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ETF profile

SPFF — Global X SuperIncome Preferred ETF

C
Compare ETFs → income preferred stock

Issued by Global X Visit fund page ↗

YTF grades are research-only - not financial advice.

Data as of 2026-06-22 (Tiingo).

$10k income snapshot

What could $10,000 in SPFF do?

Using the current trailing 12-month yield, this is the simple cashflow picture: one position, one estimated average income stream, and one more step toward your freedom number.

Estimated annual income

$644

Monthly average

$54

About per month

$54

DRIP framing

At today's price, $10,000 buys about 1047.1 shares. If the estimated distributions were reinvested for a year at the same price, DRIP could add roughly 67.4 shares before any market movement.

Think of each $10k as a cashflow block. Stack enough blocks, diversify the roles, and the portfolio starts taking over small monthly bills before it ever replaces a full paycheck.

Educational estimate only - not financial advice or a recommendation. Figures use this ETF's trailing 12-month distributions, latest synced price, and inferred payout cadence from recent data. Actual payments, taxes, prices, distribution timing, and future yields can change.

Last price

$9.55

Trailing 12-mo yield

6.44%

Expense ratio

0.580%

Approx. AUM

$300.00M

Distribution frequency

monthly

YTF grade

C

Score 45.82 / 100

About SPFF

The Fund will invest at least 80% of its total assets in the securities of the Global X U.S. High Yield Preferred Index (the "Underlying Index") and in American Depositary Receipts ("ADRs") and Global Depositary Receipts ("GDRs") based on the securities in the Underlying Index. Moreover, at least 80% of the Fund's total assets will be invested in preferred securities. The Fund's 80% investment policies are non-fundamental and require 60 days prior written notice to shareholders before they can be changed.

The Fund may lend securities representing up to one-third of the value of the Fund’s total assets (including the value of the collateral received).The Underlying Index is owned and was developed by Global X Management Company LLC (the “Index Provider”), an affiliate of the Fund and the Fund’s investment adviser (the “Adviser”). The Underlying Index tracks the performance of the highest-yielding preferred securities listed in the United States, as determined by Solactive AG, the administrator of the Underlying Index (“Index Administrator”).

The Underlying Index is comprised of preferred stocks that meet certain criteria relating to size, liquidity, issuer concentration and rating, maturity and other requirements, as determined by the Index Administrator. The Underlying Index does not seek to directly reflect the performance of the companies issuing the preferred stock. As of December 31, 2025, the Underlying Index had 49 constituents.

The Fund's investment objective and Underlying Index may be changed without shareholder approval.In general, preferred stock is a class of equity security that pays a specified dividend that must be paid before any dividends can be paid to common stockholders, and which takes precedence over common stock in the event of the company's liquidation. Although preferred stocks represent a partial ownership interest in a company, preferred stocks generally do not carry voting rights and have economic characteristics similar to fixed-income securities.

Preferred stocks generally are issued with a fixed par value and pay dividends based on a percentage of that par value at a fixed or variable rate. Additionally, preferred stocks often have a liquidation value that generally equals the original purchase price of the preferred stock at the date of issuance. The Underlying Index may include many different categories of preferred stock, such as floating and fixed rate prefer reds, perpetual preferred stock, trust preferred securities, cumulative and non-cumulative prefer reds or preferred stocks with a callable or conversion feature.The Index Administrator determines the relative weigh tings of the securities in the Underlying Index and publishes information regarding the market value of the Underlying Index.The Adviser uses an indexing approach to try to achieve the Fund's investment objective.

Unlike many investment companies, the Fund does not try to outperform the Underlying Index and does not seek temporary defensive positions when markets decline or appear over valued.The Fund generally will use a replication strategy. A replication strategy is an indexing strategy that involves investing in the securities of the Underlying Index in approximately the same proportions as in the Underlying Index.

