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Global X SuperDividend US ETF

DIV - US stocks
DIV seeks to track the Indxx SuperDividend US Low Volatility Index, which contains approximately 50 US stocks with high dividend yields and low beta to the S&P 500. Investments in the fund are appropriate for those seeking long-term growth and income. DIV is subject to equity market risk, and the risk that high-dividend or low-beta stocks may underperform the broader market.
DIV isn’t eligible for Tax-Loss Harvesting, since we can’t find a viable alternate fund.
  • Price
    The closing price on the previous trading day.
  • Risk rating
    We base risk ratings on the volatility, or the size and frequency of price fluctuations, of the investment. Typically, a more volatile investment has a higher risk rating.
  • Expense ratio
    The percentage of fund assets used to cover operating expenses and management fees.
  • 52-week high
    The highest share price in the past year.
  • 52-week low
    The lowest share price in the past year.
  • Dividend yield
    The average percentage of dividends paid relative to the share price over the past year.
  • Net assets
    The total value of all assets held by the fund.
  • Volume
    The average trading volume over the past 90 days.

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