Schedule of Investments | August 31, 2020 (Unaudited) |
Global X SuperDividend® Alternatives ETF
Shares | Value | |||||||
CLOSED-END FUNDS — 33.7% | ||||||||
AllianzGI NFJ Dividend Interest & Premium Strategy Fund | 39,258 | $ | 492,294 | |||||
BlackRock Income Trust (A) | 71,962 | 445,445 | ||||||
Brookfield Real Assets Income Fund | 26,690 | 451,862 | ||||||
Eaton Vance Risk-Managed Diversified Equity Income Fund | 46,502 | 477,576 | ||||||
Eaton Vance Tax Managed Global Buy-Write Opportunities Fund | 51,385 | 462,465 | ||||||
Eaton Vance Tax-Managed Buy-Write Opportunities Fund (A) | 31,477 | 464,286 | ||||||
Morgan Stanley Emerging Markets Domestic Debt Fund | 77,655 | 450,399 | ||||||
Nuveen Mortgage and Income Fund | 22,762 | 443,631 | ||||||
Stone Harbor Emerging Markets Income Fund | 63,087 | 448,549 | ||||||
Templeton Emerging Markets Income Fund | 56,657 | 431,160 | ||||||
Voya Global Equity Dividend and Premium Opportunity Fund | 92,678 | 469,877 | ||||||
Western Asset Emerging Markets Debt Fund (A) | 36,075 | 468,254 | ||||||
Western Asset Mortgage Opportunity Fund (A) | 30,291 | 397,115 | ||||||
TOTAL CLOSED-END FUNDS | ||||||||
(Cost $6,529,302) | 5,902,913 | |||||||
COMMON STOCK — 29.4% | ||||||||
Energy — 3.0% | ||||||||
Kinder Morgan | 19,862 | 274,493 | ||||||
ONEOK | 9,162 | 251,772 | ||||||
526,265 | ||||||||
Financials — 16.0% | ||||||||
Apollo Investment (A) | 23,539 | 213,263 | ||||||
Ares Capital | 15,601 | 229,491 | ||||||
BlackRock Capital Investment | 86,459 | 249,002 | ||||||
BlackRock TCP Capital | 24,652 | 243,069 | ||||||
Hercules Capital | 21,753 | 244,069 | ||||||
Main Street Capital | 7,297 | 220,880 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X SuperDividend® Alternatives ETF
Shares | Value | |||||||
COMMON STOCK — continued | ||||||||
Financials — continued | ||||||||
New Mountain Finance | 24,256 | $ | 242,317 | |||||
PennantPark Floating Rate Capital | 26,817 | 228,213 | ||||||
PennantPark Investment | 64,223 | 226,707 | ||||||
Prospect Capital (A) | 44,070 | 224,757 | ||||||
Sixth Street Specialty Lending | 13,687 | 240,891 | ||||||
Solar Capital | 14,067 | 237,029 | ||||||
2,799,688 | ||||||||
Utilities — 10.4% | ||||||||
Avista | 8,233 | 303,468 | ||||||
CenterPoint Energy | 16,030 | 321,722 | ||||||
Dominion Energy | 3,688 | 289,287 | ||||||
Duke Energy | 3,736 | 300,150 | ||||||
PPL | 11,579 | 319,928 | ||||||
Southern | 5,688 | 296,800 | ||||||
1,831,355 | ||||||||
TOTAL COMMON STOCK | ||||||||
(Cost $6,342,195) | 5,157,308 | |||||||
EXCHANGE TRADED FUND — 18.0% | ||||||||
Global X SuperDividend® REIT ETF (B) | ||||||||
(Cost $5,139,424) | 395,526 | 3,148,387 | ||||||
MASTER LIMITED PARTNERSHIPS — 14.6% | ||||||||
Energy — 13.0% | ||||||||
Alliance Resource Partners | 91,500 | 304,695 | ||||||
Black Stone Minerals | 46,578 | 325,580 | ||||||
Enable Midstream Partners | 65,233 | 366,610 | ||||||
Holly Energy Partners | 20,758 | 296,632 | ||||||
MPLX | 17,704 | 323,452 | ||||||
Sunoco | 13,328 | 353,592 | ||||||
USA Compression Partners | 28,359 | 313,083 | ||||||
2,283,644 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X SuperDividend® Alternatives ETF
Shares/Face Amount | Value | |||||||
MASTER LIMITED PARTNERSHIPS — continued | ||||||||
Utilities — 1.6% | ||||||||
Suburban Propane Partners | 21,091 | $ | 268,910 | |||||
TOTAL MASTER LIMITED PARTNERSHIPS | ||||||||
(Cost $2,159,251) | 2,552,554 | |||||||
BUSINESS DEVELOPMENT COMPANIES — 4.0% | ||||||||
Goldman Sachs BDC | 13,640 | 217,149 | ||||||
Golub Capital BDC | 19,356 | 255,112 | ||||||
TCG BDC | 26,298 | 231,685 | ||||||
TOTAL BUSINESS DEVELOPMENT COMPANIES | ||||||||
(Cost $917,119) | 703,946 | |||||||
SHORT-TERM INVESTMENT(C)(D) — 2.8% | ||||||||
Fidelity Investments Money Market Government Portfolio, Cl Institutional, 0.010% | ||||||||
(Cost $490,201) | 490,201 | 490,201 | ||||||
REPURCHASE AGREEMENT(C) — 0.3% | ||||||||
BNP Paribas | ||||||||
0.050%, dated 08/31/20, to be repurchased on 09/01/20, repurchased price $54,914 (collateralized by U.S. Treasury Obligations, with a par value of $56,048, 1.500%, 08/15/2026, with a total market value of $56,048) | ||||||||
(Cost $54,914) | $ | 54,914 | 54,914 | |||||
TOTAL INVESTMENTS — 102.8% | ||||||||
(Cost $21,632,406) | $ | 18,010,223 | ||||||
Percentages are based on Net Assets of $17,522,114.
(A) | This security or a partial position of this security is on loan at August 31, 2020. The total value of securities on loan at August 31, 2020 was $529,297. |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X SuperDividend® Alternatives ETF
(B) | Affiliated investment. |
(C) | Security was purchased with cash collateral held from securities on loan. The total value of such securities as of August 31, 2020 was $545,115. |
(D) |
The rate reported on the Schedule of Investments is the 7-day effective yield as of August 31, 2020. |
BDC — Business Development Companies |
Cl — Class |
ETF — Exchange Traded Fund |
REIT — Real Estate Investment Trust
|
The following is a summary of the level of inputs used as of August 31, 2020, in valuing the Fund's investments carried at value:
Investments in Securities | Level 1 | Level 2 | Level 3 | Total | ||||||||||||
Closed-End Funds | $ | 5,902,913 | $ | — | $ | — | $ | 5,902,913 | ||||||||
Common Stock | 5,157,308 | — | — | 5,157,308 | ||||||||||||
Exchange Traded Fund | 3,148,387 | — | — | 3,148,387 | ||||||||||||
Master Limited Partnerships | 2,552,554 | — | — | 2,552,554 | ||||||||||||
Business Development Companies | 703,946 | — | — | 703,946 | ||||||||||||
Short-Term Investment | 490,201 | — | — | 490,201 | ||||||||||||
Repurchase Agreement | — | 54,914 | — | 54,914 | ||||||||||||
Total Investments in Securities | $ | 17,955,309 | $ | 54,914 | $ | — | $ | 18,010,223 | ||||||||
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X SuperDividend® Alternatives ETF
The following is a summary of the transactions with affiliates for the period ended August 31, 2020:
Value at | Purchases at | Proceeds | Changes in Unrealized |
Value at | Dividend | ||||||||||||||||||||||||
11/30/2019 | Cost | from Sales | Depreciation | Realized Loss | 8/31/2020 | Shares | Income | ||||||||||||||||||||||
Global X SuperDividend® REIT ETF | |||||||||||||||||||||||||||||
$ | 6,423,112 | $ | 1,024,311 | $ | (1,641,452 | ) | $ | (2,173,534 | ) | $ | (484,050 | ) | $ | 3,148,387 | 395,526 | $ | 235,874 |
For the period ended August 31, 2020, there have been no transfers in or out of Level 3.
Amounts designated as “—“ are $0 or have been rounded to $0.
For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent annual or semi-annual financial statements.
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X S&P 500® Quality Dividend ETF
Shares | Value | |||||||
COMMON STOCK — 99.7% | ||||||||
Consumer Discretionary — 1.6% | ||||||||
Garmin | 862 | $ | 89,312 | |||||
Consumer Staples — 6.1% | ||||||||
Campbell Soup | 1,662 | 87,438 | ||||||
General Mills | 1,314 | 84,030 | ||||||
Kraft Heinz | 2,486 | 87,109 | ||||||
Procter & Gamble | 684 | 94,618 | ||||||
353,195 | ||||||||
Energy — 8.6% | ||||||||
Chevron | 847 | 71,089 | ||||||
ConocoPhillips | 1,808 | 68,505 | ||||||
Diamondback Energy | 1,684 | 65,609 | ||||||
EOG Resources | 1,490 | 67,557 | ||||||
Exxon Mobil | 1,676 | 66,939 | ||||||
Kinder Morgan | 5,101 | 70,496 | ||||||
Pioneer Natural Resources | 797 | 82,832 | ||||||
493,027 | ||||||||
Financials — 22.7% | ||||||||
Ameriprise Financial | 539 | 84,515 | ||||||
Assurant | 739 | 89,832 | ||||||
BlackRock, Cl A | 150 | 89,129 | ||||||
Chubb | 623 | 77,875 | ||||||
Citizens Financial Group | 3,062 | 79,214 | ||||||
Comerica | 2,020 | 79,850 | ||||||
Everest Re Group | 368 | 80,989 | ||||||
Franklin Resources | 3,628 | 76,406 | ||||||
Hartford Financial Services Group | 1,975 | 79,889 | ||||||
M&T Bank | 726 | 74,967 | ||||||
Regions Financial | 6,643 | 76,793 | ||||||
Synchrony Financial | 3,326 | 82,518 | ||||||
T Rowe Price Group | 654 | 91,043 | ||||||
Travelers | 698 | 80,996 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X S&P 500® Quality Dividend ETF
Shares | Value | |||||||
COMMON STOCK — continued | ||||||||
Financials — continued | ||||||||
Unum Group | 4,628 | $ | 85,525 | |||||
Zions Bancorp | 2,267 | 72,907 | ||||||
1,302,448 | ||||||||
Health Care — 7.7% | ||||||||
Amgen | 363 | 91,955 | ||||||
Johnson & Johnson | 550 | 84,376 | ||||||
Medtronic | 848 | 91,135 | ||||||
Merck | 1,036 | 88,339 | ||||||
Pfizer | 2,319 | 87,635 | ||||||
443,440 | ||||||||
Industrials — 17.6% | ||||||||
CH Robinson Worldwide | 1,017 | 99,971 | ||||||
Cummins | 473 | 98,029 | ||||||
Eaton | 919 | 93,830 | ||||||
Emerson Electric | 1,288 | 89,477 | ||||||
Fastenal | 1,973 | 96,401 | ||||||
Flowserve | 2,823 | 83,787 | ||||||
Honeywell International | 547 | 90,556 | ||||||
Illinois Tool Works | 479 | 94,626 | ||||||
Johnson Controls International | 2,294 | 93,435 | ||||||
Lockheed Martin | 207 | 80,784 | ||||||
Snap-On | 585 | 86,738 | ||||||
1,007,634 | ||||||||
Information Technology — 13.0% | ||||||||
Automatic Data Processing | 533 | 74,135 | ||||||
Cisco Systems | 1,754 | 74,054 | ||||||
Hewlett Packard Enterprise | 7,789 | 75,320 | ||||||
NetApp | 1,862 | 88,240 | ||||||
Paychex | 1,072 | 81,976 | ||||||
Seagate Technology | 1,562 | 74,960 | ||||||
TE Connectivity | 1,006 | 97,180 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X S&P 500® Quality Dividend ETF
Shares | Value | |||||||
COMMON STOCK — continued | ||||||||
Information Technology — continued | ||||||||
Texas Instruments | 638 | $ | 90,692 | |||||
Xerox Holdings | 4,633 | 87,378 | ||||||
743,935 | ||||||||
Materials — 8.9% | ||||||||
Celanese, Cl A | 893 | 90,326 | ||||||
Dow | 1,917 | 86,495 | ||||||
DuPont de Nemours | 1,550 | 86,428 | ||||||
Eastman Chemical | 1,124 | 82,176 | ||||||
Nucor | 1,919 | 87,238 | ||||||
Packaging Corp of America | 791 | 80,081 | ||||||
512,744 | ||||||||
Real Estate — 13.5% | ||||||||
AvalonBay Communities ‡ | 478 | 75,553 | ||||||
Digital Realty Trust ‡ | 581 | 90,432 | ||||||
Duke Realty ‡ | 2,236 | 86,198 | ||||||
Equity Residential ‡ | 1,244 | 70,224 | ||||||
Essex Property Trust ‡ | 317 | 68,634 | ||||||
Mid-America Apartment Communities ‡ | 664 | 77,768 | ||||||
ProLogis ‡ | 837 | 85,257 | ||||||
Public Storage ‡ | 402 | 85,384 | ||||||
Regency Centers ‡ | 1,636 | 64,966 | ||||||
Vornado Realty Trust ‡ | 1,968 | 70,513 | ||||||
774,929 | ||||||||
TOTAL COMMON STOCK | ||||||||
(Cost $5,837,167) | 5,720,664 | |||||||
TOTAL INVESTMENTS — 99.7% | ||||||||
(Cost $5,837,167) | $ | 5,720,664 | ||||||
Percentages are based on Net Assets of $5,740,333. | ||||||||
‡ | Real Estate Investment Trust |
Cl — Class |
As of August 31, 2020, all of the Fund's investments were considered Level 1, in accordance with authoritative guidance on fair value measurements and disclosure under U.S. GAAP. |
For the period ended August 31, 2020, there have been no transfers in or out of Level 3.
For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent annual or semi-annual financial statements.