However, the Fund may utilize a representative sampling strategy with respect to the Underlying Index when a replication strategy might be detrimental or disadvantageous to shareholders, such as when there are practical difficulties or substantial costs involved in compiling a portfolio of equity securities to replicate the Underlying Index, in instances in which a security in the Underlying Index becomes temporarily illiquid, unavailable or less liquid, or as a result of legal restrictions or limitations (such as tax diversification requirements) that apply to the Fund but not the Underlying Index.The Adviser expects that, over time, the correlation between the Fund's performance and that of the Underlying Index, before fees and expenses, will exceed 95%.

A correlation percentage of 100% would indicate perfect correlation.The Fund concentrates its investments (i.e., holds 25% or more of its total assets) in a particular industry or group of industries to approximately the same extent that the Underlying Index is concentrated. As of December 31, 2025, the Underlying Index was concentrated in the banking industry and had significant exposure to the financials sector.

Performance history

Adjusted closing price; splits and distributions are normalized

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Distributions

TTM distributions / share

$0.6150

12 payments in past 12 mo

Avg recent payment

$0.0555

Mean of last 6 payments

Projected annual / share

$0.6661

Avg × 12 payments / yr

Distribution trend

↑ Growing

TTM up 3% YoY

Compares trailing 12-month regular distributions year over year. Special or year-end distributions can cause large single-period swings and are noted where recognised.

Income and DRIP calculator

Model a starting position, optional DRIP, and estimated income

6.44% TTM yield
$
$

Edit the inputs, then calculate to refresh the estimates.

per month

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per year

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target covered

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cashflow blocks

-

one-year DRIP estimate

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This is a simple educational model based on current TTM yield and price. It does not forecast price changes, taxes, distribution cuts, or timing of each reinvestment.

