PFFV


Variable Rate Preferred ETF

Reasons to Consider PFFV

High Income Potential

PFFV invests in a broad basket of variable rate preferred stock in the U.S., an asset class that has historically offered high yield potential.

Low Expense Ratio

PFFV’s expense ratio is half the competitor average.1

Lower Duration Nature

Variable rate preferreds may offer lower duration profiles than fixed rate preferred issuances.

1Expense ratio was 50.0% lower than the competitor average net expense ratio as of 1/2/26, per ETF.com (category: “Fixed Income: U.S. Corporate, Preferred Floating Rate”)

Key Information As of 04/08/26

Inception Date 06/22/20
Total Expense Ratio 0.25%
Net Assets $294.85 million
NAV $21.99

ETF Summary

The Global X Variable Rate Preferred ETF (PFFV) invests in a broad basket of U.S. variable rate preferred stocks, providing benchmark-like exposure to the asset class. Variable rate preferreds can play a role in an investor’s portfolio as a source of income with less interest rate risk, offering the potential to mitigate the risks of rising interest rates due to coupon payments that adjust at certain points over their lifespan.

ETF Objective

The Global X Variable Rate Preferred ETF (PFFV) seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the ICE U.S. Variable Rate Preferred Securities Index.

Trading Details As of 04/08/26

Ticker PFFV
B3 Trading Code BPFV39
Bloomberg Index Ticker PFTF
CUSIP 37954Y376
ISIN US37954Y3760
Primary Exchange NYSE Arca
Shares Outstanding 13,410,000
Number of Holdings 55
30-Day Median Bid-Ask Spread 0.13%

Distributions As of 04/08/26

30-Day SEC Yield 7.26%
12-Month Trailing Yield 8.58%
Distribution Yield 7.26%
Distribution Frequency Monthly

ETF Prices As of 04/08/26

NAV $21.99 Daily Change $0.11 0.50%
Market Price $22.03 Daily Change $0.11 0.50%

Performance History

Cumulative Returns (as of 03/31/26)
1 Month 6 Months YTD 12 Months 24 Months Since Inception Inception Date
Return PFFV -2.59% -1.67% -1.25% 0.51% 7.97% 27.79% 06/22/20
Returns (as of 04/07/26)
Return PFFV Return Index
Since Inception 29.27% 31.48%
12 Months 1.66% 0.26%
24 Months 8.83% 7.66%
Last 60 Trading Days -0.99% -2.93%
Last 75 Trading Days -0.26% -2.11%
Monthly Returns (through 04/07/26)
Return PFFV Return Index
Apr 2026 0.79% 0.83%
Mar 2026 -2.59% -2.56%
Feb 2026 -0.11% -2.18%
Jan 2026 1.46% 1.56%
Dec 2025 0.51% 0.56%
Nov 2025 -0.64% -0.58%
Oct 2025 -0.26% -0.25%
Sep 2025 0.82% 0.84%
Aug 2025 0.06% 0.14%
Jul 2025 2.66% 2.93%
Jun 2025 -0.37% -0.36%
May 2025 -0.58% -0.55%
Apr 2025 -0.48% -0.44%
Mar 2025 -2.00% -1.99%
Feb 2025 1.48% 1.49%
Jan 2025 0.87% 0.92%
Dec 2024 -1.31% -1.26%
Nov 2024 1.10% 1.12%
Oct 2024 1.80% 1.80%
Sep 2024 1.50% 1.54%
Aug 2024 0.99% 1.04%
Jul 2024 0.63% 0.65%
Jun 2024 -0.08% -0.12%
May 2024 2.43% 2.48%
Apr 2024 -0.42% -0.38%

Total returns take into account management, administration and fees and other costs automatically deducted from the fund's assets. Before investing, you may read the prospectus in the “FEES AND EXPENSES” section for more details.