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X U.S. Preferred ETF |
Shares | Value | |||||||
PREFERRED STOCK — 99.4% | ||||||||
BERMUDA— 1.3% | ||||||||
Financials — 1.0% | ||||||||
Aspen Insurance Holdings, 5.950%, VAR ICE LIBOR USD 3 Month+4.060% | 43,494 | $ | 1,078,651 | |||||
Aspen Insurance Holdings, 5.625% (A) | 39,406 | 975,299 | ||||||
Aspen Insurance Holdings, 5.625% | 37,639 | 911,240 | ||||||
PartnerRe, 7.250% | 44,192 | 1,143,689 | ||||||
PartnerRe, 5.875% | 30,163 | 772,474 | ||||||
RenaissanceRe Holdings, 5.750% (A) | 39,427 | 1,081,088 | ||||||
RenaissanceRe Holdings, 5.375% | 43,793 | 1,103,584 | ||||||
7,066,025 | ||||||||
Industrials — 0.3% | ||||||||
Triton International, 8.000% | 22,376 | 586,251 | ||||||
Triton International, 7.375% (A) | 25,595 | 647,554 | ||||||
Triton International, 6.875% | 21,715 | 528,109 | ||||||
1,761,914 | ||||||||
TOTAL BERMUDA | 8,827,939 | |||||||
CANADA— 0.8% | ||||||||
Energy — 0.3% | ||||||||
Enbridge, 6.375%, VAR ICE LIBOR USD 3 Month+3.593% | 91,224 | 2,355,404 | ||||||
Utilities — 0.5% | ||||||||
Algonquin Power & Utilities, 6.875%, VAR ICE LIBOR USD 3 Month+3.677% | 41,541 | 1,149,439 | ||||||
Algonquin Power & Utilities, 6.200%, VAR ICE LIBOR USD 3 Month+4.010% | 52,828 | 1,449,600 | ||||||
Brookfield Renewable Partners, 5.250% | 27,663 | 750,774 | ||||||
3,349,813 | ||||||||
TOTAL CANADA | 5,705,217 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X U.S. Preferred ETF |
Shares | Value | |||||||
PREFERRED STOCK — continued | ||||||||
NETHERLANDS— 0.7% | ||||||||
Financials — 0.7% | ||||||||
Aegon, 5.100% | 141,285 | $ | 3,623,960 | |||||
Aegon, 4.000%, VAR ICE LIBOR USD 3 Month+0.875% | 34,859 | 865,898 | ||||||
TOTAL NETHERLANDS | 4,489,858 | |||||||
UNITED KINGDOM— 1.2% | ||||||||
Financials — 1.2% | ||||||||
HSBC Holdings, 6.200% | 223,125 | 5,825,794 | ||||||
Prudential, 6.750% | 39,460 | 1,059,501 | ||||||
Prudential, 6.500% | 45,127 | 1,249,567 | ||||||
TOTAL UNITED KINGDOM | 8,134,862 | |||||||
UNITED STATES— 95.4% | ||||||||
Communication Services — 5.3% | ||||||||
AT&T, 5.625% (A) | 126,028 | 3,458,208 | ||||||
AT&T, 5.350% | 203,655 | 5,447,771 | ||||||
AT&T, 5.000% | 184,985 | 4,959,448 | ||||||
AT&T, 4.750% | 268,898 | 6,821,942 | ||||||
Qwest, 6.750% (A) | 100,457 | 2,628,960 | ||||||
Qwest, 6.625% | 59,268 | 1,497,110 | ||||||
Qwest, 6.500% | 149,341 | 3,763,393 | ||||||
Qwest, 6.125% (A) | 118,118 | 2,925,783 | ||||||
Telephone & Data Systems, 7.000% | 47,482 | 1,218,863 | ||||||
Telephone & Data Systems, 6.875% | 31,378 | 789,471 | ||||||
United States Cellular, 7.250% | 45,099 | 1,141,005 | ||||||
United States Cellular, 7.250% (A) | 38,983 | 980,812 | ||||||
United States Cellular, 6.950% | 49,100 | 1,250,086 | ||||||
36,882,852 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X U.S. Preferred ETF |
Shares | Value | |||||||
PREFERRED STOCK — continued | ||||||||
Consumer Discretionary — 2.1% | ||||||||
Brunswick, 6.625% | 16,446 | $ | 451,936 | |||||
Brunswick, 6.500% (A) | 25,473 | 687,007 | ||||||
Brunswick, 6.375% | 32,292 | 877,696 | ||||||
Dillard's Capital Trust I, 7.500% | 31,774 | 674,562 | ||||||
eBay, 6.000% | 114,456 | 2,979,290 | ||||||
Ford Motor, 6.200% | 113,974 | 2,831,114 | ||||||
Ford Motor, 6.000% | 121,589 | 2,997,169 | ||||||
QVC, 6.375% | 35,347 | 885,442 | ||||||
QVC, 6.250% | 75,666 | 1,822,794 | ||||||
14,207,010 | ||||||||
Consumer Staples — 0.1% | ||||||||
Energizer Holdings, 7.500% * | 7,487 | 731,106 | ||||||
Energy — 1.4% | ||||||||
DCP Midstream, 7.875%, VAR ICE LIBOR USD 3 Month+4.919% | 27,792 | 515,542 | ||||||
Energy Transfer Operating, 7.625%, VAR ICE LIBOR USD 3 Month+4.738% | 71,796 | 1,451,715 | ||||||
Energy Transfer Operating, 7.600%, VAR ICE LIBOR USD 3 Month+5.161% | 121,835 | 2,601,177 | ||||||
Energy Transfer Operating, 7.375%, VAR ICE LIBOR USD 3 Month+4.530% | 64,724 | 1,310,661 | ||||||
NuStar Energy, 9.000%, VAR ICE LIBOR USD 3 Month+6.880% | 29,783 | 599,830 | ||||||
NuStar Energy, 8.500%, VAR ICE LIBOR USD 3 Month+6.766% | 30,573 | 577,524 | ||||||
NuStar Energy, 7.625%, VAR ICE LIBOR USD 3 Month+5.643% | 63,716 | 1,086,995 | ||||||
NuStar Logistics, 7.009%, VAR ICE LIBOR USD 3 Month+6.734% | 57,619 | 1,184,070 | ||||||
9,327,514 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X U.S. Preferred ETF |
Shares | Value | |||||||
PREFERRED STOCK — continued | ||||||||
Financials — 57.4% | ||||||||
Affiliated Managers Group, 5.875% | 42,953 | $ | 1,179,060 | |||||
Allied Capital, 6.875% | 36,867 | 965,178 | ||||||
Allstate, 5.625% | 87,517 | 2,454,852 | ||||||
Allstate, 5.100%, VAR ICE LIBOR USD 3 Month+3.165% | 75,921 | 2,042,275 | ||||||
Allstate, 5.100% | 177,356 | 4,785,065 | ||||||
Allstate, 4.750% | 45,090 | 1,221,037 | ||||||
American Equity Investment Life Holding, 5.950%, VAR US Treas Yield Curve Rate T Note Const Mat 5 Yr+4.322% | 60,364 | 1,443,303 | ||||||
American Financial Group, 6.000% | 22,000 | 559,240 | ||||||
American Financial Group, 5.875% | 20,307 | 561,489 | ||||||
American Financial Group, 5.125% | 29,671 | 793,699 | ||||||
American International Group, 5.850% | 75,902 | 2,075,920 | ||||||
Apollo Global Management, 6.375% | 43,440 | 1,167,233 | ||||||
Apollo Global Management, 6.375% | 47,632 | 1,294,161 | ||||||
Arch Capital Group, 5.450% | 49,723 | 1,308,212 | ||||||
Arch Capital Group, 5.250% | 68,145 | 1,737,016 | ||||||
Assured Guaranty Municipal Holdings, 6.250% | 32,241 | 865,026 | ||||||
Athene Holding, 6.350%, VAR ICE LIBOR USD 3 Month+4.253% | 131,642 | 3,510,892 | ||||||
Athene Holding, 5.625% | 53,569 | 1,378,866 | ||||||
Axis Capital Holdings, 5.500% | 83,565 | 2,126,729 | ||||||
BancorpSouth Bank, 5.500% | 25,434 | 667,642 | ||||||
Bank of America, 7.250% * | 11,770 | 17,596,503 | ||||||
Bank of America, 6.450%, VAR ICE LIBOR USD 3 Month+1.327% | 156,368 | 4,173,462 | ||||||
Bank of America, 6.200% | 163,921 | 4,253,750 | ||||||
Bank of America, 6.000% | 137,545 | 3,621,560 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X U.S. Preferred ETF |
Shares | Value | |||||||
PREFERRED STOCK — continued | ||||||||
Financials — continued | ||||||||
Bank of America, 6.000% | 207,783 | $ | 5,757,667 | |||||
Bank of America, 5.875% | 130,498 | 3,571,730 | ||||||
Bank of America, 5.375% | 215,024 | 5,835,751 | ||||||
Bank of America, 5.000% (A) | 201,723 | 5,398,107 | ||||||
Bank of America, 4.000% (A), VAR ICE LIBOR USD 3 Month+0.750% | 34,551 | 855,483 | ||||||
Bank of America, 4.000%, VAR ICE LIBOR USD 3 Month+0.500% | 63,566 | 1,547,196 | ||||||
Bank of America, 4.000%, VAR ICE LIBOR USD 3 Month+0.350% | 50,444 | 1,251,011 | ||||||
Bank of America, 3.000%, VAR ICE LIBOR USD 3 Month+0.650% | 46,725 | 997,579 | ||||||
Bank of New York Mellon, 5.200% | 88,621 | 2,282,877 | ||||||
BOK Financial, 5.375% | 20,065 | 529,515 | ||||||
Brighthouse Financial, 6.600% | 64,319 | 1,750,120 | ||||||
Brighthouse Financial, 6.250% (A) | 54,170 | 1,464,757 | ||||||
Brightsphere Investment Group, 5.125% | 19,223 | 483,459 | ||||||
Capital One Financial, 6.200% | 75,894 | 1,923,154 | ||||||
Capital One Financial, 6.000% | 75,912 | 1,962,325 | ||||||
Capital One Financial, 5.200% | 91,277 | 2,333,953 | ||||||
Capital One Financial, 5.000% | 230,830 | 5,812,299 | ||||||
Capital One Financial, 4.800% | 191,237 | 4,641,322 | ||||||
Charles Schwab, 6.000% | 91,325 | 2,325,135 | ||||||
Charles Schwab, 5.950% | 114,459 | 2,988,525 | ||||||
CIT Group, 5.625% | 30,663 | 716,594 | ||||||
Citigroup, Ser J, 7.125%, VAR ICE LIBOR USD 3 Month+4.040% | 145,308 | 4,152,903 | ||||||
Citigroup, 6.875%, VAR ICE LIBOR USD 3 Month+4.130% | 229,818 | 6,499,253 | ||||||
Citigroup, 6.300% | 158,304 | 4,073,162 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X U.S. Preferred ETF |
Shares | Value | |||||||
PREFERRED STOCK — continued | ||||||||
Financials — continued | ||||||||
Citigroup Capital XIII, 6.638%, VAR ICE LIBOR USD 3 Month+6.370% | 339,729 | $ | 9,155,697 | |||||
Citizens Financial Group, 6.350%, VAR ICE LIBOR USD 3 Month+3.642% | 42,822 | 1,153,625 | ||||||
Citizens Financial Group, 5.000% | 68,117 | 1,712,461 | ||||||
Commerce Bancshares, 6.000% (A) | 23,415 | 585,375 | ||||||
Enstar Group, 7.000% | 18,559 | 497,381 | ||||||
Enstar Group, 7.000%, VAR ICE LIBOR USD 3 Month+4.015% | 60,459 | 1,613,651 | ||||||
Equitable Holdings, 5.250% | 122,012 | 3,063,721 | ||||||
Fifth Third Bancorp, 6.625%, VAR ICE LIBOR USD 3 Month+3.710% | 68,261 | 1,921,547 | ||||||
Fifth Third Bancorp, 4.950% | 38,718 | 1,032,222 | ||||||
First Citizens BancShares, 5.375% | 49,508 | 1,303,546 | ||||||
First Republic Bank, 5.500% | 45,510 | 1,244,698 | ||||||
First Republic Bank, 5.125% | 32,972 | 868,812 | ||||||
First Republic Bank, 4.700% (A) | 59,616 | 1,569,093 | ||||||
Globe Life, 6.125% | 47,925 | 1,331,836 | ||||||
GMAC Capital Trust I, Ser 2, 6.065%, VAR ICE LIBOR USD 3 Month+5.785% | 408,685 | 10,025,043 | ||||||
Goldman Sachs Group, 6.375%, VAR ICE LIBOR USD 3 Month+3.550% | 106,736 | 2,975,800 | ||||||
Goldman Sachs Group, 6.300% | 102,907 | 2,687,931 | ||||||
Goldman Sachs Group, 5.500%, VAR ICE LIBOR USD 3 Month+3.640% | 152,942 | 4,141,669 | ||||||
Goldman Sachs Group, 4.000%, VAR ICE LIBOR USD 3 Month+0.750% | 29,425 | 701,786 | ||||||
Goldman Sachs Group, 4.000%, VAR ICE LIBOR USD 3 Month+0.670% (A) | 208,146 | 4,841,476 | ||||||
Goldman Sachs Group, 3.750%, VAR ICE LIBOR USD 3 Month+0.750% | 114,177 | 2,548,431 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X U.S. Preferred ETF |
Shares | Value | |||||||
PREFERRED STOCK — continued | ||||||||
Financials — continued | ||||||||
Hanover Insurance Group, 6.350% (A) | 27,618 | $ | 700,116 | |||||
Hartford Financial Services Group, 7.875%, VAR ICE LIBOR USD 3 Month+5.596% | 91,369 | 2,572,951 | ||||||
Hartford Financial Services Group, 6.000% | 52,030 | 1,438,629 | ||||||
Huntington Bancshares, 6.250% | 91,316 | 2,342,255 | ||||||
JPMorgan Chase, 6.150% | 171,429 | 4,431,440 | ||||||
JPMorgan Chase, 6.100% | 219,373 | 5,596,205 | ||||||
JPMorgan Chase, 6.000% | 283,926 | 7,907,339 | ||||||
JPMorgan Chase, 5.750% | 260,542 | 7,131,035 | ||||||
JPMorgan Chase, 4.750% | 137,515 | 3,660,649 | ||||||
KeyCorp, 6.125%, VAR ICE LIBOR USD 3 Month+3.892% (A) | 76,009 | 2,260,508 | ||||||
KeyCorp, 5.650% | 65,643 | 1,734,288 | ||||||
KeyCorp, 5.625% (A) | 68,209 | 1,885,979 | ||||||
KKR, 6.750% | 52,529 | 1,390,968 | ||||||
KKR, 6.500% | 20,918 | 572,526 | ||||||
MetLife, 5.625% (A) | 122,853 | 3,407,942 | ||||||
MetLife, 4.750% | 152,889 | 4,050,030 | ||||||
MetLife, 4.000%, VAR ICE LIBOR USD 3 Month+1.000% | 91,274 | 2,264,508 | ||||||
Morgan Stanley, Ser E, 7.125%, VAR ICE LIBOR USD 3 Month+4.320% | 131,764 | 3,800,074 | ||||||
Morgan Stanley, Ser F, 6.875%, VAR ICE LIBOR USD 3 Month+3.940% | 130,794 | 3,689,699 | ||||||
Morgan Stanley, 6.375%, VAR ICE LIBOR USD 3 Month+3.708% | 153,002 | 4,316,186 | ||||||
Morgan Stanley, 5.850%, VAR ICE LIBOR USD 3 Month+3.491% | 153,896 | 4,346,023 | ||||||
Morgan Stanley, 4.875% | 75,834 | 1,992,159 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X U.S. Preferred ETF |
Shares | Value | |||||||
PREFERRED STOCK — continued | ||||||||
Financials — continued | ||||||||
Morgan Stanley, 4.000%, VAR ICE LIBOR USD 3 Month+0.700% | 168,092 | $ | 3,921,586 | |||||
Navient, 6.000% | 49,745 | 1,127,719 | ||||||
New York Community Bancorp, 6.375%, VAR ICE LIBOR USD 3 Month+3.821% | 78,249 | 2,118,983 | ||||||
Northern Trust, 4.700% (A) | 60,474 | 1,660,011 | ||||||
Oaktree Capital Group, 6.550% | 36,937 | 1,012,443 | ||||||
People's United Financial, 5.625%, VAR ICE LIBOR USD 3 Month+4.020% | 39,463 | 1,049,716 | ||||||
PNC Financial Services Group, 6.125%, VAR ICE LIBOR USD 3 Month+4.067% | 230,708 | 6,122,990 | ||||||
PNC Financial Services Group, 5.375% | 72,860 | 1,821,500 | ||||||
Prospect Capital, 6.250% | 34,867 | 874,464 | ||||||
Prudential Financial, 5.750% | 87,454 | 2,191,597 | ||||||
Prudential Financial, 5.700% | 108,235 | 2,705,875 | ||||||
Prudential Financial, 5.625% | 85,985 | 2,395,542 | ||||||
Regions Financial, Ser B, 6.375%, VAR ICE LIBOR USD 3 Month+3.536% | 75,966 | 2,092,863 | ||||||
Regions Financial, Ser A, 6.375% | 75,888 | 1,935,144 | ||||||
