DV
Dividend Vision

PFXF ETF — VanEck Preferred Securities ex Financials ETF

VanEck Preferred Securities ex Financials ETF (PFXF)

PFXF is an ETF. As of August 19, 2026, its distribution rate is 5.87%, its trailing-12-month yield is 6.51%, its expense ratio is 0.40%.

At the current 5.87% distribution rate, a $10,000 investment would generate approximately $587 per year, or $48.92 per month on an equivalent basis.

PFXF dividend yield and income

Data as of August 19, 2026.

The distribution rate (5.87%) is the latest posted forward yield, paid monthly. Trailing-12-month yield (6.51%) is the last year of payments divided by the current price. The last dividend was $0.0880. The last ex-dividend date was 08/03/2026. It was paid on 08/06/2026. At 5.87%, $10,000 would generate about $587 a year ($48.92 monthly-equivalent).

Every recorded payment (168)
Ex-dateAmountvs year-ago payment
2026-08-03$0.08825.7%
2026-07-01$0.10911.2%
2026-06-01$0.057-40.0%
2026-05-01$0.10217.2%
2026-04-01$0.08-41.2%
2026-03-02$0.09548.4%
2026-02-02$0.0498.9%
2025-12-29$0.185-50.5%
2025-11-28$0.08738.1%
2025-11-03$0.08413.5%
2025-10-01$0.1054.0%
2025-09-02$0.13113.9%
2025-08-01$0.07-13.6%
2025-07-01$0.098-16.9%
2025-06-02$0.095-11.2%
2025-05-01$0.08745.0%
2025-04-01$0.13621.4%
2025-03-03$0.064-24.7%
2025-02-03$0.045-23.7%
2024-12-27$0.374100.0%
2024-12-02$0.063-55.6%
2024-11-01$0.074-5.1%
2024-10-01$0.101-4.7%
2024-09-03$0.115-21.2%
2024-08-01$0.08126.6%
2024-07-01$0.118-26.7%
2024-06-03$0.107-24.1%
2024-04-23$0.069.1%
2024-04-01$0.112-32.9%
2024-03-01$0.08546.6%
2024-02-01$0.05918.0%
2023-12-27$0.187101.1%
2023-12-01$0.142-0.7%
2023-11-01$0.07811.4%
2023-10-02$0.1061.9%
2023-09-01$0.14617.7%
2023-08-01$0.06418.5%
2023-07-03$0.16173.1%
2023-06-01$0.14111.9%
2023-04-24$0.05531.0%
2023-04-03$0.16770.4%
2023-03-01$0.058-56.7%
2023-02-01$0.0511.1%
2022-12-28$0.093-55.5%
2022-12-01$0.14376.5%
2022-11-01$0.0722.8%
2022-10-03$0.1049.5%
2022-09-01$0.1246.9%
2022-08-01$0.054-8.5%
2022-07-01$0.093-4.1%
2022-06-01$0.12610.5%
2022-04-25$0.04275.0%
2022-04-01$0.098117.8%
2022-03-01$0.13463.4%
2022-02-01$0.0454.7%
2021-12-29$0.20964.6%
2021-12-01$0.081-29.6%
2021-11-01$0.057-12.3%
2021-10-01$0.0958.0%
2021-09-01$0.1166.4%
2021-08-02$0.059-24.4%
2021-07-01$0.0972.1%
2021-06-01$0.11429.5%
2021-04-26$0.024-65.2%
2021-04-01$0.045-47.1%
2021-03-01$0.082-16.3%
2021-02-01$0.043-14.0%
2020-12-29$0.127-16.4%
2020-12-01$0.11543.8%
2020-11-02$0.065-17.7%
2020-10-01$0.088-15.4%
2020-09-01$0.10912.4%
2020-08-03$0.07818.2%
2020-07-01$0.095-12.0%
2020-06-01$0.088-8.3%
2020-04-24$0.06921.1%
2020-04-01$0.085-9.6%
2020-03-02$0.09828.9%
2020-02-03$0.05-31.5%
2019-12-30$0.15226.7%
2019-12-02$0.08-8.0%
2019-11-01$0.079-15.1%
2019-10-01$0.104-8.8%
2019-09-03$0.09742.6%
2019-08-01$0.066-14.3%
2019-07-01$0.108-21.7%
2019-06-03$0.0963.2%
2019-04-24$0.057-31.3%
2019-04-01$0.094-16.8%
2019-03-01$0.076-15.6%
2019-02-01$0.073-17.0%
2018-12-27$0.1216.5%
2018-12-03$0.087-13.0%
2018-11-01$0.09320.8%
2018-10-01$0.114-6.6%
2018-09-04$0.068-22.7%
2018-08-01$0.077-24.5%
2018-07-02$0.13827.8%
2018-06-01$0.0933.3%
2018-05-01$0.08320.3%
2018-04-02$0.113-22.1%
2018-03-01$0.09-3.2%
2018-02-01$0.08827.5%
2017-12-27$0.103-31.3%
2017-12-01$0.111.1%
2017-11-01$0.07711.6%
2017-10-02$0.122-10.9%
2017-09-01$0.08825.7%
2017-08-01$0.10247.8%
2017-07-03$0.108-28.0%
2017-06-01$0.0932.4%
2017-05-01$0.069-5.5%
2017-04-03$0.14531.8%
2017-03-01$0.09334.8%
2017-02-01$0.0693.0%
2016-12-28$0.15-7.4%
2016-12-01$0.0936.4%
2016-11-01$0.06921.1%
2016-10-03$0.137-35.1%
2016-09-01$0.0711.1%
2016-08-01$0.06915.0%
2016-07-01$0.153.4%
2016-06-01$0.0680.0%
2016-05-02$0.07346.0%
2016-04-01$0.11-26.7%
2016-03-01$0.06915.0%
2016-02-01$0.06724.1%
2015-12-29$0.162-1.8%
2015-12-01$0.066-5.7%
2015-11-02$0.057-5.0%
2015-10-01$0.21136.1%
2015-09-01$0.063-21.3%
2015-08-03$0.067.1%
2015-07-01$0.145-19.4%
2015-06-01$0.0680.0%
2015-05-01$0.05-25.4%
2015-04-01$0.15-4.5%
2015-03-02$0.06-14.3%
2015-02-02$0.054-40.0%
2014-12-29$0.1659.3%
2014-12-01$0.07-30.0%
2014-11-03$0.061.7%
2014-10-01$0.1550.0%
2014-09-02$0.08-12.1%
2014-08-01$0.056-17.6%
2014-07-01$0.1814.6%
2014-06-02$0.068-20.0%
2014-05-01$0.06713.6%
2014-04-01$0.1571.3%
2014-03-03$0.07-23.1%
2014-02-03$0.0963.6%
2013-12-27$0.1513.4%
2013-12-02$0.1-1.0%
2013-11-01$0.059-19.2%
2013-10-01$0.15524.0%
2013-09-03$0.09113.7%
2013-08-01$0.068
2013-07-01$0.157
2013-06-03$0.085
2013-05-01$0.059
2013-04-01$0.155
2013-03-01$0.091
2013-02-01$0.055
2012-12-27$0.146
2012-12-03$0.101
2012-11-01$0.073
2012-10-01$0.125
2012-09-04$0.08
2012 total$0.525
2013 total$1.226133.5%
2014 total$1.218-0.7%
2015 total$1.146-5.9%
2016 total$1.122-2.1%
2017 total$1.1663.9%
2018 total$1.164-0.2%
2019 total$1.082-7.0%
2020 total$1.067-1.4%
2021 total$1.022-4.2%
2022 total$1.12610.2%
2023 total$1.35520.3%
2024 total$1.349-0.4%
2025 total$1.187-12.0%
2026 YTD total$0.58-2.5%