NAV & Index Chart

Top Holdings As of 04/08/26

Net Assets (%) Ticker Name Country SEDOL Market Price ($) Shares Held Market Value ($)
4.29 MS MS 4.6338 PERP United States B1802M4 19.21 658,847 12,656,450.87
3.59 RGA RGA 7 1/8 10/15/52 United States BMG9SY4 25.33 417,431 10,573,527.23
3.12 APO APO 7 5/8 09/15/53 United States BQC5ZW1 25.71 358,021 9,204,719.91
3.02 KEY KEY 6.2 PERP United States BPLPQT9 24.40 364,422 8,891,896.80
2.93 BAC BAC 6.45 12/15/66 United States BF2PL60 25.45 339,645 8,643,965.25
2.92 GS GS 4.57149 PERP United States B15CKS5 19.53 440,312 8,599,293.36
2.86 JXN JXN 8 PERP United States BMW6VL7 25.54 330,622 8,444,085.88
2.77 USB USB 4.5338 PERP United States B125QN4 18.28 446,640 8,164,579.20
2.62 BANC BANC 7 3/4 PERP United States BMWDYS6 25.17 306,427 7,712,767.59
2.60 ALL ALL 7.10369 01/15/53 United States B87XV26 25.73 298,175 7,672,042.75
2.59 SYF SYF 8 1/4 PERP United States BSNWT01 25.67 297,446 7,635,438.82
2.57 BK BK 6.15 PERP United States BTJTLY1 25.36 298,627 7,573,180.72
2.56 MET MET 4.93562 PERP United States B0B87W3 20.90 360,597 7,536,477.30
2.43 CHSINC CHSINC 6 3/4 PERP United States BQS2V39 24.83 288,297 7,158,414.51
2.31 RF RF 6.95 PERP United States BNM9HL5 25.33 269,053 6,815,112.49
2.30 FITB FITB 7.97311 PERP United States BH58353 25.26 268,885 6,792,035.10
2.24 WTFC WTFC 7 7/8 PERP United States BVK4BN8 25.96 254,077 6,595,838.92
2.22 RF RF 5.7 PERP United States BJMXZX7 24.19 270,969 6,554,740.11
2.10 FITB FITB 6 7/8 PERP United States BW9KZK9 26.07 237,448 6,190,269.36
2.10 CHSINC CHSINC 7.1 PERP United States BKJ9QV0 25.05 246,799 6,182,314.95
2.06 NLY NLY 8.93169 PERP United States BD0B1Y4 25.42 238,914 6,073,193.88
2.02 CFG CFG 6 1/2 PERP United States BRT81P5 24.92 238,527 5,944,092.84
1.97 ATH ATH 6.35 PERP United States BPSKDY1 23.96 242,637 5,813,582.52
1.96 RITM RITM 8.90769 PERP United States BLCF612 24.10 239,187 5,764,406.70
1.80 AQNCN AQNCN 8.86372 07/01/2079 United States BFYWGC0 26.11 203,333 5,309,024.63
1.70 USB USB 4.9538 PERP United States B617Z40 762.92 6,555 5,000,939.94
1.66 HBAN HBAN 6 7/8 PERP United States BQMS207 24.84 196,799 4,888,487.16
1.64 AGNC AGNC 8.63569 PERP United States BK8ZYQ0 24.20 199,687 4,832,425.40
1.62 GS GS 4.65149 PERP United States B07GC93 19.40 247,043 4,792,634.20
1.61 NGL NGL 11.1468 PERP United States BYSX804 24.99 190,181 4,752,623.19
1.59 UMBF UMBF 7 3/4 PERP United States BTNML68 25.98 180,917 4,700,223.66
1.52 CIM CIM 9.75335 PERP United States BYYPKL9 23.19 193,532 4,488,007.08
1.49 ASB ASB 6 5/8 03/01/33 United States BMX3XP5 24.52 178,637 4,380,179.24
1.43 VOYA VOYA 5.35 PERP United States BJGS497 23.41 180,061 4,215,228.01
1.42 RITM RITM 9.57869 PERP United States BHQZFQ8 25.00 167,661 4,191,525.00
1.33 ATH ATH 7 1/4 03/30/64 United States BSLKYN5 24.41 161,084 3,932,060.44
1.28 MFA MFA 9.28369 PERP United States BLHGG32 22.75 166,150 3,779,912.50
1.28 TWO TWO 7 5/8 PERP United States BYZBR93 24.87 151,276 3,762,234.12
1.25 NLY NLY 8.92769 PERP United States BK4QDZ9 25.10 146,647 3,680,839.70
1.24 TVA TVA 2.134 06/01/28 United States 2612674 24.47 149,223 3,650,740.70
1.22 TWO TWO 8.94969 PERP United States BFNL297 25.01 143,626 3,592,086.26
1.18 AGNC AGNC 8.93169 PERP United States BK71BY6 24.80 139,765 3,466,172.00
1.17 ATH ATH 7 3/4 PERP United States BPLKV33 24.69 139,869 3,453,365.61
1.17 WSBC WSBC 7 3/8 PERP United States BPCR4M3 25.26 136,654 3,451,880.04
1.16 NLY NLY 8.11069 PERP United States BF4M2M2 24.55 139,891 3,434,324.05
1.00 PNFP PNFP 7.29069 PERP United States BV6GRK7 25.62 114,594 2,935,898.28
0.95 AGNC AGNC 9.04969 PERP United States BDH3TH2 25.10 111,878 2,808,137.80
0.92 CIM CIM 9.30025 PERP United States BHRS1F7 23.20 117,226 2,719,643.20
0.92 ADAM ADAM 11.2827 PERP United States BKVHQL2 24.60 110,293 2,713,207.80
0.88 BAC BAC 4.42565 PERP United States B1VN1F6 19.61 131,903 2,586,617.83
0.77 VLY VLY 8 1/4 PERP United States BP09108 25.52 88,472 2,257,805.44
0.68 TFC TFC 4.46869 PERP United States BKMF2F1 18.97 105,843 2,007,841.71
0.66 AGNC AGNC 8.2658 PERP United States BJBT6K0 24.16 80,780 1,951,644.80
0.64 BAC BAC 4.58435 PERP United States B06H0T3 19.32 97,954 1,892,471.28
0.63 TWO TWO 8 1/8 PERP United States BYXYWC2 24.84 74,888 1,860,217.92
0.51 OTHER PAYABLE & RECEIVABLES United States 1.00 1,502,337 1,502,337.23
-0.45 CASH United States 1.00 -1,335,274 -1,335,274.31
Holdings are subject to change. "Cash" denotes U.S. dollars.