Regions Financial, 5.700%, VAR ICE LIBOR USD 3 Month+3.148% (A) | 75,943 | 2,061,852 | ||||||
Reinsurance Group of America, 6.200%, VAR ICE LIBOR USD 3 Month+4.370% | 60,504 | 1,628,163 | ||||||
Reinsurance Group of America, 5.750%, VAR ICE LIBOR USD 3 Month+4.040% | 60,840 | 1,663,366 | ||||||
State Street, 5.900%, VAR ICE LIBOR USD 3 Month+3.108% (A) | 114,460 | 3,152,228 | ||||||
State Street, 5.350%, VAR ICE LIBOR USD 3 Month+3.709% | 75,959 | 2,110,141 | ||||||
Stifel Financial, 6.250% (A) | 26,229 | 710,806 | ||||||
Stifel Financial, 5.200% | 31,432 | 831,062 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X U.S. Preferred ETF |
Shares | Value | |||||||
PREFERRED STOCK — continued | ||||||||
Financials — continued | ||||||||
SVB Financial Group, 5.250% | 52,764 | $ | 1,381,362 | |||||
Synchrony Financial, 5.625% | 114,139 | 2,775,861 | ||||||
Synovus Financial, 6.300%, VAR ICE LIBOR USD 3 Month+3.352% | 29,572 | 769,759 | ||||||
Synovus Financial, 5.875%, VAR US Treas Yield Curve Rate T Note Const Mat 5 Yr+4.127% | 49,972 | 1,247,801 | ||||||
TCF Financial, 5.700% (A) | 23,787 | 616,083 | ||||||
Truist Financial, 5.625% | 70,539 | 1,843,889 | ||||||
Truist Financial, 5.200% | 75,880 | 1,922,799 | ||||||
Truist Financial, 5.200% | 73,022 | 1,848,917 | ||||||
Truist Financial, 4.000%, VAR ICE LIBOR USD 3 Month+0.530% | 25,508 | 642,802 | ||||||
Unum Group, 6.250% | 47,526 | 1,259,914 | ||||||
US Bancorp, 6.500%, VAR ICE LIBOR USD 3 Month+4.468% | 163,928 | 4,414,581 | ||||||
US Bancorp, 5.500% (A) | 87,492 | 2,449,776 | ||||||
US Bancorp, 4.500% * | 75,892 | 1,973,951 | ||||||
US Bancorp, 3.500%, VAR ICE LIBOR USD 3 Month+0.600% | 152,620 | 3,369,850 | ||||||
Voya Financial, 5.350%, VAR US Treas Yield Curve Rate T Note Const Mat 5 Yr+3.210% | 42,779 | 1,204,657 | ||||||
Wells Fargo, 7.500% * (A) | 15,154 | 20,920,097 | ||||||
Wells Fargo, 6.625%, VAR ICE LIBOR USD 3 Month+3.690% | 128,349 | 3,538,582 | ||||||
Wells Fargo, 6.000% | 152,957 | 3,882,049 | ||||||
Wells Fargo, 6.000% | 19,215 | 497,861 | ||||||
Wells Fargo, 5.850%, VAR ICE LIBOR USD 3 Month+3.090% | 265,050 | 6,915,155 | ||||||
Wells Fargo, 5.700% | 152,942 | 3,916,845 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X U.S. Preferred ETF |
Shares | Value | |||||||
PREFERRED STOCK — continued | ||||||||
Financials — continued | ||||||||
Wells Fargo, 5.625% (A) | 105,212 | $ | 2,823,890 | |||||
Wells Fargo, 5.500% | 171,394 | 4,483,667 | ||||||
Wells Fargo, 5.250% | 95,134 | 2,427,820 | ||||||
Wells Fargo, 5.200% (A) | 114,397 | 2,922,843 | ||||||
Wells Fargo, 5.125% | 98,964 | 2,518,634 | ||||||
Wells Fargo, 4.750% | 308,947 | 7,658,796 | ||||||
Wintrust Financial, 6.500%, VAR ICE LIBOR USD 3 Month+4.060% | 16,266 | 423,567 | ||||||
WR Berkley, 5.900% | 16,753 | 436,248 | ||||||
WR Berkley, 5.750% | 45,901 | 1,179,197 | ||||||
WR Berkley, 5.700% | 25,383 | 677,726 | ||||||
WR Berkley, 5.625% | 52,781 | 1,344,860 | ||||||
WR Berkley, 5.100% | 45,054 | 1,176,810 | ||||||
396,058,057 | ||||||||
Health Care — 2.6% | ||||||||
Avantor, 6.250% * | 79,649 | 5,845,440 | ||||||
Change Healthcare, 6.000% * | 23,078 | 1,204,210 | ||||||
Danaher, 4.750% * | 6,324 | 9,054,766 | ||||||
Elanco Animal Health, 5.000% * | 41,750 | 1,933,443 | ||||||
18,037,859 | ||||||||
Industrials — 1.7% | ||||||||
Air Lease, 6.150%, VAR ICE LIBOR USD 3 Month+3.650% | 34,757 | 814,704 | ||||||
Colfax, 5.750% * | 17,560 | 2,498,085 | ||||||
Fortive, 5.000% * | 5,364 | 4,906,719 | ||||||
Pitney Bowes, 6.700% | 67,530 | 1,245,928 | ||||||
Stanley Black & Decker, 5.250% * | 25,681 | 2,576,575 | ||||||
12,042,011 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X U.S. Preferred ETF |
Shares | Value | |||||||
PREFERRED STOCK — continued | ||||||||
Information Technology — 2.7% | ||||||||
Broadcom, 8.000% * | 15,283 | $ | 18,801,147 | |||||
Materials — 0.4% | ||||||||
International Flavors & Fragrances, 6.000% * | 63,425 | 2,879,495 | ||||||
Real Estate — 6.9% | ||||||||
American Homes 4 Rent, 6.500% ‡ (A) | 38,041 | 987,164 | ||||||
American Homes 4 Rent, 6.350% ‡ | 34,335 | 897,860 | ||||||
American Homes 4 Rent, 5.875% ‡ | 20,812 | 556,721 | ||||||
American Homes 4 Rent, 5.875% ‡ | 14,719 | 391,378 | ||||||
Brookfield Property Partners, 6.500% | 30,194 | 671,816 | ||||||
Brookfield Property Partners, 6.375% | 37,152 | 821,059 | ||||||
Brookfield Property Partners, 5.750% | 39,452 | 781,939 | ||||||
Digital Realty Trust, 6.625% ‡ | 27,920 | 734,854 | ||||||
Digital Realty Trust, 6.350% ‡ | 39,936 | 1,010,780 | ||||||
Digital Realty Trust, 5.875% ‡ (A) | 39,362 | 1,013,571 | ||||||
Digital Realty Trust, 5.850% ‡ | 29,265 | 808,007 | ||||||
Digital Realty Trust, 5.250% ‡ | 27,677 | 742,574 | ||||||
Digital Realty Trust, 5.200% ‡ | 51,964 | 1,429,010 | ||||||
Diversified Healthcare Trust, 6.250% ‡ | 39,383 | 764,424 | ||||||
Diversified Healthcare Trust, 5.625% ‡ | 55,519 | 1,067,630 | ||||||
EPR Properties, 5.750% ‡ | 24,501 | 454,004 | ||||||
EPR Properties, 5.750% ‡ * | 16,789 | 332,758 | ||||||
iStar, 7.500% ‡ | 16,169 | 388,056 | ||||||
Kimco Realty, 5.250% ‡ | 42,196 | 1,118,194 | ||||||
Kimco Realty, 5.125% ‡ | 35,307 | 930,693 | ||||||
National Retail Properties, 5.200% ‡ (A) | 49,463 | 1,276,640 | ||||||
Office Properties Income Trust, 5.875% ‡ | 44,110 | 1,118,188 | ||||||
PS Business Parks, 5.250% ‡ | 36,186 | 959,291 | ||||||
PS Business Parks, 5.200% ‡ | 27,630 | 736,340 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X U.S. Preferred ETF |
Shares | Value | |||||||
PREFERRED STOCK — continued | ||||||||
Real Estate — continued | ||||||||
PS Business Parks, 5.200% ‡ | 26,078 | $ | 676,724 | |||||
PS Business Parks, 4.875% ‡ | 48,882 | 1,308,082 | ||||||
Public Storage, 5.600% ‡ (A) | 40,676 | 1,155,198 | ||||||
Public Storage, 5.400% ‡ | 47,974 | 1,241,567 | ||||||
Public Storage, 5.200% ‡ | 75,881 | 1,919,789 | ||||||
Public Storage, 5.150% ‡ | 44,276 | 1,174,642 | ||||||
Public Storage, 5.125% ‡ | 29,700 | 766,260 | ||||||
Public Storage, 5.050% ‡ | 42,863 | 1,129,440 | ||||||
Public Storage, 4.950% ‡ | 46,588 | 1,197,312 | ||||||
Public Storage, 4.900% ‡ (A) | 52,790 | 1,361,982 | ||||||
Public Storage, 4.875% ‡ | 47,534 | 1,298,154 | ||||||
Public Storage, 4.750% ‡ | 34,335 | 947,646 | ||||||
Public Storage, 4.700% ‡ (A) | 38,765 | 1,067,976 | ||||||
QTS Realty Trust, 6.500% ‡ * | 12,009 | 1,828,370 | ||||||
RLJ Lodging Trust, 1.950% ‡ * (A) | 45,734 | 1,106,305 | ||||||
SITE Centers, 6.375% ‡ | 25,519 | 635,423 | ||||||
SITE Centers, 6.250% ‡ (A) | 21,589 | 540,589 | ||||||
SL Green Realty, 6.500% ‡ (A) | 32,185 | 843,247 | ||||||
Spirit Realty Capital, 6.000% ‡ | 29,778 | 772,144 | ||||||
VEREIT, Ser F, 6.700% ‡ | 116,729 | 2,935,734 | ||||||
Vornado Realty Trust, 5.700% ‡ | 47,812 | 1,210,600 | ||||||
Vornado Realty Trust, 5.400% ‡ | 47,615 | 1,202,279 | ||||||
Vornado Realty Trust, 5.250% ‡ (A) | 51,125 | 1,297,553 | ||||||
47,609,967 | ||||||||
Utilities — 14.8% | ||||||||
American Electric Power, 6.125% * | 61,411 | 2,957,554 | ||||||
CenterPoint Energy, 7.000% * | 74,450 | 2,795,597 | ||||||
CMS Energy, 5.875% | 95,982 | 2,646,224 | ||||||
CMS Energy, 5.625% | 29,739 | 802,953 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X U.S. Preferred ETF |
Shares | Value | |||||||
PREFERRED STOCK — continued | ||||||||
Utilities — continued | ||||||||
Dominion Energy, 7.250% * (A) | 61,901 | $ | 6,217,336 | |||||
Dominion Energy, 5.250% | 122,133 | 3,157,138 | ||||||
DTE Energy, 6.250% * | 87,905 | 4,061,211 | ||||||
DTE Energy, 5.375% | 45,107 | 1,155,190 | ||||||
DTE Energy, 5.250% | 60,499 | 1,607,458 | ||||||
DTE Energy, 5.250% | 33,004 | 840,942 | ||||||
Duke Energy, 5.750% | 153,023 | 4,316,779 | ||||||
Duke Energy, 5.625% | 75,963 | 2,140,637 | ||||||
Duke Energy, 5.125% | 75,892 | 1,966,362 | ||||||
Entergy Arkansas, 4.875% | 62,860 | 1,672,076 | ||||||
Entergy New Orleans, 5.500% (A) | 16,411 | 451,303 | ||||||
Essential Utilities, 6.000% * | 36,822 | 2,069,765 | ||||||
Georgia Power, 5.000% (A) | 42,566 | 1,176,524 | ||||||
Interstate Power and Light, 5.100% (A) | 29,701 | 760,346 | ||||||
National Rural Utilities Cooperative Finance, 5.500% | 40,161 | 1,094,387 | ||||||
NextEra Energy, 5.279% * | 191,647 | 9,124,314 | ||||||
NextEra Energy, 4.872% * | 115,323 | 6,319,700 | ||||||
NextEra Energy Capital Holdings, 5.650% | 104,814 | 2,913,829 | ||||||
NextEra Energy Capital Holdings, 5.250% | 86,662 | 2,248,012 | ||||||
NextEra Energy Capital Holdings, 5.125% | 75,891 | 1,941,292 | ||||||
NextEra Energy Capital Holdings, 5.000% | 68,195 | 1,739,654 | ||||||
NiSource, 6.500%, VAR US Treas Yield Curve Rate T Note Const Mat 5 Yr+3.632% | 75,964 | 2,070,779 | ||||||
PPL Capital Funding, Ser B, 5.900% | 68,199 | 1,765,672 | ||||||
SCE Trust II, 5.100% (A) | 60,417 | 1,491,092 | ||||||
SCE Trust V, 5.450%, VAR ICE LIBOR USD 3 Month+3.790% | 47,428 | 1,100,804 | ||||||
SCE Trust VI, 5.000% | 71,907 | 1,725,049 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X U.S. Preferred ETF |
Shares | Value | |||||||
PREFERRED STOCK — continued | ||||||||
Utilities — continued | ||||||||
Sempra Energy, 6.750% * | 21,885 | $ | 2,230,082 | |||||
Sempra Energy, 5.750% | 115,606 | 3,138,703 | ||||||
South Jersey Industries, 5.625% (A) | 31,135 | 797,368 | ||||||
Southern, 6.750% * | 132,685 | 5,970,825 | ||||||
Southern, 6.250% | 152,958 | 3,912,666 | ||||||
Southern, 5.250% (A) | 68,794 | 1,852,622 | ||||||
Southern, 5.250% | 122,134 | 3,171,820 | ||||||
Southern, 4.950% | 152,900 | 4,100,778 | ||||||
Spire, 5.900% | 40,199 | 1,113,110 | ||||||
Tennessee Valley Authority, 2.216%, VAR US Treas Yield Curve Rate T Note Const Mat 30 Yr+0.840% | 33,050 | 854,342 | ||||||
Tennessee Valley Authority, 2.134%, VAR US Treas Yield Curve Rate T Note Const Mat 30 Yr+0.940% | 41,085 | 1,062,869 | ||||||
102,535,164 | ||||||||
TOTAL UNITED STATES | 659,112,182 | |||||||
TOTAL PREFERRED STOCK | ||||||||
(Cost $677,737,791) | 686,270,058 | |||||||
SHORT-TERM INVESTMENT(B)(C) — 1.7% | ||||||||
Fidelity Investments Money Market Government Portfolio, Cl Institutional, 0.010% | ||||||||
(Cost $12,200,378) | 12,200,378 | 12,200,378 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X U.S. Preferred ETF |
Face Amount | Value | |||||||
REPURCHASE AGREEMENT(B) — 0.2% | ||||||||
BNP Paribas | ||||||||
0.050%, dated 08/31/20, to be repurchased on 09/01/20, repurchased price $1,366,739 (collateralized by U.S. Treasury Obligations, with a par value of $1,394,956, 1.500%, 08/15/2026, with a total market value of $1,394,956) | ||||||||
(Cost $1,366,737) | $ | 1,366,737 | $ | 1,366,737 | ||||
TOTAL INVESTMENTS — 101.3% | ||||||||
(Cost $691,304,906) | $ | 699,837,173 |
Percentages are based on Net Assets of $690,565,546.
* | Non-income producing security. |
‡ | Real Estate Investment Trust |
(A) | This security or a partial position of this security is on loan at August 31, 2020. The total value of securities on loan at August 31, 2020 was $13,214,096. |
(B) | Security was purchased with cash collateral held from securities on loan. The total value of such securities as of August 31,2020, was $ $13,567,115. |
(C) | The rate reported on the Schedule of Investments is the 7-day effective yield as of August 31,2020. |
Cl — Class |
ICE — Intercontinental Exchange |
LIBOR — London Interbank Offered Rate |
USD — U.S. Dollar |
VAR – Variable Rate |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X U.S. Preferred ETF |
The following is a summary of the level of inputs used as of August 31, 2020, in valuing the Fund's investments carried at value: | ||||||||||||||||
Investments in Securities | Level 1 | Level 2 | Level 3 | Total | ||||||||||||
Preferred Stock | $ | 686,270,058 | $ | — | $ | — | $ | 686,270,058 | ||||||||
Short-Term Investment | 12,200,378 | — | — | 12,200,378 | ||||||||||||
Repurchase Agreement | — | 1,366,737 | — | 1,366,737 | ||||||||||||
Total Investments in Securities | $ | 698,470,436 | $ | 1,366,737 | $ | — | $ | 699,837,173 |
For the period ended August 31, 2020, there have been no transfers in or out of Level 3.
For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent annual or semi-annual financial statements.
Amounts designated as “—“ are $0 or have been rounded to $0.