PFXF dividend growth

Trailing-12-month distributions versus the preceding 12 months changed 12.91%. That is the seasonality-immune income comparison, not a single quarterly check versus the prior quarter. An annualized trend fit on recent payments is -33.31%. That fit can move with uneven quarterly amounts and is not the same as a trailing-12-month cut. The deepest trailing-12-month payout decline in the past five years is -26.04%.

TTM income vs the prior window
WindowChange
1Y-11.3%
3Y10.2%
5Y12.7%
10Y146.0%

PFXF key facts

Data as of August 19, 2026.

Issuer
VanEck
Asset type
ETF
Asset class
Equity
Inception date
07/16/2012
Expense ratio
0.40%
Distribution rate
5.87%
Distribution frequency
Monthly
Trailing yield
6.51%
Last close
$17.98
AUM
$2,450,825,591
Average volume
601055.0
Last dividend
$0.0880
Ex-dividend date
08/03/2026
Payment date
08/06/2026
Beta
0.96

How Dividend Vision calculates yield and returns

Distribution rate (5.87%) is the latest regular payout annualized by the fund's stated frequency, divided by the last close. Issuers often publish this as “Distribution Rate” on the fact sheet. Trailing-12-month yield (6.51%) is the sum of distributions paid in the last 12 months, split-adjusted, divided by the last close. It lags a recent raise or cut. We show a 30-day SEC yield when the fund publishes one. Schwab and other issuers may report a TTM distribution yield or SEC yield on a different date — all can be valid; they are not interchangeable. Fund total return uses split-adjusted close with distributions reinvested from the first stored bar on or after inception through the latest bar, compared with the same window on the benchmark. That is what the fund did, not your personal gain/loss. Figures below use Dividend Vision data as of August 19, 2026.

Distribution rate methodology · Distribution Safety Score methodology · SEC yield

Sources and review

Data as of August 19, 2026.

Primary sources: VanEck; prices and distributions from Dividend Vision, derived from vendor EOD data.

Reviewed by Bert Sweet, CEO and Co-owner of Dividend Vision. Methodology: Distribution Safety Score.

Who may consider PFXF — and who may not

PFXF may suit someone looking for moderate current income with a quality tilt. It is a weaker fit for investors hunting double-digit covered-call yields. This is educational context, not a recommendation to buy or sell.

Compare PFXF

PFXF vs similar funds:

Frequently asked questions

Does PFXF pay monthly?

Yes. PFXF currently pays monthly.

What is PFXF's expense ratio?

PFXF's expense ratio is 0.40%.

What is PFXF's dividend yield?

PFXF currently yields 5.87%, paid monthly, with a 0.40% expense ratio.

How has PFXF's dividend grown?

Trailing-12-month distributions versus the preceding 12 months changed 12.91%. That is not a single quarter versus the prior quarter.

When does PFXF pay a dividend?

PFXF pays monthly. The last dividend was $0.0880. The last ex-dividend date was 08/03/2026. It was paid on 08/06/2026.

Is PFXF a good investment?

It currently yields 5.87%. Compare peers below rather than treating any single figure as a buy or sell.