GIAX Nicholas Global Equity and Inco
Derivative Income · Nicholas Wealth Management
15.38
-0.75%
Sobre el fons
Principals posicions
- FRDM Freedom 100 Emerging Markets ETF 7.99%
- MU Micron Technology Inc 7.64%
- NBIS Nebius Group NV Shs Class-A- 7.14%
- VEA Vanguard FTSE Developed Markets ETF 6.94%
- VOO Vanguard S&P 500 ETF 6.50%
- VB Vanguard Small-Cap ETF 6.00%
- VOT Vanguard Mid-Cap Growth ETF 4.53%
- TSM Taiwan Semiconductor Manufacturing Co Ltd ADR 4.49%
- GOOGL Alphabet Inc Class A 3.86%
- NVDA NVIDIA Corp 3.65%
Anàlisi a fons del dividend
Nicholas Global Equity and Income (GIAX) is an exchange-traded fund from Nicholas Wealth Management, categorized as Derivative Income. Launched in 2024, the fund manages $110,440,008 in total assets. It exhibits a significant tilt towards the Technology sector at 47.02%, with other notable allocations in Communication Services (15.74%) and Financial Services (11.07%). Its top holdings include Freedom 100 Emerging Markets ETF, Micron Technology Inc, and Nebius Group NV Shs Class-A-. The fund's current dividend yield is not provided.
Historial de dividends
GIAX aims for monthly distributions, but its history is brief given its 2024 inception. The fund's provided distribution data only includes $5.22 for the year 2025. As a fund, GIAX's distributions reflect the income generated by its underlying holdings, which include other ETFs and individual equities. Due to its recent launch, 3-year and 5-year distribution growth rates (CAGR) are not yet available. Investors will need to monitor future distribution announcements to assess consistency and growth as the fund establishes its track record.
Lectura de la seguretat del dividend, els riscos clau i què cal vigilar.
Generat per IA a partir de les dades de dividends de Quantic · Actualitzat el 17 Jul 2026 · Només informatiu — no és assessorament financer.
Es mostra en anglès — la traducció està en camí.
Historial de preus
Tancament mensual · Mitjana mòbil El preu de tancament mitjà en una finestra mòbil de temps — una línia suavitzada que filtra el soroll diari per mostrar la tendència. Una finestra curta (per exemple 50 dies) reacciona ràpid; una de llarga (200 dies, o 12 mesos) és més lenta i estable. Un preu per sobre de la seva mitjana sol llegir-se com a fortalesa; per sota, com un descompte relatiu. Més informació →
Perfil de dividends
Calendari de pagaments
Historial de dividends
Dividend per acció per any
Només informatiu — no és assessorament financer.