TERMS OF USE

Global X Brasil Gestora de Investimentos Ltda. (“Global X Brasil”) is an asset manager authorized by the Brazilian Securities and Exchange Commission (“CVM”), constituted in the form of CVM Resolution No. 21/2021. Investing involves risks. The material on this site is for informational purposes only and does not constitute investment advice, recommendation, offer or solicitation to buy or sell any securities, funds, or strategies to any person in any jurisdiction in which an offer, solicitation, purchase, or sale would be illegal under the securities laws of such jurisdiction. Opinions expressed here are subject to change without notice. Reliance upon the information contained in this material is at the sole discretion of the reader. No securities regulator has confirmed the accuracy of any information contained herein. Access to the information on this site or the use of the services or information provided herein is prohibited by any person or entity in any jurisdiction or country where such distribution or use is contrary to local law, rules, or regulation. Investment in index funds (ETFs) involves risks, including detachment from the benchmark index and related to the liquidity of shares in the secondary market. Investment funds managed by Global X Brasil use strategies that can result in significant equity losses for their quota holders. Global X Brasil, its partners and employees are exempt of responsibility for any damages resulting directly or indirectly from the use of the information contained on this website.

FOR EVALUATION OF THE PERFORMANCE OF AN INVESTMENT FUND, IT IS RECOMMENDED THE ANALYSIS OF AT LEAST 12 (TWELVE) MONTHS. INVESTMENT FUNDS DO NOT HAVE A GUARANTEE FROM THE ADMINISTRATOR, THE MANAGER, ANY INSURANCE MECHANISM OR CREDIT GUARANTEE FUND – FGC. INVESTMENTS IN FINANCIAL AND CAPITAL MARKETS ARE SUBJECT TO RISKS OF LOSS GREATER THAN THE TOTAL VALUE OF INVESTED CAPITAL. PAST PROFITABILITY DOES NOT REPRESENT A GUARANTEE OF FUTURE PROFITABILITY THE PROFITABILITY DISCLOSED IS NOT NET OF TAXES. READ THE PROSPECTUS, THE FORM OF COMPLEMENTARY INFORMATION, SHEET OF ESSENTIAL INFORMATION AND THE REGULATION BEFORE INVESTING. DESCRIPTION OF THE ANBIMA TYPE AVAILABLE IN THE FORM OF COMPLEMENTARY INFORMATION.

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