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Variable Rate Preferred ETF |
Shares | Value | |||||||
PREFERRED STOCK — 99.4% | ||||||||
BERMUDA— 1.0% | ||||||||
Energy — 0.4% | ||||||||
Teekay LNG Partners, 8.500%, VAR ICE LIBOR USD 3 Month+6.241% | 426 | $ | 10,139 | |||||
Financials — 0.6% | ||||||||
Aspen Insurance Holdings, 5.950%, VAR ICE LIBOR USD 3 Month+4.060% | 663 | 16,442 | ||||||
TOTAL BERMUDA | 26,581 | |||||||
CANADA— 3.3% | ||||||||
Energy — 1.4% | ||||||||
Enbridge, 6.375%, VAR ICE LIBOR USD 3 Month+3.593% | 1,453 | 37,516 | ||||||
Industrials — 0.3% | ||||||||
Atlas, 8.000%, VAR ICE LIBOR USD 3 Month+5.008% | 376 | 8,645 | ||||||
Utilities — 1.6% | ||||||||
Algonquin Power & Utilities, 6.875%, VAR ICE LIBOR USD 3 Month+3.677% | 694 | 19,203 | ||||||
Algonquin Power & Utilities, 6.200%, VAR ICE LIBOR USD 3 Month+4.010% | 846 | 23,214 | ||||||
42,417 | ||||||||
TOTAL CANADA | 88,578 | |||||||
NETHERLANDS— 0.6% | ||||||||
Financials — 0.6% | ||||||||
Aegon, 4.000%, VAR ICE LIBOR USD 3 Month+0.875% | 628 | 15,600 | ||||||
TOTAL NETHERLANDS | 15,600 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Variable Rate Preferred ETF |
Shares | Value | |||||||
PREFERRED STOCK — continued | ||||||||
UNITED STATES— 94.5% | ||||||||
Consumer Staples — 2.2% | ||||||||
CHS, Ser 2, 7.100%, VAR ICE LIBOR USD 3 Month+4.298% | 1,015 | $ | 27,233 | |||||
CHS, Ser 3, 6.750%, VAR ICE LIBOR USD 3 Month+4.155% | 1,192 | 31,409 | ||||||
58,642 | ||||||||
Energy — 6.1% | ||||||||
DCP Midstream, 7.875%, VAR ICE LIBOR USD 3 Month+4.919% | 404 | 7,494 | ||||||
Energy Transfer Operating, 7.625%, VAR ICE LIBOR USD 3 Month+4.738% | 1,075 | 21,736 | ||||||
Energy Transfer Operating, 7.600%, VAR ICE LIBOR USD 3 Month+5.161% | 1,938 | 41,376 | ||||||
Energy Transfer Operating, 7.375%, VAR ICE LIBOR USD 3 Month+4.530% | 1,087 | 22,012 | ||||||
NGL Energy Partners, 9.000%, VAR ICE LIBOR USD 3 Month+7.213% | 790 | 11,020 | ||||||
NuStar Energy, 9.000%, VAR ICE LIBOR USD 3 Month+6.880% | 434 | 8,741 | ||||||
NuStar Energy, 8.500%, VAR ICE LIBOR USD 3 Month+6.766% | 568 | 10,730 | ||||||
NuStar Energy, 7.625%, VAR ICE LIBOR USD 3 Month+5.643% | 928 | 15,832 | ||||||
NuStar Logistics, 7.009%, VAR ICE LIBOR USD 3 Month+6.734% | 972 | 19,975 | ||||||
158,916 | ||||||||
Financials — 82.7% | ||||||||
AGNC Investment, 7.000%, VAR ICE LIBOR USD 3 Month+5.111% ‡ | 784 | 19,192 | ||||||
AGNC Investment, 6.875%, VAR ICE LIBOR USD 3 Month+4.332% ‡ | 590 | 14,001 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Variable Rate Preferred ETF |
Shares | Value | |||||||
PREFERRED STOCK — continued | ||||||||
Financials — continued | ||||||||
AGNC Investment, 6.125%, VAR ICE LIBOR USD 3 Month+4.697% ‡ | 1,391 | $ | 31,339 | |||||
AGNC Investment, 6.500%, VAR ICE LIBOR USD 3 Month+4.993% ‡ | 972 | 22,648 | ||||||
Allstate, 5.100%, VAR ICE LIBOR USD 3 Month+3.165% | 1,210 | 32,549 | ||||||
American Equity Investment Life Holding, 5.950%, VAR US Treas Yield Curve Rate T Note Const Mat 5 Yr+4.322% | 966 | 23,097 | ||||||
Annaly Capital Management, 6.950%, VAR ICE LIBOR USD 3 Month+4.993% ‡ | 1,744 | 40,234 | ||||||
Annaly Capital Management, 6.750%, VAR ICE LIBOR USD 3 Month+4.989% ‡ | 1,069 | 25,100 | ||||||
Annaly Capital Management, 6.500%, VAR ICE LIBOR USD 3 Month+4.172% ‡ | 1,026 | 22,223 | ||||||
Athene Holding, 6.350%, VAR ICE LIBOR USD 3 Month+4.253% | 2,091 | 55,767 | ||||||
Bank of America, 6.450%, VAR ICE LIBOR USD 3 Month+1.327% | 2,372 | 63,309 | ||||||
Bank of America, 4.000%, VAR ICE LIBOR USD 3 Month+0.500% | 948 | 23,074 | ||||||
Bank of America, 4.000%, VAR ICE LIBOR USD 3 Month+0.750% | 470 | 11,637 | ||||||
Bank of America, 4.000%, VAR ICE LIBOR USD 3 Month+0.350% | 713 | 17,682 | ||||||
Chimera Investment, 8.000%, VAR ICE LIBOR USD 3 Month+5.791% ‡ | 783 | 16,960 | ||||||
Chimera Investment, 8.000%, VAR ICE LIBOR USD 3 Month+5.379% ‡ | 502 | 10,743 | ||||||
Chimera Investment, 7.750%, VAR ICE LIBOR USD 3 Month+4.743% ‡ | 652 | 13,431 | ||||||
Citigroup, Ser J, 7.125%, VAR ICE LIBOR USD 3 Month+4.040% | 2,281 | 65,191 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Variable Rate Preferred ETF |
Shares | Value | |||||||
PREFERRED STOCK — continued | ||||||||
Financials — continued | ||||||||
Citigroup, 6.875%, VAR ICE LIBOR USD 3 Month+4.130% | 3,592 | $ | 101,582 | |||||
Citizens Financial Group, 6.350%, VAR ICE LIBOR USD 3 Month+3.642% | 724 | 19,505 | ||||||
Compass Diversified Holdings, 7.875%, VAR ICE LIBOR USD 3 Month+4.985% | 252 | 5,904 | ||||||
Enstar Group, 7.000%, VAR ICE LIBOR USD 3 Month+4.015% | 967 | 25,809 | ||||||
Exantas Capital, 8.625%, VAR ICE LIBOR USD 3 Month+5.927% ‡ | 282 | 4,250 | ||||||
Fifth Third Bancorp, 6.625%, VAR ICE LIBOR USD 3 Month+3.710% | 1,089 | 30,655 | ||||||
Goldman Sachs Group, 6.375%, VAR ICE LIBOR USD 3 Month+3.550% | 1,679 | 46,811 | ||||||
Goldman Sachs Group, 5.500%, VAR ICE LIBOR USD 3 Month+3.640% | 2,401 | 65,019 | ||||||
Goldman Sachs Group, 4.000%, VAR ICE LIBOR USD 3 Month+0.670% | 3,242 | 75,409 | ||||||
Goldman Sachs Group, 4.000%, VAR ICE LIBOR USD 3 Month+0.750% | 498 | 11,877 | ||||||
Goldman Sachs Group, 3.750%, VAR ICE LIBOR USD 3 Month+0.750% | 1,798 | 40,131 | ||||||
Hartford Financial Services Group, 7.875%, VAR ICE LIBOR USD 3 Month+5.596% | 1,453 | 40,916 | ||||||
Invesco Mortgage Capital, 7.750%, VAR ICE LIBOR USD 3 Month+5.180% ‡ | 370 | 7,641 | ||||||
Invesco Mortgage Capital, 7.500%, VAR ICE LIBOR USD 3 Month+5.289% ‡ | 692 | 14,511 | ||||||
KeyCorp, 6.125%, VAR ICE LIBOR USD 3 Month+3.892% | 1,210 | 35,985 | ||||||
Merchants Bancorp, 6.000%, VAR ICE LIBOR USD 3 Month+4.569% | 314 | 7,834 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Variable Rate Preferred ETF |
Shares | Value | |||||||
PREFERRED STOCK — continued | ||||||||
Financials — continued | ||||||||
MetLife, 4.000%, VAR ICE LIBOR USD 3 Month+1.000% | 1,453 | $ | 36,049 | |||||
MFA Financial, 6.500%, VAR ICE LIBOR USD 3 Month+5.345% ‡ | 661 | 12,698 | ||||||
Morgan Stanley, Ser E, 7.125%, VAR ICE LIBOR USD 3 Month+4.320% | 1,734 | 50,009 | ||||||
Morgan Stanley, Ser F, 6.875%, VAR ICE LIBOR USD 3 Month+3.940% | 1,708 | 48,183 | ||||||
Morgan Stanley, 6.375%, VAR ICE LIBOR USD 3 Month+3.708% | 2,010 | 56,702 | ||||||
Morgan Stanley, 5.850%, VAR ICE LIBOR USD 3 Month+3.491% | 2,010 | 56,762 | ||||||
Morgan Stanley, 4.000%, VAR ICE LIBOR USD 3 Month+0.700% | 2,210 | 51,559 | ||||||
Mortgage Investment Trust, 8.000%, VAR ICE LIBOR USD 3 Month+6.476% ‡ | 270 | 3,929 | ||||||
New Residential Investment, 7.500%, VAR ICE LIBOR USD 3 Month+5.802% ‡ | 390 | 9,071 | ||||||
New Residential Investment, 7.125%, VAR ICE LIBOR USD 3 Month+5.640% ‡ | 680 | 14,851 | ||||||
New Residential Investment, 6.375%, VAR ICE LIBOR USD 3 Month+4.969% ‡ | 971 | 19,216 | ||||||
New York Community Bancorp, 6.375%, VAR ICE LIBOR USD 3 Month+3.821% | 1,246 | 33,742 | ||||||
New York Mortgage Trust, 8.000%, VAR ICE LIBOR USD 3 Month+5.695% ‡ | 384 | 8,102 | ||||||
New York Mortgage Trust, 7.875%, VAR ICE LIBOR USD 3 Month+6.429% ‡ | 466 | 9,665 | ||||||
PennyMac Mortgage Investment Trust, 8.125%, VAR ICE LIBOR USD 3 Month+5.831% ‡ | 273 | 6,811 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Variable Rate Preferred ETF |
Shares | Value | |||||||
PREFERRED STOCK — continued | ||||||||
Financials — continued | ||||||||
PennyMac Mortgage Investment Trust, 8.000%, VAR ICE LIBOR USD 3 Month+5.990% ‡ | 468 | $ | 11,574 | |||||
People's United Financial, 5.625%, VAR ICE LIBOR USD 3 Month+4.020% | 602 | 16,013 | ||||||
PNC Financial Services Group, 6.125%, VAR ICE LIBOR USD 3 Month+4.067% | 3,641 | 96,632 | ||||||
Regions Financial, Ser B, 6.375%, VAR ICE LIBOR USD 3 Month+3.536% | 1,210 | 33,335 | ||||||
Regions Financial, 5.700%, VAR ICE LIBOR USD 3 Month+3.148% | 1,210 | 32,852 | ||||||
Reinsurance Group of America, 6.200%, VAR ICE LIBOR USD 3 Month+4.370% | 967 | 26,022 | ||||||
Reinsurance Group of America, 5.750%, VAR ICE LIBOR USD 3 Month+4.040% | 967 | 26,438 | ||||||
State Street, 5.900%, VAR ICE LIBOR USD 3 Month+3.108% | 1,818 | 50,068 | ||||||
State Street, 5.350%, VAR ICE LIBOR USD 3 Month+3.709% | 1,210 | 33,614 | ||||||
Synovus Financial, 6.300%, VAR ICE LIBOR USD 3 Month+3.352% | 502 | 13,067 | ||||||
Synovus Financial, 5.875%, VAR US Treas Yield Curve Rate T Note Const Mat 5 Yr+4.127% | 845 | 21,100 | ||||||
Truist Financial, 4.000%, VAR ICE LIBOR USD 3 Month+0.530% | 434 | 10,937 | ||||||
Two Harbors Investment, 8.125%, VAR ICE LIBOR USD 3 Month+5.660% ‡ | 360 | 8,251 | ||||||
Two Harbors Investment, 7.625%, VAR ICE LIBOR USD 3 Month+5.352% ‡ | 693 | 15,281 | ||||||
Two Harbors Investment, 7.250%, VAR ICE LIBOR USD 3 Month+5.011% ‡ | 711 | 14,945 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Variable Rate Preferred ETF |
Shares | Value | |||||||
PREFERRED STOCK — continued | ||||||||
Financials — continued | ||||||||
US Bancorp, 6.500%, VAR ICE LIBOR USD 3 Month+4.468% | 2,468 | $ | 66,463 | |||||
US Bancorp, 3.500%, VAR ICE LIBOR USD 3 Month+0.600% | 2,244 | 49,548 | ||||||
Voya Financial, 5.350%, VAR US Treas Yield Curve Rate T Note Const Mat 5 Yr+3.210% | 724 | 20,388 | ||||||
Wells Fargo, 6.625%, VAR ICE LIBOR USD 3 Month+3.690% | 2,016 | 55,581 | ||||||
Wells Fargo, 5.850%, VAR ICE LIBOR USD 3 Month+3.090% | 4,145 | 108,143 | ||||||
Wintrust Financial, 6.500%, VAR ICE LIBOR USD 3 Month+4.060% | 299 | 7,786 | ||||||
2,177,403 | ||||||||
Industrials — 1.0% | ||||||||
Air Lease, 6.150%, VAR ICE LIBOR USD 3 Month+3.650% | 628 | 14,720 | ||||||
Altera Infrastructure, 8.875%, VAR ICE LIBOR USD 3 Month+6.407% | 302 | 5,104 | ||||||
Fortress Transportation and Infrastructure Investors, 8.000%, VAR ICE LIBOR USD 3 Month+6.447% | 288 | 5,403 | ||||||
25,227 | ||||||||
Utilities — 2.5% | ||||||||
NiSource, 6.500%, VAR US Treas Yield Curve Rate T Note Const Mat 5 Yr+3.632% | 1,210 | 32,984 | ||||||
Tennessee Valley Authority, 2.216%, VAR US Treas Yield Curve Rate T Note Const Mat 30 Yr+0.840% | 567 | 14,657 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Variable Rate Preferred ETF |
Shares | Value | |||||||
PREFERRED STOCK — continued | ||||||||
Utilities — continued | ||||||||
Tennessee Valley Authority, 2.134%, VAR US Treas Yield Curve Rate T Note Const Mat 30 Yr+0.940% | 657 | $ | 16,997 | |||||
64,638 | ||||||||
TOTAL UNITED STATES | 2,484,826 | |||||||
TOTAL PREFERRED STOCK | ||||||||
(Cost $2,482,936) | 2,615,585 | |||||||
TOTAL INVESTMENTS — 99.4% | ||||||||
(Cost $2,482,936) | $ | 2,615,585 |
Percentages are based on Net Assets of $2,631,793.
‡ | Real Estate Investment Trust |
ICE — Intercontinental Exchange |
LIBOR — London Interbank Offered Rate |
Ser — Series |
USD — U.S. Dollar |
VAR – Variable Rate |
As of August 31, 2020, all of the Fund's investments were considered Level 1, in accordance with authoritative guidance on fair value measurements and disclosure under U.S. GAAP. |
For the period ended August 31, 2020, there have been no transfers in or out of Level 3.
For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent annual or semi-annual financial statements.
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X MLP ETF |
Shares | Value | |||||||
MASTER LIMITED PARTNERSHIPS — 97.6% | ||||||||
Energy — 97.6% | ||||||||
BP Midstream Partners | 1,955,324 | $ | 23,053,270 | |||||
Cheniere Energy Partners | 850,687 | 30,786,363 | ||||||
Crestwood Equity Partners | 2,106,349 | 28,604,219 | ||||||
DCP Midstream | 2,359,804 | 29,898,717 | ||||||
Enable Midstream Partners | 3,707,828 | 20,837,993 | ||||||
Energy Transfer | 10,337,031 | 66,363,739 | ||||||
Enterprise Products Partners | 3,985,896 | 69,992,334 | ||||||
Genesis Energy | 4,459,567 | 23,858,684 | ||||||
Holly Energy Partners | 1,905,835 | 27,234,382 | ||||||
Magellan Midstream Partners | 1,457,571 | 55,402,274 | ||||||
MPLX | 2,685,541 | 49,064,834 | ||||||
NGL Energy Partners | 5,096,620 | 22,323,196 | ||||||
NuStar Energy | 2,213,797 | 29,996,949 | ||||||
PBF Logistics | 48,925 | 472,126 | ||||||
Phillips 66 Partners | 1,221,935 | 32,894,490 | ||||||
Plains All American Pipeline | 6,090,052 | 43,117,568 | ||||||
Shell Midstream Partners | 2,873,990 | 29,860,756 | ||||||
TC PipeLines | 1,155,768 | 35,100,674 | ||||||
Western Midstream Partners | 3,620,457 | 32,837,545 | ||||||
TOTAL MASTER LIMITED PARTNERSHIPS | ||||||||
(Cost $821,054,070) | 651,700,113 | |||||||
COMMON STOCK — 2.2% | ||||||||
Energy — 2.2% | ||||||||
EnLink Midstream | ||||||||
(Cost $14,415,199) | 4,831,207 | 14,445,309 | ||||||
TOTAL INVESTMENTS — 99.8% | ||||||||
(Cost $835,469,269) | $ | 666,145,422 |
Percentages are based on Net Assets of $667,481,970.
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X MLP ETF |
As of August 31, 2020, all of the Fund's investments were considered Level 1, in accordance with authoritative guidance on fair value measurements and disclosure under U.S. GAAP. |
For the period ended August 31, 2020, there have been no transfers in or out of Level 3.
For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent annual financial statements.