Distribution history

Ex-date Pay date Amount / share vs prior
2026-06-01 - $0.0520 +4.0%
2026-05-01 - $0.0500 +0.0%
2026-04-01 - $0.0500 +0.0%
2026-03-02 - $0.0500 +6.4%
2026-02-02 - $0.0470 -44.1%
2025-12-30 - $0.0840 +78.8%
2025-12-01 - $0.0470 +0.0%
2025-11-03 - $0.0470 +0.0%
2025-10-01 - $0.0470 +0.0%
2025-09-02 - $0.0470 +0.0%
2025-08-01 - $0.0470 +0.0%
2025-07-01 - $0.0470 +0.0%
2025-06-02 - $0.0470 +0.0%
2025-05-01 - $0.0470 +0.0%
2025-04-01 - $0.0470 -2.1%
2025-03-03 - $0.0480 +0.0%
2025-02-03 - $0.0480 -44.1%
2024-12-30 - $0.0859 +86.8%
2024-12-04 - $0.0460 +0.0%
2024-11-05 - $0.0460 +0.0%
2024-10-03 - $0.0460 +0.0%
2024-09-05 - $0.0460 +0.0%
2024-08-05 - $0.0460 +0.0%
2024-07-03 - $0.0460 +0.0%
2024-06-05 - $0.0460 +0.0%
2024-05-03 - $0.0460 +0.0%
2024-04-03 - $0.0460 +0.0%
2024-03-05 - $0.0460 +0.0%
2024-02-05 - $0.0460 -20.0%
2023-12-28 - $0.0575 +24.9%
2023-12-05 - $0.0460 +0.0%
2023-11-03 - $0.0460 -4.2%
2023-10-04 - $0.0480 +0.0%
2023-09-06 - $0.0480 +0.0%
2023-08-03 - $0.0480 +0.0%
2023-07-06 - $0.0480 +0.0%
2023-06-05 - $0.0480 +0.0%
2023-05-03 - $0.0480 -12.7%
2023-04-05 - $0.0550 +0.0%
2023-03-03 - $0.0550 +0.0%
2023-02-03 - $0.0550 +0.0%
2022-12-29 - $0.0550 +0.0%
2022-12-05 - $0.0550 +0.0%
2022-11-03 - $0.0550 -2.7%
2022-10-05 - $0.0565 +0.0%
2022-09-06 - $0.0565 +0.0%
2022-08-03 - $0.0565 +0.0%
2022-07-06 - $0.0565 +0.0%
2022-06-03 - $0.0565 +0.0%
2022-05-04 - $0.0565 +0.0%
2022-04-05 - $0.0565 +0.0%
2022-03-03 - $0.0565 +0.0%
2022-02-03 - $0.0565 +0.0%
2021-12-30 - $0.0565 +0.0%
2021-12-03 - $0.0565 +0.0%
2021-11-03 - $0.0565 +0.0%
2021-10-05 - $0.0565 +0.0%
2021-09-03 - $0.0565 +0.0%
2021-08-04 - $0.0565 +0.0%
2021-07-06 - $0.0565 +0.0%
2021-06-03 - $0.0565 +0.0%
2021-05-05 - $0.0565 +0.0%
2021-04-05 - $0.0565 +0.0%
2021-03-03 - $0.0565 +0.0%
2021-02-03 - $0.0565 +0.0%
2020-12-30 - $0.0565 +0.0%
2020-12-03 - $0.0565 +0.0%
2020-11-04 - $0.0565 +0.0%
2020-10-05 - $0.0565 +0.0%
2020-09-03 - $0.0565 +0.0%
2020-08-05 - $0.0565 +0.0%
2020-07-06 - $0.0565 +0.0%
2020-06-03 - $0.0565 +0.0%
2020-05-05 - $0.0565 +0.0%
2020-04-03 - $0.0565 +0.0%
2020-03-04 - $0.0565 +0.0%
2020-02-05 - $0.0565 -0.9%
2019-12-30 - $0.0570 +0.9%
2019-12-04 - $0.0565 +0.0%
2019-11-05 - $0.0565 -1.7%
2019-10-03 - $0.0575 +0.0%
2019-09-05 - $0.0575 -1.7%
2019-08-05 - $0.0585 +0.0%
2019-07-03 - $0.0585 +0.0%
2019-06-05 - $0.0585 -1.7%
2019-05-03 - $0.0595 +0.0%
2019-04-03 - $0.0595 +0.0%
2019-03-05 - $0.0595 -3.3%
2019-02-05 - $0.0615 -23.6%
2018-12-28 - $0.0805 +26.8%
2018-12-06 - $0.0635 -3.1%
2018-11-05 - $0.0655 -3.0%
2018-10-03 - $0.0675 +0.0%
2018-09-06 - $0.0675 +0.0%
2018-08-03 - $0.0675 +0.0%
2018-07-05 - $0.0675 -1.3%
2018-06-05 - $0.0684 -2.4%
2018-05-03 - $0.0701 -4.6%
2018-04-04 - $0.0735 +0.0%
2018-03-05 - $0.0735 +0.0%
2018-02-05 - $0.0735 +0.0%
2017-12-28 - $0.0735 +0.0%
2017-12-01 - $0.0735 +0.0%
2017-11-01 - $0.0735 +0.0%
2017-10-02 - $0.0735 +0.0%
2017-09-01 - $0.0735 +0.0%
2017-08-01 - $0.0735 +0.0%
2017-07-03 - $0.0735 +0.0%
2017-06-01 - $0.0735 +0.0%
2017-05-01 - $0.0735 +0.0%
2017-04-03 - $0.0735 +1.4%
2017-03-01 - $0.0725 +0.0%
2017-02-01 - $0.0725 -17.9%
2016-12-28 - $0.0883 +21.8%
2016-12-01 - $0.0725 +0.0%
2016-11-01 - $0.0725 +0.0%
2016-10-03 - $0.0725 +0.0%
2016-09-01 - $0.0725 +0.0%
2016-08-01 - $0.0725 +0.0%
2016-07-01 - $0.0725 -

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Expense ratio / issuer / frequency sourced from fund disclosures. AUM is approximate market capitalisation - confirm via fund factsheets. Yield and price data via Tiingo.

Disclaimer

Numbers on this site are for research and educational use only - not individualized investment advice or a recommendation to buy or sell securities. ETFs involve risk including possible loss of principal. Past yield and performance do not predict future results. Yield to Freedom (YTF) grades are illustrative and subjective; verify all data independently.