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FTSE Portugal 20 ETF

Fund Name:
FTSE Portugal 20 ETF
Issuer:
Global X
Total Net Assets:
$24,880,563
Inception:
11/12/2013
Related Index:
ETF Category: 
Europe
Expense Ratio: 
0.90% 
Net Asset Value: 
$9.95  
Recent NAV Premium: 
0.00% 
NAV Symbol: 
PGAL.NV  
Number of Holdings: 
25  
Annualized Yield: 
4.62%  
Annualized Distribution: 
0.46  
PGAL Dividend History » 
Stock Weight Amount
Edp-energias DE Portugal 20.287% $4,964,926
Galp Energia Sgps SA 19.997% $4,893,934
Jeronimo Martins 8.514% $2,083,639
Redes Energeticas Naciona 4.916% $1,203,231
Ctt-correios DE Portugal 4.863% $1,190,046
List of all 22 stocks held by PGAL »
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Shares Short 1,196
Chg. from Last Month -2,356
Shares Outstanding 1,620,000
% of Shares Short 0.07%
Days to Cover 0.4
Based on third party short interest data.

PGAL | FTSE Portugal 20 ETF | ETF Channel | www.ETFChannel.com

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