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X MLP & Energy Infrastructure ETF |
Shares | Value | |||||||
COMMON STOCK — 76.0% | ||||||||
CANADA— 25.3% | ||||||||
Energy — 25.3% | ||||||||
Enbridge | 1,448,980 | $ | 46,396,340 | |||||
Pembina Pipeline (A) | 1,380,014 | 34,141,547 | ||||||
TC Energy | 966,852 | 45,113,314 | ||||||
TOTAL CANADA | 125,651,201 | |||||||
UNITED STATES— 50.7% | ||||||||
Energy — 50.7% | ||||||||
Antero Midstream | 3,193,779 | 21,621,884 | ||||||
Archrock | 2,354,002 | 15,442,253 | ||||||
Cheniere Energy * | 441,498 | 22,979,971 | ||||||
EnLink Midstream | 4,061,066 | 12,142,587 | ||||||
Equitrans Midstream | 2,046,832 | 21,041,433 | ||||||
Kinder Morgan | 3,302,335 | 45,638,270 | ||||||
ONEOK | 1,188,093 | 32,648,796 | ||||||
Plains GP Holdings, Cl A | 2,726,189 | 19,928,441 | ||||||
Targa Resources | 1,215,590 | 20,677,186 | ||||||
Williams | 1,897,166 | 39,385,166 | ||||||
TOTAL UNITED STATES | 251,505,987 | |||||||
TOTAL COMMON STOCK | ||||||||
(Cost $503,847,667) | 377,157,188 | |||||||
MASTER LIMITED PARTNERSHIPS — 23.8% | ||||||||
Energy — 23.8% | ||||||||
Cheniere Energy Partners | 97,190 | 3,517,306 | ||||||
DCP Midstream | 226,249 | 2,866,575 | ||||||
Enable Midstream Partners | 221,245 | 1,243,397 | ||||||
Energy Transfer | 3,615,865 | 23,213,853 | ||||||
Enterprise Products Partners | 1,261,329 | 22,148,937 | ||||||
Holly Energy Partners | 114,231 | 1,632,361 | ||||||
Magellan Midstream Partners | 569,879 | 21,661,101 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X MLP & Energy Infrastructure ETF |
Shares/Face Amount | Value | |||||||
MASTER LIMITED PARTNERSHIPS — continued | ||||||||
Energy — continued | ||||||||
MPLX | 904,517 | $ | 16,525,525 | |||||
Phillips 66 Partners | 147,388 | 3,967,685 | ||||||
Plains All American Pipeline | 1,210,234 | 8,568,457 | ||||||
Shell Midstream Partners | 312,302 | 3,244,818 | ||||||
TC PipeLines | 151,916 | 4,613,689 | ||||||
Western Midstream Partners | 508,218 | 4,609,537 | ||||||
TOTAL MASTER LIMITED PARTNERSHIPS | ||||||||
(Cost $149,929,068) | 117,813,241 | |||||||
SHORT-TERM INVESTMENT(B)(C) — 0.5% | ||||||||
Fidelity Investments Money Market Government Portfolio, Cl Institutional, 0.010% | ||||||||
(Cost $2,562,534) | 2,562,534 | 2,562,534 | ||||||
REPURCHASE AGREEMENT(B) — 0.1% | ||||||||
BNP Paribas | ||||||||
0.050%, dated 08/31/20, to be repurchased on 09/01/20, repurchased price $287,066 (collateralized by U.S. Treasury Obligations, with a par value of $292,993, 1.500%, 08/15/2026, with a total market value of $292,993) | ||||||||
(Cost $287,066) | $ | 287,066 | 287,066 | |||||
TOTAL INVESTMENTS — 100.4% | ||||||||
(Cost $656,626,335) | $ | 497,820,029 |
Percentages are based on Net Assets of $495,885,917.
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X MLP & Energy Infrastructure ETF |
* | Non-income producing security. |
(A) | This security or a partial position of this security is on loan at August 31, 2020. The total value of securities on loan at August 31, 2020 was $2,711,504. |
(B) | Security was purchased with cash collateral held from securities on loan. The total value of such securities as of August 31, 2020, was $2,849,600. |
(C) | The rate reported on the Schedule of Investments is the 7-day effective yield as of August 31, 2020. |
Cl — Class |
The following is a summary of the level of inputs used as of August 31, 2020, in valuing the Fund's investments carried at value: | ||||||||||||||||
Investments in Securities | Level 1 | Level 2 | Level 3 | Total | ||||||||||||
Common Stock | $ | 377,157,188 | $ | — | $ | — | $ | 377,157,188 | ||||||||
Master Limited Partnerships | 117,813,241 | — | — | 117,813,241 | ||||||||||||
Short-Term Investment | 2,562,534 | — | — | 2,562,534 | ||||||||||||
Repurchase Agreement | — | 287,066 | — | 287,066 | ||||||||||||
Total Investments in Securities | $ | 497,532,963 | $ | 287,066 | $ | — | $ | 497,820,029 | ||||||||
For the period ended August 31, 2020, there have been no transfers in or out of Level 3.
For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent annual financial statements.
Amounts designated as “—“ are $0 or have been rounded to $0.
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X TargetIncome™ 5 ETF |
Shares | Value | |||||||
EXCHANGE TRADED FUNDS — 100.0% | ||||||||
Global X SuperDividend® ETF (A) | 78,285 | $ | 882,272 | |||||
iShares 20+ Year Treasury Bond ETF | 6,701 | 1,086,835 | ||||||
Schwab US TIPS ETF | 4,604 | 285,126 | ||||||
SPDR Blackstone/GSO Senior Loan ETF | 25,423 | 1,139,459 | ||||||
VanEck Vectors J.P. Morgan EM Local Currency Bond ETF | 35,559 | 1,120,108 | ||||||
Xtrackers USD High Yield Corporate Bond ETF | 23,285 | 1,135,377 | ||||||
TOTAL EXCHANGE TRADED FUNDS | ||||||||
(Cost $5,809,807) | 5,649,177 | |||||||
TOTAL INVESTMENTS — 100.0% | ||||||||
(Cost $5,809,807) | $ | 5,649,177 |
Percentages are based on Net Assets of $5,650,158.
(A) | Affiliated investment. |
ETF — Exchange Traded Fund |
EM — Emerging Markets |
SPDR — Standard & Poor’s Depository Receipts |
TIPS — Treasury Inflation Protected Security |
USD — U.S. Dollar |
As of August 31, 2020, all of the Fund's investments were considered Level 1, in accordance with authoritative guidance on fair value measurements and disclosure under U.S. GAAP. |
For the period ended August 31, 2020, there have been no transfers in or out of Level 3.
For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent annual financial statements.
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X TargetIncome™ 5 ETF |
The following is a summary of the transactions with affiliates for the period ended August 31, 2020:
Value at | Purchases at | Proceeds | Changes in Unrealized |
Value at | Dividend | ||||||||||||||||||||||||
11/30/2019 | Cost | from Sales | Depreciation | Realized Loss | 8/31/2020 | Shares | Income | ||||||||||||||||||||||
Global X SuperDividend® ETF | |||||||||||||||||||||||||||||
$ | 191,394 | $ | 1,556,653 | $ | (595,487 | ) | $ | (133,740 | ) | $ | (136,548 | ) | $ | 882,272 | 78,285 | $ | 30,384 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X TargetIncome™ Plus 2 ETF |
Shares | Value | |||||||
EXCHANGE TRADED FUNDS — 99.8% | ||||||||
iShares 20+ Year Treasury Bond ETF | 3,225 | $ | 523,063 | |||||
iShares Core U.S. Aggregate Bond ETF | 5,981 | 707,971 | ||||||
Schwab US TIPS ETF | 11,855 | 734,180 | ||||||
SPDR Blackstone/GSO Senior Loan ETF | 16,320 | 731,462 | ||||||
VanEck Vectors J.P. Morgan EM Local Currency Bond ETF | 5,685 | 179,077 | ||||||
Xtrackers USD High Yield Corporate Bond ETF | 14,947 | 728,816 | ||||||
TOTAL EXCHANGE TRADED FUNDS | ||||||||
(Cost $3,587,475) | 3,604,569 | |||||||
TOTAL INVESTMENTS — 99.8% | ||||||||
(Cost $3,587,475) | $ | 3,604,569 |
Percentages are based on Net Assets of $3,610,823.
ETF — Exchange Traded Fund |
EM — Emerging Markets |
SPDR — Standard & Poor’s Depository Receipts |
TIPS — Treasury Inflation Protected Security |
USD — U.S. Dollar |
As of August 31, 2020, all of the Fund's investments were considered Level 1, in accordance with authoritative guidance on fair value measurements and disclosure under U.S. GAAP. |
For the period ended August 31, 2020, there have been no transfers in or out of Level 3.
For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent annual financial statements.
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Conscious Companies ETF |
Shares | Value | |||||||
COMMON STOCK — 99.8% | ||||||||
CANADA— 1.1% | ||||||||
Energy — 0.5% | ||||||||
Enbridge | 45,749 | $ | 1,464,883 | |||||
Financials — 0.6% | ||||||||
Toronto-Dominion Bank | 32,228 | 1,606,889 | ||||||
TOTAL CANADA | 3,071,772 | |||||||
UNITED STATES— 98.7% | ||||||||
Communication Services — 6.9% | ||||||||
Alphabet, Cl A * | 3,886 | 6,332,353 | ||||||
AT&T | 49,098 | 1,463,611 | ||||||
Comcast, Cl A | 33,491 | 1,500,732 | ||||||
Facebook, Cl A * | 12,568 | 3,684,938 | ||||||
Netflix * | 3,009 | 1,593,446 | ||||||
Omnicom Group | 25,656 | 1,387,733 | ||||||
Verizon Communications | 25,539 | 1,513,697 | ||||||
Walt Disney * | 12,343 | 1,627,671 | ||||||
19,104,181 | ||||||||
Consumer Discretionary — 10.9% | ||||||||
Amazon.com * | 3,234 | 11,160,405 | ||||||
Best Buy | 14,970 | 1,660,323 | ||||||
Booking Holdings * | 853 | 1,629,614 | ||||||
BorgWarner | 37,845 | 1,536,129 | ||||||
eBay | 26,341 | 1,442,960 | ||||||
General Motors * | 55,291 | 1,638,272 | ||||||
Hasbro | 18,711 | 1,477,046 | ||||||
Home Depot | 5,471 | 1,559,454 | ||||||
Lowe's | 9,874 | 1,626,149 | ||||||
NIKE, Cl B | 15,113 | 1,690,993 | ||||||
Starbucks | 19,160 | 1,618,445 | ||||||
VF | 24,294 | 1,597,331 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Conscious Companies ETF |
Shares | Value | |||||||
COMMON STOCK — continued | ||||||||
Consumer Discretionary — continued | ||||||||
Whirlpool | 9,231 | $ | 1,640,533 | |||||
30,277,654 | ||||||||
Consumer Staples — 8.3% | ||||||||
Brown-Forman, Cl B | 21,839 | 1,597,960 | ||||||
Campbell Soup | 29,389 | 1,546,155 | ||||||
Clorox | 6,395 | 1,429,283 | ||||||
Coca-Cola | 29,288 | 1,450,635 | ||||||
Colgate-Palmolive | 19,537 | 1,548,503 | ||||||
Costco Wholesale | 4,457 | 1,549,521 | ||||||
Estee Lauder, Cl A | 7,573 | 1,679,086 | ||||||
General Mills | 22,107 | 1,413,743 | ||||||
Hershey | 9,966 | 1,481,346 | ||||||
Hormel Foods | 28,883 | 1,472,455 | ||||||
Kellogg | 21,142 | 1,499,179 | ||||||
Kimberly-Clark | 9,856 | 1,554,882 | ||||||
McCormick | 7,505 | 1,547,531 | ||||||
PepsiCo | 10,671 | 1,494,580 | ||||||
Procter & Gamble | 11,527 | 1,594,529 | ||||||
22,859,388 | ||||||||
Energy — 2.4% | ||||||||
Baker Hughes, Cl A | 88,680 | 1,266,350 | ||||||
Chevron | 16,105 | 1,351,693 | ||||||
ConocoPhillips | 36,503 | 1,383,099 | ||||||
Hess | 28,770 | 1,324,571 | ||||||
ONEOK | 50,550 | 1,389,114 | ||||||
6,714,827 | ||||||||
Financials — 11.3% | ||||||||
Aflac | 39,483 | 1,434,023 | ||||||
Allstate | 15,387 | 1,430,991 | ||||||
American Express | 15,229 | 1,547,115 | ||||||
Bank of America | 60,384 | 1,554,284 | ||||||
BlackRock, Cl A | 2,546 | 1,512,808 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Conscious Companies ETF |
Shares | Value | |||||||
COMMON STOCK — continued | ||||||||
Financials — continued | ||||||||
Capital One Financial | 22,315 | $ | 1,540,404 | |||||
Citigroup | 28,096 | 1,436,268 | ||||||
Discover Financial Services | 28,568 | 1,516,389 | ||||||
FactSet Research Systems | 4,169 | 1,460,818 | ||||||
JPMorgan Chase | 14,771 | 1,479,906 | ||||||
KeyCorp | 118,515 | 1,460,105 | ||||||
Moody's | 5,011 | 1,476,441 | ||||||
Morgan Stanley | 28,930 | 1,511,882 | ||||||
Northern Trust | 19,097 | 1,563,852 | ||||||
PNC Financial Services Group | 13,272 | 1,475,846 | ||||||
Progressive | 16,169 | 1,536,702 | ||||||
Prudential Financial | 22,359 | 1,515,269 | ||||||
S&P Global | 4,148 | 1,519,910 | ||||||
T Rowe Price Group | 10,837 | 1,508,619 | ||||||
Travelers | 12,275 | 1,424,391 | ||||||
US Bancorp | 39,583 | 1,440,821 | ||||||
31,346,844 | ||||||||
Health Care — 13.0% | ||||||||
Abbott Laboratories | 14,674 | 1,606,362 | ||||||
AbbVie | 14,952 | 1,431,953 | ||||||
Agilent Technologies | 15,315 | 1,537,932 | ||||||
Amgen | 5,856 | 1,483,442 | ||||||
Baxter International | 16,265 | 1,416,194 | ||||||
Becton Dickinson | 5,340 | 1,296,392 | ||||||
Biogen Idec * | 5,331 | 1,533,409 | ||||||
Boston Scientific * | 37,602 | 1,542,434 | ||||||
Bristol-Myers Squibb | 25,098 | 1,561,096 | ||||||
Edwards Lifesciences * | 18,582 | 1,595,079 | ||||||
Eli Lilly | 9,100 | 1,350,349 | ||||||
Humana | 3,702 | 1,536,959 | ||||||
Illumina * | 3,799 | 1,357,079 | ||||||
IQVIA Holdings * | 9,197 | 1,506,009 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Conscious Companies ETF |
Shares | Value | |||||||
COMMON STOCK — continued | ||||||||
Health Care — continued | ||||||||
Johnson & Johnson | 9,802 | $ | 1,503,725 | |||||
Merck | 18,832 | 1,605,805 | ||||||
Mettler-Toledo International * | 1,705 | 1,655,179 | ||||||
PerkinElmer | 13,158 | 1,548,960 | ||||||
Pfizer | 38,554 | 1,456,956 | ||||||
Regeneron Pharmaceuticals * | 2,331 | 1,445,057 | ||||||
Thermo Fisher Scientific | 3,573 | 1,532,746 | ||||||
Vertex Pharmaceuticals * | 5,212 | 1,454,773 | ||||||
Waters * | 6,510 | 1,407,853 | ||||||
Zoetis, Cl A | 10,070 | 1,612,206 | ||||||
35,977,949 | ||||||||
Industrials — 9.4% | ||||||||
3M | 9,153 | 1,492,122 | ||||||
Caterpillar | 10,551 | 1,501,513 | ||||||
Cummins | 7,712 | 1,598,312 | ||||||
Deere | 8,285 | 1,740,347 | ||||||
FedEx | 8,797 | 1,933,932 | ||||||
Illinois Tool Works | 7,858 | 1,552,348 | ||||||
Ingersoll Rand * | 45,947 | 1,610,902 | ||||||
Owens Corning | 23,507 | 1,590,013 | ||||||
Republic Services, Cl A | 17,264 | 1,600,718 | ||||||
Rockwell Automation | 6,418 | 1,479,542 | ||||||
Southwest Airlines * | 45,855 | 1,723,231 | ||||||
Trane Technologies | 13,995 | 1,656,868 | ||||||
Union Pacific | 8,244 | 1,586,475 | ||||||
United Parcel Service, Cl B | 12,273 | 2,008,109 | ||||||
Waste Management | 13,496 | 1,538,544 | ||||||
Xylem | 19,415 | 1,556,695 | ||||||
26,169,671 | ||||||||
Information Technology — 27.6% | ||||||||
Accenture, Cl A | 6,555 | 1,572,741 | ||||||
Adobe * | 3,375 | 1,732,691 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Conscious Companies ETF |
Shares | Value | |||||||
COMMON STOCK — continued | ||||||||
Information Technology — continued | ||||||||
Akamai Technologies * | 12,908 | $ | 1,502,878 | |||||
Analog Devices | 12,969 | 1,515,817 | ||||||
Apple | 134,372 | 17,339,362 | ||||||
Applied Materials | 23,954 | 1,475,566 | ||||||
Automatic Data Processing | 9,981 | 1,388,257 | ||||||
Cisco Systems | 31,725 | 1,339,430 | ||||||
Cognizant Technology Solutions, Cl A | 23,497 | 1,571,009 | ||||||
Intel | 28,695 | 1,462,010 | ||||||
Intuit | 5,115 | 1,766,670 | ||||||
Juniper Networks | 59,333 | 1,483,325 | ||||||
Keysight Technologies * | 15,024 | 1,480,164 | ||||||
KLA | 7,715 | 1,582,655 | ||||||
Lam Research | 4,200 | 1,412,628 | ||||||
Littelfuse | 8,398 | 1,518,695 | ||||||
Mastercard, Cl A | 4,732 | 1,694,955 | ||||||
Microsoft | 62,745 | 14,150,880 | ||||||
NetApp | 33,606 | 1,592,588 | ||||||
NVIDIA | 3,561 | 1,905,064 | ||||||
ON Semiconductor * | 71,131 | 1,520,069 | ||||||
Oracle | 26,088 | 1,492,755 | ||||||
QUALCOMM | 16,338 | 1,945,857 | ||||||
salesforce.com * | 7,703 | 2,100,223 | ||||||
Square, Cl A * | 11,960 | 1,908,339 | ||||||
Texas Instruments | 11,199 | 1,591,938 | ||||||
Visa, Cl A | 7,439 | 1,576,994 | ||||||
VMware, Cl A * | 10,442 | 1,508,242 | ||||||
Workday, Cl A * | 7,942 | 1,903,777 | ||||||
Xilinx | 14,145 | 1,473,343 | ||||||
76,508,922 | ||||||||
Materials — 3.1% | ||||||||
Air Products & Chemicals | 4,982 | 1,456,039 | ||||||
Avery Dennison | 12,371 | 1,427,490 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Conscious Companies ETF |
Shares | Value | |||||||
COMMON STOCK — continued | ||||||||
Materials — continued | ||||||||
Ecolab | 6,911 | $ | 1,362,020 | |||||
International Flavors & Fragrances | 11,447 | 1,417,024 | ||||||
Newmont | 21,751 | 1,463,407 | ||||||
Sonoco Products | 27,029 | 1,433,348 | ||||||
8,559,328 | ||||||||
Real Estate — 2.2% | ||||||||
CBRE Group, Cl A * | 33,001 | 1,552,037 | ||||||
Jones Lang LaSalle * | 14,511 | 1,495,213 | ||||||
ProLogis ‡ | 14,533 | 1,480,331 | ||||||
Ventas ‡ | 40,597 | 1,673,003 | ||||||
6,200,584 | ||||||||
Utilities — 3.6% | ||||||||
American Water Works | 10,048 | 1,420,184 | ||||||
Entergy | 14,143 | 1,402,137 | ||||||
Exelon | 38,411 | 1,417,750 | ||||||
NextEra Energy | 5,182 | 1,446,659 | ||||||
Pinnacle West Capital | 17,572 | 1,288,906 | ||||||
Sempra Energy | 11,558 | 1,429,147 | ||||||
WEC Energy Group | 15,513 | 1,459,463 | ||||||
9,864,246 | ||||||||
TOTAL UNITED STATES | 273,583,594 | |||||||
TOTAL COMMON STOCK | ||||||||
(Cost $213,116,296) | 276,655,366 | |||||||
TOTAL INVESTMENTS — 99.8% | ||||||||
(Cost $213,116,296) | $ | 276,655,366 |
Percentages are based on Net Assets of $277,315,595.
