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Global X Enh CDN Oil Gas Eqty Cvcl ETF (ENCL.TO)

Global X Enh CDN Oil Gas Eqty Cvcl ETF (ENCL.TO)
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Realtime quote and/or trades are not sourced from all markets.

Fund Basics

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  • Annual Dividend & Yield 3.13 (13.65%)
  • Most Recent Dividend 0.265 on 05/29/26
  • Management Fee 0.85%
  • Asset Class Equity

Price Performance

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Period Period Low Period High Performance
1-Month
21.74 +2.30%
on 05/07/26
24.40 -8.85%
on 05/20/26
-0.58 (-2.54%)
since 04/29/26
3-Month
19.95 +11.48%
on 04/17/26
24.40 -8.85%
on 05/20/26
+1.47 (+7.08%)
since 02/27/26
52-Week
17.19 +29.38%
on 01/07/26
24.40 -8.85%
on 05/20/26
+4.29 (+23.90%)
since 05/28/25

Most Recent Stories

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GLOBAL X ANNOUNCES MAY 2026 MONTHLY & UPCOMING SEMI-MONTHLY DISTRIBUTIONS FOR ITS SUITE OF ETFs

TORONTO , May 22, 2026 /CNW/ - Global X Investments Canada Inc. (" Global X ") is pleased to announce the distribution amounts per security (the "Distributions ") for its exchange traded...

HYBR.TO : 11.24 (+0.77%)
PAYL.TO : 17.19 (-2.33%)
GLCL.TO : 36.27 (+1.74%)
BKCC.TO : 18.06 (-1.63%)
EQCC.TO : 22.90 (-0.26%)
USCC.TO : 20.63 (-0.53%)
CMCL.TO : 19.09 (-0.37%)
HAF.TO : 7.00 (+0.27%)
AGCC.TO : 27.58 (-0.40%)
CNCC.TO : 14.23 (+0.27%)
PAYS.TO : 18.73 (+0.16%)
NRGY.TO : 27.66 (-1.79%)
GLOBAL X ANNOUNCES APRIL 2026 MONTHLY & UPCOMING SEMI-MONTHLY DISTRIBUTIONS FOR ITS SUITE OF ETFs

TORONTO , April 23, 2026 /CNW/ - Global X Investments Canada Inc. (" Global X ") is pleased to announce the distribution amounts per security (the "Distributions ") for its exchange traded...

HYBR.TO : 11.24 (+0.77%)
PAYL.TO : 17.19 (-2.33%)
BKCC.TO : 18.06 (-1.63%)
EQCC.TO : 22.90 (-0.26%)
USCC.TO : 20.63 (-0.53%)
HAF.TO : 7.00 (+0.27%)
AGCC.TO : 27.58 (-0.40%)
CNCC.TO : 14.23 (+0.27%)
PAYS.TO : 18.73 (+0.16%)
NRGY.TO : 27.66 (-1.79%)
CANL.TO : 36.16 (+3,616.00%)
UTIL.TO : 28.35 (-1.05%)
GLOBAL X ANNOUNCES DECEMBER 2025 DISTRIBUTIONS FOR ITS SUITE OF ETFs

TORONTO , Dec. 22, 2025 /CNW/ - Global X Investments Canada Inc. ("Global X") is pleased to announce the distribution amounts per security ( the "Distributions") for its exchange traded...

HYBR.TO : 11.24 (+0.77%)
HMMJ.TO : 7.45 (-1.72%)
PAYL.TO : 17.19 (-2.33%)
GLCL.TO : 36.27 (+1.74%)
BKCC.TO : 18.06 (-1.63%)
HLIT.TO : 27.57 (unch)
USCC.TO : 20.63 (-0.53%)
USSX.TO : 39.75 (+0.38%)
AIGO.TO : 35.53 (-0.34%)
HAF.TO : 7.00 (+0.27%)
AGCC.TO : 27.58 (-0.40%)
TTTX.TO : 32.00 (+1.52%)
GLOBAL X ANNOUNCES NOVEMBER 2025 DISTRIBUTIONS FOR ITS SUITE OF ETFs

TORONTO , Nov. 21, 2025 /CNW/ - Global X Investments Canada Inc. ("Global X") is pleased to announce the distribution amounts per security ( the "Distributions") for its exchange traded...

HYBR.TO : 11.24 (+0.77%)
PAYL.TO : 17.19 (-2.33%)
GLCL.TO : 36.27 (+1.74%)
BKCC.TO : 18.06 (-1.63%)
EQCC.TO : 22.90 (-0.26%)
USCC.TO : 20.63 (-0.53%)
HAF.TO : 7.00 (+0.27%)
AGCC.TO : 27.58 (-0.40%)
CNCC.TO : 14.23 (+0.27%)
PAYS.TO : 18.73 (+0.16%)
NRGY.TO : 27.66 (-1.79%)
CANL.TO : 36.16 (+3,616.00%)
GLOBAL X ANNOUNCES OCTOBER 2025 DISTRIBUTIONS FOR ITS SUITE OF ETFs

TORONTO , Oct. 24, 2025 /CNW/ - Global X Investments Canada Inc. ("Global X") is pleased to announce the distribution amounts per security ( the "Distributions") for its exchange traded...

