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Global X S&P/ASX 200 High Dividend ETF (ASX: ZYAU) - Announcements

Current share price for ZYAU : $10.270 0.08 (0.77%)+

Global X S&P/ASX 200 High Dividend ETF (ZYAU) is an Exchange Traded Fund - commonly known as an ETF. For more details about how ETFs work, feel free to check out our What is an ETF? overview. Global X S&P/ASX 200 High Dividend ETF (ZYAU) is designed to provide investors with a return of 50 high dividend yielding companies from the S&P/ASX 200 Index based on consensus 12-month forecast dividend yield.

Latest company announcements for Global X S&P/ASX 200 High Dividend ETF (ZYAU)

Market Cap ($m) Headline Release
date/time+
Price at
release+
Current
price+
Gain/Loss View
$90 PDS dated 17 March 2026 17 Mar 2026 4:36PM $10.320 $10.270 fallen by 0.48%
$90 Half Year Accounts 13 Mar 2026 5:16PM $10.300 $10.270 fallen by 0.29%
$90 Global X Units on Issue - February 2026 6 Mar 2026 5:32PM $10.370 $10.270 fallen by 0.96%
$90 QUARTERLY EXIT PERIODIC STATEMENT 10 Feb 2026 4:42PM $9.930 $10.270 risen by 3.42%
$90 Global X Units on Issue - January 2026 6 Feb 2026 11:28AM $9.900 $10.270 risen by 3.74%
$90 QUARTERLY EXIT PERIODIC STATEMENT 23 Jan 2026 5:13PM $9.720 $10.270 risen by 5.66%
$90 Updated Product Disclosure Statement 14 Jan 2026 9:40AM $9.700 $10.270 risen by 5.88%
$90 Global X Units on Issue - December 2025 7 Jan 2026 5:03PM $9.610 $10.270 risen by 6.87%
$90 Global X Final Distribution Announcement - Dec 2025 5 Jan 2026 5:21PM $9.730 $10.270 risen by 5.55%
$90 Global X Updated Est Distribution Announcement - Dec 2025 30 Dec 2025 7:33PM $9.790 $10.270 risen by 4.90%
$90 Global X Estimated Distribution Announcement - Dec 2025 22 Dec 2025 7:41PM $9.750 $10.270 risen by 5.33%
$90 Continuous Disclosure Notice 12 December 2025 12 Dec 2025 5:29PM $9.790 $10.270 risen by 4.90%
$90 Global X Units on Issue - November 2025 3 Dec 2025 5:34PM $9.620 $10.270 risen by 6.76%
$90 PDS dated 12 November 2025 12 Nov 2025 5:06PM $10.060 $10.270 risen by 2.09%
$90 PDS dated 4 November 2025 7 Nov 2025 4:24PM $9.800 $10.270 risen by 4.80%
$90 Global X Units on Issue - October 2025 7 Nov 2025 2:29PM $9.850 $10.270 risen by 4.26%
$90 Global X Units on Issue - September 2025 *Revised* 6 Oct 2025 6:09PM $9.680 $10.270 risen by 6.10%
$90 Global X Units on Issue - September 2025 3 Oct 2025 4:46PM $9.680 $10.270 risen by 6.10%
$90 Global X Final Distribution Announcement - Sep 2025 2 Oct 2025 5:55PM $9.650 $10.270 risen by 6.42%
$90 Global X Updated Est Distribution Announcement - Sep 2025 29 Sep 2025 6:49PM $9.710 $10.270 risen by 5.77%
$90 Annual Financial Report 26 Sep 2025 4:39PM $9.640 $10.270 risen by 6.54%
$90 PDS Update 23 September 2025 23 Sep 2025 5:21PM $9.660 $10.270 risen by 6.31%
$90 Global X Estimated Distribution Announcement - Sep 2025 22 Sep 2025 6:52PM $9.610 $10.270 risen by 6.87%
$90 PDS dated 22 September 2025 22 Sep 2025 2:55PM $9.600 $10.270 risen by 6.98%
$90 Global X Units on Issue - August 2025 5 Sep 2025 4:39PM $9.790 $10.270 risen by 4.90%

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  • + Company announcements and prices are delayed by least 20 minutes. Prices are indicative only.

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