.077 0.701351
2018-06-05 0.077 0.704424
2018-05-03 0.072 0.639986
2018-04-04 0.072 0.656000
2018-03-05 0.072 0.654534
2018-02-05 0.072 0.653630
2017-12-28 0.415 3.751751
2017-12-01 0.072 0.658781
2017-11-01 0.072 0.662482
2017-10-02 0.072 0.660939
2017-09-01 0.072 0.668084
2017-08-01 0.067 0.617502
2017-07-03 0.062 0.611261
2017-06-01 0.057 0.562687
2017-05-01 0.057 0.577901
2017-04-03 0.057 0.593914
2017-03-01 0.057 0.615751
2017-02-01 0.057 0.612967
Additional Data
trailingAnnualDividendRate 0.0
trailingAnnualDividendYield 0.0
dividendDate 2017-04-12
dividendYield 4.6

Info Dump

Attribute Value
All Time High 22.01
All Time Low 9.32
Ask 21.96
Ask Size 4
Average Daily Volume10 Day 36,770
Average Daily Volume3 Month 25,863
Average Volume 25,863
Average Volume10Days 36,770
Beta3 Year 0.79
Bid 15.68
Bid Size 1
Category Foreign Large Value
Crypto Tradeable 0
Currency USD
Custom Price Alert Confidence HIGH
Day High 21.95
Day Low 21.751
Dividend Date 1,491,955,200
Dividend Yield 4.6
Eps Trailing Twelve Months 1.4589903
Esg Populated 0
Exchange NGM
Exchange Data Delayed By 0
Exchange Timezone Name America/New_York
Exchange Timezone Short Name EDT
Fifty Day Average 21.05008
Fifty Day Average Change 0.7599201
Fifty Day Average Change Percent 0.03610058
Fifty Two Week Change Percent 36.576973
Fifty Two Week High 22.01
Fifty Two Week High Change -0.20000076
Fifty Two Week High Change Percent -0.009086813
Fifty Two Week Low 15.8
Fifty Two Week Low Change 6.0099993
Fifty Two Week Low Change Percent 0.3803797
Fifty Two Week Range 15.8 - 22.01
First Trade Date Milliseconds 1,481,812,200,000
Five Year Average Return 0.1313812
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 21.81
Net Assets 39,368,264.0
Net Expense Ratio 0.55
Open 21.95
Phone +1 8884938631
Post Market Change -0.015001297
Post Market Change Percent -0.06876597
Post Market Price 21.8
Post Market Time 1,776,456,294
Previous Close 21.85
Price Hint 2
Quote Source Name Nasdaq Real Time Price
Quote Type ETF
Region US
Regular Market Change -0.040000916
Regular Market Change Percent -0.18307054
Regular Market Day High 21.95
Regular Market Day Low 21.751
Regular Market Day Range 21.751 - 21.95
Regular Market Open 21.95
Regular Market Previous Close 21.85
Regular Market Price 21.81
Regular Market Time 1,776,456,000
Regular Market Volume 15,830
Short Name Global X MSCI SuperDividend EAF
Source Interval 15
Symbol EFAS
Three Year Average Return 0.2287513
Total Assets 39,368,264
Tradeable 0
Trailing Annual Dividend Rate 0.0
Trailing Annual Dividend Yield 0.0
Trailing P E 14.948693
Trailing Peg Ratio None
Trailing Three Month Nav Returns 9.21082
Trailing Three Month Returns 9.21082
Triggerable 1
Two Hundred Day Average 19.4371
Two Hundred Day Average Change 2.3729
Two Hundred Day Average Change Percent 0.122080974
Type Disp ETF
Volume 15,830
Yield 0.046
Ytd Return 9.21082