HYBR.TO : 11.24 (+0.77%)
PAYL.TO : 17.19 (-2.33%)
GLCL.TO : 36.27 (+1.74%)
BKCC.TO : 18.06 (-1.63%)
EQCC.TO : 22.90 (-0.26%)
USCC.TO : 20.63 (-0.53%)
HAF.TO : 7.00 (+0.27%)
AGCC.TO : 27.58 (-0.40%)
CNCC.TO : 14.23 (+0.27%)
PAYS.TO : 18.73 (+0.16%)
NRGY.TO : 27.66 (-1.79%)
CANL.TO : 36.16 (+3,616.00%)
GLOBAL X ANNOUNCES SEPTEMBER 2025 DISTRIBUTIONS FOR ITS SUITE OF ETFs

TORONTO , Sept. 22, 2025 /CNW/ - Global X Investments Canada Inc. ("Global X") is pleased to announce the distribution amounts per security ( the "Distributions") for its exchange...

HYBR.TO : 11.24 (+0.77%)
HMMJ.TO : 7.45 (-1.72%)
PAYL.TO : 17.19 (-2.33%)
GLCL.TO : 36.27 (+1.74%)
BKCC.TO : 18.06 (-1.63%)
EQCC.TO : 22.90 (-0.26%)
USCC.TO : 20.63 (-0.53%)
USSX.TO : 39.75 (+0.38%)
HAF.TO : 7.00 (+0.27%)
HAZ.TO : 44.67 (-0.33%)
CNCC.TO : 14.23 (+0.27%)
PAYS.TO : 18.73 (+0.16%)
GLOBAL X ANNOUNCES AUGUST 2025 DISTRIBUTIONS FOR ITS SUITE OF ETFs

TORONTO , Aug. 22, 2025 /CNW/ - Global X Investments Canada Inc. ("Global X") is pleased to announce the distribution amounts per security ( the "Distributions") for its exchange...

HYBR.TO : 11.24 (+0.77%)
PAYL.TO : 17.19 (-2.33%)
GLCL.TO : 36.27 (+1.74%)
BKCC.TO : 18.06 (-1.63%)
EQCC.TO : 22.90 (-0.26%)
USCC.TO : 20.63 (-0.53%)
HAF.TO : 7.00 (+0.27%)
CNCC.TO : 14.23 (+0.27%)
PAYS.TO : 18.73 (+0.16%)
NRGY.TO : 27.66 (-1.79%)
CANL.TO : 36.16 (+3,616.00%)
UTIL.TO : 28.35 (-1.05%)
GLOBAL X ANNOUNCES JULY 2025 DISTRIBUTIONS FOR ITS SUITE OF ETFs

TORONTO , July 24, 2025 /CNW/ - Global X Investments Canada Inc. ("Global X") is pleased to announce the distribution amounts per security ( the "Distributions") for its exchange...

HYBR.TO : 11.24 (+0.77%)
PAYL.TO : 17.19 (-2.33%)
GLCL.TO : 36.27 (+1.74%)
BKCC.TO : 18.06 (-1.63%)
EQCC.TO : 22.90 (-0.26%)
USCC.TO : 20.63 (-0.53%)
HAF.TO : 7.00 (+0.27%)
CNCC.TO : 14.23 (+0.27%)
PAYS.TO : 18.73 (+0.16%)
NRGY.TO : 27.66 (-1.79%)
CANL.TO : 36.16 (+3,616.00%)
UTIL.TO : 28.35 (-1.05%)

Barchart Technical Opinion

The Barchart Technical Opinion rating is a 64% Buy with a Weakest short term outlook on maintaining the current direction.

Long term indicators fully support a continuation of the trend.

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Fund Summary

The Global X Enhanced Canadian Oil and Gas Equity Covered Call ETF seeks to provide, to the extent possible and net of expenses: (a) exposure to the performance of an index of Canadian companies that are involved in the crude oil and natural gas industry (currently, the Solactive Equal Weight Canada...

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Top 10 Holdings

Key Turning Points

3rd Resistance Point 23.57
2nd Resistance Point 23.43
1st Resistance Point 23.17
Last Price 22.20
1st Support Level 22.77
2nd Support Level 22.63
3rd Support Level 22.37

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52-Week High 24.40
Last Price 22.20
Fibonacci 61.8% 21.65
Fibonacci 50% 20.80
Fibonacci 38.2% 19.94
52-Week Low 17.19

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