
| Fund Name: |
MLP ETF |
| Issuer: |
Global X |
| Total Net Assets: |
$61,208,454 |
| Inception: |
04/18/2012 |
| Related Index: |
MLPA is designed to track a MLP benchmark index for energy and resource master limited partnerships. |
| Expense Ratio: |
0.90% |
 |
| Net Asset Value: |
$16.32 |
| Recent NAV Premium: |
+0.31% |
| NAV Symbol: |
MLPA.NV |
| Number of Holdings: |
32 |
| Annualized Yield: |
3.06% |
| Annualized Distribution: |
0.50 |
| MLPA Dividend History » |
|