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Global X Longterm US Treas Prem Yld ETF (LPAY.TO)

Global X Longterm US Treas Prem Yld ETF (LPAY.TO)
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[[ session ]] by (Cboe BZX)
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Realtime quote and/or trades are not sourced from all markets.

Fund Basics

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  • Annual Dividend & Yield 1.82 (7.77%)
  • Most Recent Dividend 0.145 on 04/30/26
  • Management Fee 0.45%
  • Asset Class Fixed Income

Price Performance

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Period Period Low Period High Performance
1-Month
23.08 +1.30%
on 05/04/26
23.98 -2.50%
on 04/13/26
-0.60 (-2.50%)
since 04/09/26
3-Month
23.08 +1.30%
on 05/04/26
24.44 -4.34%
on 02/26/26
-0.72 (-2.99%)
since 02/12/26
52-Week
23.08 +1.30%
on 05/04/26
25.93 -9.83%
on 10/21/25
-1.62 (-6.48%)
since 05/12/25

Most Recent Stories

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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 (+0.09%)
PAYL.TO : 17.60 (+1.03%)
BKCC.TO : 17.94 (-0.06%)
EQCC.TO : 22.88 (+1.96%)
USCC.TO : 20.20 (-0.10%)
HAF.TO : 6.95 (-0.43%)
AGCC.TO : 30.69 (-1.06%)
CNCC.TO : 13.99 (-0.29%)
PAYS.TO : 18.70 (-0.21%)
NRGY.TO : 28.23 (+0.97%)
CANL.TO : 35.35 (unch)
UTIL.TO : 27.49 (+0.07%)
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 (+0.09%)
HMMJ.TO : 7.31 (-1.08%)
PAYL.TO : 17.60 (+1.03%)
GLCL.TO : 39.12 (-2.52%)
BKCC.TO : 17.94 (-0.06%)
HLIT.TO : 29.36 (-0.44%)
USCC.TO : 20.20 (-0.10%)
USSX.TO : 38.49 (+0.18%)
AIGO.TO : 35.53 (-0.34%)
HAF.TO : 6.95 (-0.43%)
AGCC.TO : 30.69 (-1.06%)
TTTX.TO : 31.52 (-0.22%)
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 (+0.09%)
PAYL.TO : 17.60 (+1.03%)
GLCL.TO : 39.12 (-2.52%)
BKCC.TO : 17.94 (-0.06%)
EQCC.TO : 22.88 (+1.96%)
USCC.TO : 20.20 (-0.10%)
HAF.TO : 6.95 (-0.43%)
AGCC.TO : 30.69 (-1.06%)
CNCC.TO : 13.99 (-0.29%)
PAYS.TO : 18.70 (-0.21%)
NRGY.TO : 28.23 (+0.97%)
CANL.TO : 35.35 (unch)
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 (+0.09%)
PAYL.TO : 17.60 (+1.03%)
GLCL.TO : 39.12 (-2.52%)
BKCC.TO : 17.94 (-0.06%)
EQCC.TO : 22.88 (+1.96%)
USCC.TO : 20.20 (-0.10%)
HAF.TO : 6.95 (-0.43%)
AGCC.TO : 30.69 (-1.06%)
CNCC.TO : 13.99 (-0.29%)
PAYS.TO : 18.70 (-0.21%)
NRGY.TO : 28.23 (+0.97%)
CANL.TO : 35.35 (unch)
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 (+0.09%)
HMMJ.TO : 7.31 (-1.08%)
PAYL.TO : 17.60 (+1.03%)
GLCL.TO : 39.12 (-2.52%)
BKCC.TO : 17.94 (-0.06%)
EQCC.TO : 22.88 (+1.96%)
USCC.TO : 20.20 (-0.10%)
USSX.TO : 38.49 (+0.18%)
HAF.TO : 6.95 (-0.43%)
HAZ.TO : 43.66 (+0.09%)
CNCC.TO : 13.99 (-0.29%)
PAYS.TO : 18.70 (-0.21%)
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 (+0.09%)
PAYL.TO : 17.60 (+1.03%)
GLCL.TO : 39.12 (-2.52%)
BKCC.TO : 17.94 (-0.06%)
EQCC.TO : 22.88 (+1.96%)
USCC.TO : 20.20 (-0.10%)
HAF.TO : 6.95 (-0.43%)
CNCC.TO : 13.99 (-0.29%)
PAYS.TO : 18.70 (-0.21%)
NRGY.TO : 28.23 (+0.97%)
CANL.TO : 35.35 (unch)
UTIL.TO : 27.49 (+0.07%)
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 (+0.09%)
PAYL.TO : 17.60 (+1.03%)
GLCL.TO : 39.12 (-2.52%)
BKCC.TO : 17.94 (-0.06%)
EQCC.TO : 22.88 (+1.96%)
USCC.TO : 20.20 (-0.10%)
HAF.TO : 6.95 (-0.43%)
CNCC.TO : 13.99 (-0.29%)
PAYS.TO : 18.70 (-0.21%)
NRGY.TO : 28.23 (+0.97%)
CANL.TO : 35.35 (unch)
UTIL.TO : 27.49 (+0.07%)

Barchart Technical Opinion

The Barchart Technical Opinion rating is a 100% Sell with a Strongest 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 Long-Term U.S. Treasury Premium Yield ETF seeks to provide: (a) exposure to the performance of a portfolio of U.S. Treasury securities, generally targeting a duration over 10 years; and (b) high monthly distributions of interest income and option premiums. To generate premiums and reduce...

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Key Turning Points

3rd Resistance Point 23.67
2nd Resistance Point 23.60
1st Resistance Point 23.51
Last Price 23.38
1st Support Level 23.35
2nd Support Level 23.28
3rd Support Level 23.19

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52-Week High 25.93
Fibonacci 61.8% 24.84
Fibonacci 50% 24.51
Fibonacci 38.2% 24.17
Last Price 23.38
52-Week Low 23.08

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