* | Non-income producing security. |
‡ | Real Estate Investment Trust |
Cl — Class |
S&P — Standard & Poor's |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Conscious Companies ETF |
As of August 31, 2020, all of the Fund's investments were considered Level 1, in accordance with authoritative guidance on fair value measurements and disclosure under U.S. GAAP. |
For the period ended August 31, 2020, there have been no transfers in or out of Level 3.
For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent annual financial statements.
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Adaptive U.S. Factor ETF |
Shares | Value | |||||||
COMMON STOCK — 99.8% | ||||||||
UNITED STATES— 99.8% | ||||||||
Communication Services — 4.7% | ||||||||
AT&T | 53,558 | $ | 1,596,564 | |||||
Cable One | 91 | 167,470 | ||||||
CenturyLink | 73,275 | 787,706 | ||||||
Charter Communications, Cl A * | 2,288 | 1,408,516 | ||||||
Liberty Broadband, Cl C * | 1,180 | 165,306 | ||||||
Omnicom Group | 2,210 | 119,539 | ||||||
T-Mobile US * | 1,777 | 207,341 | ||||||
Verizon Communications | 38,797 | 2,299,498 | ||||||
Walt Disney * | 1,021 | 134,639 | ||||||
6,886,579 | ||||||||
Consumer Discretionary — 8.5% | ||||||||
AutoZone * | 129 | 154,324 | ||||||
Dollar General | 845 | 170,589 | ||||||
Dunkin' Brands Group | 1,541 | 117,239 | ||||||
Foot Locker | 24,234 | 735,017 | ||||||
Ford Motor * | 105,200 | 717,464 | ||||||
Garmin | 21,765 | 2,255,072 | ||||||
General Motors * | 27,359 | 810,647 | ||||||
Kohl's * | 33,528 | 716,158 | ||||||
McDonald's | 11,102 | 2,370,499 | ||||||
MGM Resorts International | 45,384 | 1,021,140 | ||||||
Starbucks | 1,386 | 117,075 | ||||||
Tapestry * | 54,319 | 800,119 | ||||||
Tiffany | 18,133 | 2,221,292 | ||||||
Yum! Brands | 1,990 | 190,742 | ||||||
12,397,377 | ||||||||
Consumer Goods — 0.1% | ||||||||
Watsco | 544 | 133,275 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Adaptive U.S. Factor ETF |
Shares | Value | |||||||
COMMON STOCK — continued | ||||||||
Consumer Staples — 8.8% | ||||||||
Archer-Daniels-Midland | 17,483 | $ | 782,539 | |||||
BJ's Wholesale Club Holdings * | 2,584 | 114,755 | ||||||
Church & Dwight | 1,933 | 185,239 | ||||||
Clorox | 471 | 105,268 | ||||||
Coca-Cola | 42,889 | 2,124,292 | ||||||
Costco Wholesale | 327 | 113,685 | ||||||
Flowers Foods | 81,289 | 1,988,329 | ||||||
Hershey | 773 | 114,899 | ||||||
Kraft Heinz | 20,618 | 722,455 | ||||||
Kroger | 54,045 | 1,928,326 | ||||||
Molson Coors Beverage, Cl B * | 20,100 | 756,564 | ||||||
Mondelez International, Cl A | 2,487 | 145,290 | ||||||
PepsiCo | 9,601 | 1,344,716 | ||||||
Procter & Gamble | 1,817 | 251,346 | ||||||
Walmart | 16,583 | 2,302,550 | ||||||
12,980,253 | ||||||||
Energy — 2.3% | ||||||||
Exxon Mobil | 18,980 | 758,061 | ||||||
HollyFrontier | 26,317 | 628,187 | ||||||
Kinder Morgan | 48,323 | 667,824 | ||||||
Marathon Oil * | 124,282 | 656,209 | ||||||
ONEOK | 24,392 | 670,292 | ||||||
3,380,573 | ||||||||
Financials — 31.1% | ||||||||
Aflac | 19,627 | 712,853 | ||||||
AGNC Investment ‡ | 153,625 | 2,167,649 | ||||||
Ally Financial | 33,481 | 766,045 | ||||||
American International Group | 22,351 | 651,308 | ||||||
Annaly Capital Management ‡ | 139,512 | 1,025,413 | ||||||
Assured Guaranty | 30,880 | 662,376 | ||||||
Bank of America | 29,601 | 761,930 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Adaptive U.S. Factor ETF |
Shares | Value | |||||||
COMMON STOCK — continued | ||||||||
Financials — continued | ||||||||
Bank of New York Mellon | 19,965 | $ | 738,306 | |||||
Bank OZK | 30,350 | 699,264 | ||||||
Blackstone Mortgage Trust, Cl A ‡ | 30,451 | 723,820 | ||||||
Brighthouse Financial * | 24,478 | 743,152 | ||||||
Citigroup | 13,929 | 712,050 | ||||||
Citizens Financial Group | 28,205 | 729,663 | ||||||
Comerica | 19,629 | 775,934 | ||||||
Cullen | 10,046 | 697,795 | ||||||
East West Bancorp | 20,349 | 748,436 | ||||||
Equitable Holdings | 35,342 | 748,897 | ||||||
Fifth Third Bancorp | 37,053 | 765,515 | ||||||
First American Financial | 12,913 | 678,836 | ||||||
First Hawaiian | 40,129 | 663,332 | ||||||
First Horizon National | 77,453 | 739,676 | ||||||
FNB | 95,556 | 716,670 | ||||||
Franklin Resources | 34,414 | 724,759 | ||||||
Goldman Sachs Group | 3,493 | 715,611 | ||||||
Hartford Financial Services Group | 17,083 | 691,007 | ||||||
Houlihan Lokey, Cl A | 6,914 | 405,160 | ||||||
Huntington Bancshares | 77,958 | 733,585 | ||||||
Invesco | 70,753 | 721,681 | ||||||
Jefferies Financial Group | 41,856 | 734,154 | ||||||
KeyCorp | 60,114 | 740,604 | ||||||
Lincoln National | 19,143 | 690,105 | ||||||
M&T Bank | 6,956 | 718,277 | ||||||
MetLife | 18,728 | 720,279 | ||||||
MGIC Investment | 91,788 | 841,696 | ||||||
Morgan Stanley | 14,108 | 737,284 | ||||||
Morningstar | 668 | 106,980 | ||||||
New York Community Bancorp | 71,456 | 646,677 | ||||||
Old Republic International | 41,349 | 666,132 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Adaptive U.S. Factor ETF |
Shares | Value | |||||||
COMMON STOCK — continued | ||||||||
Financials — continued | ||||||||
People's United Financial | 62,182 | $ | 657,886 | |||||
Pinnacle Financial Partners | 17,757 | 709,392 | ||||||
PNC Financial Services Group | 6,748 | 750,378 | ||||||
Principal Financial Group | 15,997 | 673,634 | ||||||
Progressive | 1,188 | 112,908 | ||||||
Prosperity Bancshares | 12,864 | 701,345 | ||||||
Prudential Financial | 11,373 | 770,748 | ||||||
Radian Group | 52,785 | 815,000 | ||||||
Regions Financial | 68,914 | 796,646 | ||||||
Reinsurance Group of America, Cl A | 8,501 | 779,372 | ||||||
Starwood Property Trust ‡ | 49,321 | 769,408 | ||||||
State Street | 12,113 | 824,774 | ||||||
Synchrony Financial | 32,453 | 805,159 | ||||||
Synovus Financial | 36,476 | 797,730 | ||||||
TCF Financial | 25,370 | 681,946 | ||||||
Truist Financial | 20,033 | 777,481 | ||||||
United Bankshares | 26,155 | 683,692 | ||||||
Unum Group | 41,669 | 770,043 | ||||||
US Bancorp | 19,845 | 722,358 | ||||||
Valley National Bancorp | 99,108 | 744,301 | ||||||
Webster Financial | 27,935 | 768,213 | ||||||
Wells Fargo | 27,414 | 662,048 | ||||||
White Mountains Insurance Group | 122 | 108,751 | ||||||
Wintrust Financial | 17,035 | 741,363 | ||||||
WR Berkley | 2,013 | 124,907 | ||||||
Zions Bancorp | 21,620 | 695,299 | ||||||
45,667,693 | ||||||||
Health Care — 7.9% | ||||||||
Chemed | 302 | 156,167 | ||||||
Danaher | 916 | 189,127 | ||||||
DENTSPLY SIRONA | 42,792 | 1,920,077 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Adaptive U.S. Factor ETF |
Shares | Value | |||||||
COMMON STOCK — continued | ||||||||
Health Care — continued | ||||||||
Eli Lilly | 955 | $ | 141,713 | |||||
Johnson & Johnson | 14,130 | 2,167,683 | ||||||
Medtronic | 1,320 | 141,860 | ||||||
Merck | 15,112 | 1,288,600 | ||||||
Pfizer | 57,218 | 2,162,268 | ||||||
QIAGEN * | 45,419 | 2,314,552 | ||||||
Quest Diagnostics | 1,436 | 159,741 | ||||||
Wright Medical Group * | 31,034 | 938,158 | ||||||
11,579,946 | ||||||||
Industrials — 6.7% | ||||||||
Air Lease, Cl A | 26,406 | 820,698 | ||||||
Alaska Air Group * | 19,821 | 772,028 | ||||||
CH Robinson Worldwide | 1,513 | 148,728 | ||||||
FTI Consulting * | 939 | 107,760 | ||||||
JetBlue Airways * | 67,752 | 780,503 | ||||||
L3Harris Technologies | 659 | 119,108 | ||||||
Lockheed Martin | 5,598 | 2,184,675 | ||||||
Northrop Grumman | 362 | 124,025 | ||||||
Republic Services, Cl A | 25,740 | 2,386,613 | ||||||
Waste Management | 20,380 | 2,323,320 | ||||||
9,767,458 | ||||||||
Information Technology — 10.6% | ||||||||
Acacia Communications * | 32,610 | 2,200,523 | ||||||
Accenture, Cl A | 735 | 176,348 | ||||||
Amdocs | 36,006 | 2,204,647 | ||||||
Automatic Data Processing | 725 | 100,840 | ||||||
Black Knight * | 2,746 | 230,939 | ||||||
Citrix Systems | 12,349 | 1,793,075 | ||||||
Fidelity National Information Services | 11,661 | 1,759,062 | ||||||
Genpact | 2,733 | 115,278 | ||||||
Hewlett Packard Enterprise | 73,803 | 713,675 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Adaptive U.S. Factor ETF |
Shares | Value | |||||||
COMMON STOCK — continued | ||||||||
Information Technology — continued | ||||||||
Jack Henry & Associates | 11,209 | $ | 1,854,193 | |||||
Motorola Solutions | 809 | 125,193 | ||||||
NortonLifeLock | 106,467 | 2,504,104 | ||||||
Paychex | 1,450 | 110,881 | ||||||
Seagate Technology | 14,544 | 697,966 | ||||||
Xerox Holdings | 43,031 | 811,565 | ||||||
Zoom Video Communications, Cl A * | 410 | 133,291 | ||||||
15,531,580 | ||||||||
Materials — 3.1% | ||||||||
Air Products & Chemicals | 607 | 177,402 | ||||||
AptarGroup | 1,695 | 200,671 | ||||||
Ecolab | 749 | 147,613 | ||||||
LyondellBasell Industries, Cl A | 10,523 | 689,046 | ||||||
NewMarket | 267 | 99,455 | ||||||
Newmont | 7,474 | 502,851 | ||||||
Royal Gold | 12,756 | 1,738,898 | ||||||
Silgan Holdings | 3,193 | 121,525 | ||||||
Sonoco Products | 2,386 | 126,529 | ||||||
Westrock | 24,948 | 756,673 | ||||||
4,560,663 | ||||||||
Real Estate — 11.8% | ||||||||
Brixmor Property Group ‡ * | 61,030 | 720,154 | ||||||
CoreSite Realty ‡ | 861 | 105,430 | ||||||
CubeSmart ‡ | 4,286 | 135,523 | ||||||
Digital Realty Trust ‡ | 740 | 115,181 | ||||||
Equity Commonwealth ‡ * | 92,667 | 2,908,817 | ||||||
Equity LifeStyle Properties ‡ | 29,653 | 1,965,697 | ||||||
Equity Residential ‡ | 1,922 | 108,497 | ||||||
Essex Property Trust ‡ | 485 | 105,007 | ||||||
Extra Space Storage ‡ | 1,241 | 132,229 | ||||||
Host Hotels & Resorts ‡ * | 66,196 | 743,381 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Adaptive U.S. Factor ETF |
Shares | Value | |||||||
COMMON STOCK — continued | ||||||||
Real Estate — continued | ||||||||
Kimco Realty ‡ * | 63,733 | $ | 764,159 | |||||
Medical Properties Trust ‡ | 37,361 | 694,167 | ||||||
MGM Growth Properties, Cl A ‡ | 26,299 | 738,213 | ||||||
National Health Investors ‡ | 11,904 | 741,024 | ||||||
Omega Healthcare Investors ‡ | 22,756 | 704,753 | ||||||
Physicians Realty Trust ‡ | 40,745 | 739,522 | ||||||
Public Storage ‡ | 607 | 128,927 | ||||||
Sabra Health Care ‡ | 51,436 | 762,796 | ||||||
Simon Property Group ‡ | 11,997 | 813,997 | ||||||
SL Green Realty ‡ | 14,457 | 676,009 | ||||||
Spirit Realty Capital ‡ | 21,923 | 778,486 | ||||||
Sun Communities ‡ | 1,837 | 273,860 | ||||||
Ventas ‡ | 20,464 | 843,321 | ||||||
VICI Properties ‡ | 33,460 | 747,496 | ||||||
Vornado Realty Trust ‡ | 20,154 | 722,118 | ||||||
WP Carey ‡ | 1,569 | 108,842 | ||||||
17,277,606 | ||||||||
Utilities — 4.2% | ||||||||
Alliant Energy | 2,449 | 132,613 | ||||||
Ameren | 1,605 | 126,972 | ||||||
American Electric Power | 1,764 | 139,056 | ||||||
Avangrid | 14,913 | 716,421 | ||||||
CMS Energy | 2,345 | 141,849 | ||||||
Consolidated Edison | 1,413 | 100,804 | ||||||
Duke Energy | 15,468 | 1,242,699 | ||||||
Evergy | 1,780 | 94,732 | ||||||
Eversource Energy | 1,758 | 150,678 | ||||||
Hawaiian Electric Industries | 52,540 | 1,818,409 | ||||||
National Fuel Gas | 3,297 | 150,475 | ||||||
NextEra Energy | 947 | 264,374 | ||||||
PPL | 27,507 | 760,018 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Adaptive U.S. Factor ETF |
Shares/Number | Value | |||||||
COMMON STOCK — continued | ||||||||
Utilities — continued | ||||||||
Southern | 5,021 | $ | 261,996 | |||||
6,101,096 | ||||||||
TOTAL COMMON STOCK | ||||||||
(Cost $149,042,313) | 146,264,099 | |||||||
WARRANTS — 0.0% | ||||||||
UNITED STATES — 0.0% | ||||||||
Occidental Petroleum * Expires 8/6/27 | ||||||||
TOTAL WARRANTS | ||||||||
(Cost $-) | 4,916 | 14,502 | ||||||
TOTAL INVESTMENTS — 99.8% | ||||||||
(Cost $149,042,313) | $ | 146,278,601 |
Percentages are based on Net Assets of $146,570,638.
