FING · Exchange-traded fund

Global X Fintech UCITS ETF

Global X Fintech UCITS ETF's most recent distribution was US$0.006149 per share, paid on 24 Jul 2026. Global X Fintech UCITS ETF usually pays a single distribution a year, in July. No further distribution has been declared yet — this page updates when the next one is filed.

Share class ISIN IE00BLCHK052 · Global X ETFs ICAV

Data updated 30 Jul 2026

Recent distributions

Dividend per share, as declared, since 2023. Hover a bar for its value; the table below is the full record, each row linked to its source filing.
DistributionAmountEx-dividendRecordPaymentSource
DistributionUS$0.00614916 Jul 202617 Jul 202624 Jul 2026Filing ↗
DistributionUS$0.02181718 Jul 202419 Jul 202425 Jul 2024Filing ↗
DistributionUS$0.00674120 Jul 202321 Jul 202327 Jul 2023Filing ↗

Questions about Global X Fintech UCITS ETF distributions

How often does Global X Fintech UCITS ETF pay distributions?

Based on its filing history, Global X Fintech UCITS ETF usually pays a single distribution a year, in July. In recent years the payment months have been July. Dates can move year to year, so always check the specific distribution's timetable above.

What was Global X Fintech UCITS ETF's most recent distribution?

The most recent distribution recorded for Global X Fintech UCITS ETF was US$0.006149 per share, paid on 24 Jul 2026. Every figure is taken directly from the fund's own announcement and links back to it.

What is Global X Fintech UCITS ETF's ex-dividend date?

Global X Fintech UCITS ETF's most recent ex-dividend date is 16 Jul 2026. Buy the shares on or after this date and you are not entitled to that distribution — the seller keeps it.

Which fund share class does FING refer to?

FING is the London Stock Exchange ticker for Global X Fintech UCITS ETF, a share class with ISIN IE00BLCHK052, part of the Global X ETFs ICAV umbrella.

More ETF distribution dates

Every date and amount above is extracted from the fund’s own announcement, filed by Global X ETFs ICAV, and links back to it. This is general information, not investment advice — always confirm against the issuer’s announcement before acting. Figures are shown in the currency the fund declared; a sterling equivalent appears only when the issuer itself stated one.

New to these dates? See ex-dividend dates explained and record date vs payment date.