* | Non-income producing security. |
‡ | Real Estate Investment Trust |
Cl — Class |
The following is a summary of the level of inputs used as of August 31, 2020, in valuing the Fund's investments carried at value: | ||||||||||||||||
Investments in Securities | Level 1 | Level 2 | Level 3 | Total | ||||||||||||
Common Stock | $ | 146,264,099 | $ | — | $ | — | $ | 146,264,099 | ||||||||
Warrants | — | 14,502 | — | 14,502 | ||||||||||||
Total Investments in Securities | $ | 146,264,099 | $ | 14,502 | $ | — | $ | 146,278,601 | ||||||||
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Adaptive U.S. Factor ETF |
For the period ended August 31, 2020, there have been no transfers in or out of Level 3.
Amounts designated as “—“ are $0 or have been rounded to $0.
For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent annual financial statements.
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Founder-Run Companies ETF |
Shares | Value | |||||||
COMMON STOCK — 99.9% | ||||||||
UNITED STATES— 99.9% | ||||||||
Communication Services — 8.7% | ||||||||
Cargurus, Cl A * | 1,862 | $ | 45,396 | |||||
Facebook, Cl A * | 195 | 57,174 | ||||||
Netflix * | 87 | 46,072 | ||||||
Nexstar Media Group, Cl A | 626 | 60,102 | ||||||
Roku, Cl A * | 298 | 51,697 | ||||||
Snap, Cl A * | 2,322 | 52,454 | ||||||
TripAdvisor * | 2,014 | 47,067 | ||||||
Twitter * | 1,292 | 52,429 | ||||||
World Wrestling Entertainment, Cl A | 829 | 36,534 | ||||||
448,925 | ||||||||
Consumer Discretionary — 10.7% | ||||||||
Amazon.com * | 15 | 51,764 | ||||||
Carvana, Cl A * | 398 | 85,952 | ||||||
Grubhub * | 853 | 61,715 | ||||||
Las Vegas Sands * | 848 | 43,002 | ||||||
Skechers USA, Cl A * | 1,451 | 43,312 | ||||||
Tesla * | 255 | 127,072 | ||||||
Texas Roadhouse, Cl A * | 810 | 51,022 | ||||||
Wayfair, Cl A * | 301 | 89,265 | ||||||
553,104 | ||||||||
Consumer Staples — 2.0% | ||||||||
J & J Snack Foods | 315 | 42,824 | ||||||
National Beverage * | 712 | 57,900 | ||||||
100,724 | ||||||||
Energy — 1.0% | ||||||||
Pioneer Natural Resources | 480 | 49,886 | ||||||
Financials — 13.7% | ||||||||
Apollo Global Management, Cl A | 954 | 44,714 | ||||||
Athene Holding, Cl A * | 1,571 | 57,436 | ||||||
BlackRock, Cl A | 78 | 46,347 | ||||||
Blackstone Group, Cl A | 767 | 40,613 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Founder-Run Companies ETF |
Shares | Value | |||||||
COMMON STOCK — continued | ||||||||
Financials — continued | ||||||||
Capital One Financial | 662 | $ | 45,698 | |||||
Essent Group | 1,521 | 54,300 | ||||||
First Republic Bank | 371 | 41,889 | ||||||
Intercontinental Exchange | 418 | 44,404 | ||||||
KKR | 1,573 | 56,345 | ||||||
LendingTree * | 172 | 53,137 | ||||||
MarketAxess Holdings | 88 | 42,763 | ||||||
SEI Investments | 760 | 39,793 | ||||||
Signature Bank NY | 395 | 38,327 | ||||||
Starwood Property Trust ‡ | 3,366 | 52,510 | ||||||
Wintrust Financial | 1,031 | 44,869 | ||||||
703,145 | ||||||||
Health Care — 12.9% | ||||||||
Allogene Therapeutics * | 1,255 | 44,741 | ||||||
Guardant Health * | 488 | 46,604 | ||||||
Ionis Pharmaceuticals * | 639 | 34,825 | ||||||
Jazz Pharmaceuticals * | 347 | 46,633 | ||||||
LHC Group * | 302 | 62,949 | ||||||
Masimo * | 176 | 39,424 | ||||||
Merit Medical Systems * | 924 | 45,369 | ||||||
Neurocrine Biosciences * | 378 | 44,007 | ||||||
Penumbra * | 195 | 40,784 | ||||||
Regeneron Pharmaceuticals * | 66 | 40,915 | ||||||
Seattle Genetics * | 254 | 40,218 | ||||||
Ultragenyx Pharmaceutical * | 561 | 47,719 | ||||||
United Therapeutics * | 334 | 35,725 | ||||||
Universal Health Services, Cl B * | 365 | 40,278 | ||||||
Veeva Systems, Cl A * | 198 | 55,889 | ||||||
666,080 | ||||||||
Industrials — 4.7% | ||||||||
Axon Enterprise * | 517 | 44,297 | ||||||
Clean Harbors * | 734 | 44,847 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Founder-Run Companies ETF |
Shares | Value | |||||||
COMMON STOCK — continued | ||||||||
Industrials — continued | ||||||||
CoStar Group * | 62 | $ | 52,613 | |||||
FedEx | 302 | 66,392 | ||||||
Lyft, Cl A * | 1,162 | 34,476 | ||||||
242,625 | ||||||||
Information Technology — 34.3% | ||||||||
Akamai Technologies * | 361 | 42,031 | ||||||
Alteryx, Cl A * | 330 | 39,874 | ||||||
Avalara * | 436 | 57,731 | ||||||
Dell Technologies, Cl C * | 936 | 61,851 | ||||||
Dropbox, Cl A * | 1,838 | 38,910 | ||||||
EPAM Systems * | 183 | 59,859 | ||||||
Euronet Worldwide * | 446 | 46,108 | ||||||
Fortinet * | 355 | 46,862 | ||||||
HubSpot * | 256 | 76,718 | ||||||
IPG Photonics * | 307 | 49,651 | ||||||
Microchip Technology | 453 | 49,694 | ||||||
Monolithic Power Systems | 197 | 52,625 | ||||||
New Relic * | 718 | 44,107 | ||||||
Nutanix, Cl A * | 2,088 | 59,946 | ||||||
NVIDIA | 128 | 68,477 | ||||||
Okta, Cl A * | 239 | 51,474 | ||||||
Paycom Software * | 175 | 52,406 | ||||||
Pegasystems | 484 | 62,179 | ||||||
RealPage * | 612 | 38,323 | ||||||
RingCentral, Cl A * | 153 | 44,488 | ||||||
salesforce.com * | 238 | 64,891 | ||||||
Square, Cl A * | 593 | 94,619 | ||||||
SS&C Technologies Holdings | 725 | 46,197 | ||||||
Synopsys * | 243 | 53,776 | ||||||
Trade Desk, Cl A * | 143 | 68,826 | ||||||
Twilio, Cl A * | 334 | 90,100 | ||||||
Ubiquiti | 240 | 43,620 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Founder-Run Companies ETF |
Shares | Value | |||||||
COMMON STOCK — continued | ||||||||
Information Technology — continued | ||||||||
VeriSign * | 175 | $ | 37,590 | |||||
ViaSat * | 899 | 35,744 | ||||||
Workday, Cl A * | 256 | 61,366 | ||||||
Zendesk * | 506 | 48,768 | ||||||
Zscaler * | 550 | 78,837 | ||||||
1,767,648 | ||||||||
Materials — 0.9% | ||||||||
Steel Dynamics | 1,578 | 46,583 | ||||||
Real Estate — 11.0% | ||||||||
American Campus Communities ‡ | 1,243 | 42,138 | ||||||
American Homes 4 Rent, Cl A ‡ | 1,614 | 46,225 | ||||||
Apartment Investment & Management, Cl A ‡ | 1,059 | 38,156 | ||||||
Brandywine Realty Trust ‡ | 3,744 | 41,671 | ||||||
Camden Property Trust ‡ | 444 | 40,377 | ||||||
Healthcare Trust of America, Cl A ‡ | 1,627 | 42,936 | ||||||
Invitation Homes ‡ | 1,706 | 48,843 | ||||||
Medical Properties Trust ‡ | 2,341 | 43,496 | ||||||
ProLogis ‡ | 417 | 42,475 | ||||||
QTS Realty Trust, Cl A ‡ | 1,410 | 95,626 | ||||||
STAG Industrial ‡ | 1,469 | 47,449 | ||||||
Vornado Realty Trust ‡ | 983 | 35,221 | ||||||
564,613 | ||||||||
TOTAL UNITED STATES | 5,143,333 | |||||||
TOTAL COMMON STOCK | ||||||||
(Cost $4,614,156) | 5,143,333 | |||||||
TOTAL INVESTMENTS — 99.9% | ||||||||
(Cost $4,614,156) | $ | 5,143,333 |
Percentages are based on Net Assets of $5,146,291.
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Founder-Run Companies ETF |
* | Non-income producing security. |
‡ | Real Estate Investment Trust |
Cl — Class |
As of August 31, 2020, all of the Fund's investments were considered Level 1, in accordance with authoritative guidance on fair value measurements and disclosure under U.S. GAAP. |
For the period ended, August 31, 2020 there have been no transfers in or out of Level 3.
For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent annual financial statements.
GLX-QH-005-1700
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Robotics & Artificial Intelligence ETF |
Shares | Value | |||||||
COMMON STOCK — 99.8% | ||||||||
CANADA— 1.4% | ||||||||
Industrials — 1.4% | ||||||||
ATS Automation Tooling Systems * (A) | 1,791,370 | $ | 25,269,873 | |||||
FINLAND— 2.0% | ||||||||
Industrials — 2.0% | ||||||||
Cargotec, Cl B | 1,072,974 | 33,979,563 | ||||||
JAPAN— 41.5% | ||||||||
Communication Services — 0.5% | ||||||||
RPA Holdings * (A) | 1,102,190 | 8,314,885 | ||||||
Health Care — 0.7% | ||||||||
CYBERDYNE * (A) | 2,617,384 | 11,723,866 | ||||||
Industrials — 26.1% | ||||||||
Daifuku (A) | 799,740 | 70,362,339 | ||||||
FANUC (A) | 666,238 | 116,887,718 | ||||||
Hirata | 204,469 | 11,723,056 | ||||||
Idec * | 631,260 | 10,619,717 | ||||||
Mitsubishi Electric | 5,197,237 | 71,701,238 | ||||||
Nachi-Fujikoshi * | 477,295 | 14,830,374 | ||||||
Shibaura Machine | 571,292 | 11,329,408 | ||||||
SMC (A) | 130,418 | 71,637,970 | ||||||
Yaskawa Electric | 1,952,959 | 70,258,273 | ||||||
449,350,093 | ||||||||
Information Technology — 14.2% | ||||||||
AI inside * | 71,498 | 30,609,734 | ||||||
Autonomous Control Systems Laboratory * (A) | 196,630 | 4,932,206 | ||||||
Keyence | 289,800 | 119,368,796 | ||||||
Omron (A) | 1,021,864 | 74,872,774 | ||||||
PKSHA Technology * (A) | 586,752 | 15,077,554 | ||||||
244,861,064 | ||||||||
TOTAL JAPAN | 714,249,908 | |||||||
SWITZERLAND— 13.3% | ||||||||
Health Care — 5.1% | ||||||||
Tecan Group | 193,680 | 87,800,740 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Robotics & Artificial Intelligence ETF |
Shares | Value | |||||||
COMMON STOCK — continued | ||||||||
Industrials — 8.2% | ||||||||
ABB | 5,530,339 | $ | 141,076,002 | |||||
TOTAL SWITZERLAND | 228,876,742 | |||||||
UNITED KINGDOM— 5.2% | ||||||||
Information Technology — 5.2% | ||||||||
Renishaw * | 1,400,053 | 89,681,376 | ||||||
UNITED STATES— 36.4% | ||||||||
Consumer Discretionary — 2.3% | ||||||||
iRobot * (A) | 542,908 | 40,191,479 | ||||||
Energy — 0.6% | ||||||||
Helix Energy Solutions Group * | 2,904,855 | 10,399,381 | ||||||
Health Care — 8.7% | ||||||||
Intuitive Surgical * | 204,859 | 149,719,151 | ||||||
Industrials — 7.3% | ||||||||
AeroVironment * | 467,003 | 35,674,359 | ||||||
John Bean Technologies | 616,664 | 63,214,227 | ||||||
Maxar Technologies (A) | 1,168,031 | 27,090,753 | ||||||
125,979,339 | ||||||||
Information Technology — 17.5% | ||||||||
Brooks Automation (A) | 1,436,684 | 74,175,995 | ||||||
Cerence * (A) | 709,827 | 37,762,796 | ||||||
FARO Technologies * (A) | 344,197 | 19,447,131 | ||||||
NVIDIA | 316,772 | 169,466,684 | ||||||
300,852,606 | ||||||||
TOTAL UNITED STATES | 627,141,956 | |||||||
TOTAL COMMON STOCK | ||||||||
(Cost $1,568,044,521) | 1,719,199,418 | |||||||
SHORT-TERM INVESTMENT(B)(C) — 5.2% | ||||||||
Fidelity Investments Money Market Government Portfolio, Cl Institutional, 0.010% | ||||||||
(Cost $88,825,208) | 88,825,208 | 88,825,208 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Robotics & Artificial Intelligence ETF |
Face Amount | Value | |||||||
REPURCHASE AGREEMENT(B) — 0.6% | ||||||||
BNP Paribas | ||||||||
0.050%, dated 08/31/20, to be repurchased on 09/01/20, repurchased price $9,950,586 (collateralized by U.S. Treasury Obligations, with a par value of $10,156,016, 1.500%, 08/15/2026, with a total market value of $10,156,016) | ||||||||
(Cost $9,950,572) | $ | 9,950,572 | $ | 9,950,572 | ||||
TOTAL INVESTMENTS — 105.6% | ||||||||
(Cost $1,666,820,301) | $ | 1,817,975,198 |
Percentages are based on Net Assets of $1,722,243,211.
* | Non-income producing security. |
(A) | This security or a partial position of this security is on loan at August 31, 2020. The total value of securities on loan at August 31, 2020 was $93,553,617. |
(B) | Security was purchased with cash collateral held from securities on loan. The total value of such securities as of August 31, 2020, was $98,775,780. |
(C) | The rate reported on the Schedule of Investments is the 7-day effective yield as of August 31, 2020. |
Cl — Class
The following is a summary of the level of inputs used as of August 31, 2020, in valuing the Fund's investments carried at value:
Investments in Securities | Level 1 | Level 2 | Level 3 | Total | ||||||||||||
Common Stock | $ | 1,629,518,042 | $ | 89,681,376 | $ | — | $ | 1,719,199,418 | ||||||||
Short-Term Investment | 88,825,208 | — | — | 88,825,208 | ||||||||||||
Repurchase Agreement | — | 9,950,572 | — | 9,950,572 | ||||||||||||
Total Investments in Securities | $ | 1,718,343,250 | $ | 99,631,948 | $ | — | $ | 1,817,975,198 | ||||||||
For the period ended August 31, 2020, there have been no transfers in or out of Level 3.
For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent annual or semi-annual financial statements.
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Internet of Things ETF |
Shares | Value | |||||||
COMMON STOCK — 100.0% | ||||||||
AUSTRIA— 5.0% | ||||||||
Information Technology — 5.0% | ||||||||
AMS * | 474,179 | $ | 8,423,003 | |||||
S&T * | 113,071 | 3,167,005 | ||||||
TOTAL AUSTRIA | 11,590,008 | |||||||
CANADA— 0.4% | ||||||||
Information Technology — 0.4% | ||||||||
Sierra Wireless * | 68,897 | 854,323 | ||||||
CHINA— 3.4% | ||||||||
Information Technology — 3.4% | ||||||||
Xiaomi, Cl B * | 2,594,870 | 7,868,163 | ||||||
FRANCE— 3.5% | ||||||||
Industrials — 3.5% | ||||||||
Legrand | 41,108 | 3,436,482 | ||||||
Schneider Electric | 39,027 | 4,842,436 | ||||||
TOTAL FRANCE | 8,278,918 | |||||||
ITALY— 0.6% | ||||||||
Information Technology — 0.6% | ||||||||
Datalogic | 102,781 | 1,388,999 | ||||||
JAPAN— 1.2% | ||||||||
Information Technology — 1.2% | ||||||||
Nippon Ceramic | 46,390 | 1,097,577 | ||||||
Renesas Electronics * | 266,500 | 1,676,227 | ||||||
TOTAL JAPAN | 2,773,804 | |||||||
NETHERLANDS— 1.9% | ||||||||
Information Technology — 1.9% | ||||||||
NXP Semiconductors | 35,926 | 4,518,054 | ||||||
NORWAY— 1.4% | ||||||||
Information Technology — 1.4% | ||||||||
Nordic Semiconductor * | 308,720 | 3,192,858 | ||||||
SWEDEN— 0.2% | ||||||||
Information Technology — 0.2% | ||||||||
Fingerprint Cards, Cl B * (A) | 339,066 | 525,211 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Internet of Things ETF |
Shares | Value | |||||||
COMMON STOCK — continued | ||||||||
SWITZERLAND— 9.7% | ||||||||
Consumer Discretionary — 0.1% | ||||||||
Garrett Motion * | 116,103 | $ | 319,283 | |||||
Industrials — 2.1% | ||||||||
ABB | 192,774 | 4,917,562 | ||||||
Information Technology — 7.5% | ||||||||
Landis+Gyr Group * | 50,181 | 3,045,579 | ||||||
STMicroelectronics | 476,521 | 14,366,980 | ||||||
17,412,559 | ||||||||
TOTAL SWITZERLAND | 22,649,404 | |||||||
TAIWAN— 8.6% | ||||||||
Information Technology — 8.6% | ||||||||
Advantech | 1,330,721 | 13,764,594 | ||||||
eMemory Technology | 129,662 | 2,293,495 | ||||||
MediaTek | 217,800 | 4,127,151 | ||||||
TOTAL TAIWAN | 20,185,240 | |||||||
UNITED KINGDOM— 0.3% | ||||||||
Information Technology — 0.3% | ||||||||
Spirent Communications | 211,133 | 824,065 | ||||||
UNITED STATES— 63.7% | ||||||||
Consumer Discretionary — 8.1% | ||||||||
Garmin | 130,110 | 13,480,697 | ||||||
Vivint Smart Home * (A) | 305,588 | 5,424,187 | ||||||
18,904,884 | ||||||||
Health Care — 5.7% | ||||||||
DexCom * | 31,224 | 13,283,002 | ||||||
Industrials — 19.3% | ||||||||
ADT | 1,313,077 | 13,984,270 | ||||||
Emerson Electric | 68,445 | 4,754,874 | ||||||
Honeywell International | 29,010 | 4,802,606 | ||||||
Johnson Controls International | 120,379 | 4,903,037 | ||||||
Resideo Technologies * | 53,517 | 714,987 | ||||||
Rockwell Automation | 19,970 | 4,603,684 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Internet of Things ETF |
Shares | Value | |||||||
COMMON STOCK — continued | ||||||||
Industrials — continued | ||||||||
Sensata Technologies Holding * | 271,613 | $ | 11,309,965 | |||||
45,073,423 | ||||||||
Information Technology — 30.6% | ||||||||
Alarm.com Holdings * | 83,756 | 5,014,471 | ||||||
Ambarella * | 58,937 | 3,105,980 | ||||||
Analog Devices | 34,903 | 4,079,463 | ||||||
Badger Meter | 49,976 | 3,083,019 | ||||||
Belden | 76,374 | 2,572,276 | ||||||
Cisco Systems | 93,118 | 3,931,441 | ||||||
Digi International * | 58,017 | 790,192 | ||||||
Fitbit, Cl A * | 407,808 | 2,593,659 | ||||||
Impinj * | 38,779 | 948,147 | ||||||
InterDigital | 53,140 | 3,249,511 | ||||||
International Business Machines | 34,730 | 4,282,556 | ||||||
Itron * | 69,044 | 4,112,952 | ||||||
NETGEAR * | 50,578 | 1,686,776 | ||||||
PTC * | 17,553 | 1,604,520 | ||||||
QUALCOMM | 47,561 | 5,664,515 | ||||||
Rambus * | 194,404 | 2,610,846 | ||||||
Silicon Laboratories * | 75,073 | 7,688,226 | ||||||
Skyworks Solutions | 99,440 | 14,403,884 | ||||||
71,422,434 | ||||||||
TOTAL UNITED STATES | 148,683,743 | |||||||
TOTAL COMMON STOCK | ||||||||
(Cost $201,663,393) | 233,332,790 | |||||||
SHORT-TERM INVESTMENT(B)(C) — 1.2% | ||||||||
Fidelity Investments Money Market Government Portfolio, Cl Institutional, 0.010% | ||||||||
(Cost $2,837,661) | 2,837,661 | 2,837,661 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Internet of Things ETF |
Face Amount | Value | |||||||
REPURCHASE AGREEMENT(B) — 0.2% | ||||||||
BNP Paribas | ||||||||
0.050%, dated 08/31/20, to be repurchased on 09/01/20, repurchased price $317,887 (collateralized by U.S. Treasury Obligations, with a par value of $324,450, 1.500%, 08/15/2026, with a total market value of $324,450) | ||||||||
(Cost $317,887) | $ | 317,887 | $ | 317,887 | ||||
TOTAL INVESTMENTS — 101.3% | ||||||||
(Cost $204,818,941) | $ | 236,488,338 |
Percentages are based on Net Assets of $233,522,374.
* | Non-income producing security. |
(A) | This security or a partial position of this security is on loan at August 31, 2020. The total value of securities on loan at August 31, 2020 was $3,153,362. |
(B) | Security was purchased with cash collateral held from securities on loan. The total value of such securities as of August 31, 2020, was $3,155,548. |
(C) | The rate reported on the Schedule of Investments is the 7-day effective yield as of August 31, 2020. |
Cl — Class
The following is a summary of the level of inputs used as of August 31, 2020, in valuing the Fund's investments carried at value:
Investments in Securities | Level 1 | Level 2 | Level 3 | Total | ||||||||||||
Common Stock | $ | 232,508,725 | $ | 824,065 | $ | — | $ | 233,332,790 | ||||||||
Short-Term Investment | 2,837,661 | — | — | 2,837,661 | ||||||||||||
Repurchase Agreement | — | 317,887 | — | 317,887 | ||||||||||||
Total Investments in Securities | $ | 235,346,386 | $ | 1,141,952 | $ | — | $ | 236,488,338 |
For the period ended August 31, 2020, there have been no transfers in or out of Level 3.
For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent annual or semi-annual financial statement.
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X FinTech ETF |
Shares | Value | |||||||
COMMON STOCK — 100.0% | ||||||||
AUSTRALIA— 9.0% | ||||||||
Financials — 1.8% | ||||||||
HUB24 (A) | 243,317 | $ | 2,911,519 | |||||
Zip * (A) | 1,485,532 | 10,063,434 | ||||||
12,974,953 | ||||||||
Information Technology — 7.2% | ||||||||
Afterpay * | 698,018 | 47,203,211 | ||||||
IRESS (A) | 724,255 | 5,741,892 | ||||||
52,945,103 | ||||||||
TOTAL AUSTRALIA | 65,920,056 | |||||||
BRAZIL— 8.7% | ||||||||
Information Technology — 8.7% | ||||||||
Pagseguro Digital, Cl A * | 687,678 | 28,978,751 | ||||||
StoneCo, Cl A * | 685,950 | 34,983,450 | ||||||
TOTAL BRAZIL | 63,962,201 | |||||||
DENMARK— 2.7% | ||||||||
Information Technology — 2.7% | ||||||||
SimCorp | 154,548 | 19,688,908 | ||||||
GERMANY— 2.0% | ||||||||
Financials — 2.0% | ||||||||
Hypoport * | 24,752 | 14,889,801 | ||||||
ISRAEL— 0.9% | ||||||||
Information Technology — 0.9% | ||||||||
Sapiens International (A) | 191,012 | 6,406,542 | ||||||
ITALY— 4.0% | ||||||||
Information Technology — 4.0% | ||||||||
Nexi * | 1,640,697 | 29,265,925 | ||||||
JAPAN— 0.6% | ||||||||
Industrials — 0.6% | ||||||||
Makuake * | 43,640 | 4,320,996 | ||||||
NETHERLANDS— 5.9% | ||||||||
Information Technology — 5.9% | ||||||||
Adyen * | 25,745 | 43,505,651 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X FinTech ETF |
Shares | Value | |||||||
COMMON STOCK — continued | ||||||||
NEW ZEALAND— 4.7% | ||||||||
Information Technology — 4.7% | ||||||||
Xero * (A) | 456,990 | $ | 34,124,615 | |||||
SWITZERLAND— 4.5% | ||||||||
Financials — 0.4% | ||||||||
Leonteq | 71,588 | 2,866,064 | ||||||
Information Technology — 4.1% | ||||||||
Temenos | 185,461 | 30,029,667 | ||||||
TOTAL SWITZERLAND | 32,895,731 | |||||||
UNITED STATES— 57.0% | ||||||||
Financials — 4.3% | ||||||||
Blucora * | 180,557 | 2,154,045 | ||||||
LendingClub * (A) | 367,466 | 1,958,594 | ||||||
LendingTree * (A) | 49,827 | 15,393,553 | ||||||
Virtu Financial, Cl A (A) | 459,221 | 11,861,679 | ||||||
31,367,871 | ||||||||
Health Care — 2.1% | ||||||||
HealthEquity * (A) | 272,400 | 15,657,552 | ||||||
Information Technology — 50.6% | ||||||||
Bill.com Holdings * | 296,071 | 29,305,108 | ||||||
Black Knight * | 383,297 | 32,235,278 | ||||||
Bottomline Technologies * | 167,328 | 7,969,833 | ||||||
Envestnet * | 204,135 | 16,941,164 | ||||||
Fidelity National Information Services | 267,657 | 40,376,058 | ||||||
Fiserv * | 367,159 | 36,561,693 | ||||||
GreenSky, Cl A * (A) | 359,689 | 1,564,647 | ||||||
Guidewire Software * | 256,706 | 28,830,651 | ||||||
Intuit (A) | 126,440 | 43,671,111 | ||||||
Mitek Systems * | 188,565 | 2,392,890 | ||||||
PayPal Holdings * | 218,454 | 44,595,200 | ||||||
Square, Cl A * | 356,866 | 56,941,538 | ||||||
SS&C Technologies Holdings | 471,995 | 30,075,521 | ||||||
371,460,692 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X FinTech ETF |
Shares/Face Amount | Value | |||||||
COMMON STOCK — continued | ||||||||
TOTAL UNITED STATES | $ | 418,486,115 | ||||||
TOTAL COMMON STOCK | ||||||||
(Cost $523,133,909) | 733,466,541 | |||||||
SHORT-TERM INVESTMENT(B)(C) — 4.7% | ||||||||
Fidelity Investments Money Market Government Portfolio, Cl Institutional, 0.010% | ||||||||
(Cost $34,250,775) | 34,250,775 | 34,250,775 | ||||||
REPURCHASE AGREEMENT(B) — 0.5% | ||||||||
BNP Paribas | ||||||||
0.050%, dated 08/31/20, to be repurchased on 09/01/20, repurchased price $3,836,920 (collateralized by U.S. Treasury Obligations, with a par value of $3,916,134, 1.500%, 08/15/2026, with a total market value of $3,916,134) | ||||||||
(Cost $3,836,915) | $ | 3,836,915 | 3,836,915 | |||||
TOTAL INVESTMENTS — 105.2% | ||||||||
(Cost $561,221,599) | $ | 771,554,231 |
Percentages are based on Net Assets of $733,575,923.
* | Non-income producing security. |
(A) | This security or a partial position of this security is on loan at August 31, 2020. The total value of securities on loan at August 31, 2020 was $36,790,939. |
(B) | Security was purchased with cash collateral held from securities on loan. The total value of such securities as of August 31, 2020, was $38,087,690. |
(C) | The rate reported on the Schedule of Investments is the 7-day effective yield as of August 31, 2020. |
Cl — Class
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X FinTech ETF |
The following is a summary of the level of inputs used as of August 31, 2020, in valuing the Fund's investments carried at value:
Investments in Securities | Level 1 | Level 2 | Level 3 | Total | ||||||||||||
Common Stock | $ | 733,466,541 | $ | — | $ | — | $ | 733,466,541 | ||||||||
Short-Term Investment | 34,250,775 | — | — | 34,250,775 | ||||||||||||
Repurchase Agreement | — | 3,836,915 | — | 3,836,915 | ||||||||||||
Total Investments in Securities | $ | 767,717,316 | $ | 3,836,915 | $ | — | $ | 771,554,231 |
For the period ended August 31, 2020, there have been no transfers in or out of Level 3.
For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent annual or semi-annual financial statements
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Video Games & Esports ETF |
Shares | Value | |||||||
COMMON STOCK — 99.8% | ||||||||
CHINA— 18.6% | ||||||||
Communication Services — 18.6% | ||||||||
Bilibili ADR * | 231,623 | $ | 10,944,187 | |||||
DouYu International Holdings ADR * | 525,058 | 8,789,471 | ||||||
HUYA ADR * | 103,768 | 2,980,217 | ||||||
JOYY ADR | 112,963 | 9,651,559 | ||||||
NetEase ADR | 28,308 | 13,791,941 | ||||||
TOTAL CHINA | 46,157,375 | |||||||
FRANCE— 4.1% | ||||||||
Communication Services — 4.1% | ||||||||
Ubisoft Entertainment * | 124,921 | 10,302,516 | ||||||
IRELAND— 1.3% | ||||||||
Information Technology — 1.3% | ||||||||
Keywords Studios | 110,650 | 3,256,460 | ||||||
JAPAN— 24.2% | ||||||||
Communication Services — 24.2% | ||||||||
Akatsuki | 18,266 | 698,464 | ||||||
Capcom | 219,160 | 10,622,683 | ||||||
DeNA * | 153,180 | 2,439,729 | ||||||
Gumi | 72,718 | 693,271 | ||||||
GungHo Online Entertainment * | 127,472 | 2,632,502 | ||||||
KLab * | 95,780 | 793,011 | ||||||
Konami Holdings * | 171,473 | 6,605,377 | ||||||
Nexon | 436,550 | 10,221,638 | ||||||
Nintendo | 29,121 | 15,581,362 | ||||||
Square Enix Holdings * | 148,860 | 9,812,168 | ||||||
TOTAL JAPAN | 60,100,205 | |||||||
SINGAPORE— 0.7% | ||||||||
Communication Services — 0.7% | ||||||||
IGG | 1,572,600 | 1,816,064 | ||||||
SOUTH KOREA— 9.6% | ||||||||
Communication Services — 9.6% | ||||||||
Com2uSCorp | 13,061 | 1,221,548 | ||||||
Gravity ADR * | 12,125 | 1,078,883 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Video Games & Esports ETF |
Shares | Value | |||||||
COMMON STOCK — continued | ||||||||
Communication Services — continued | ||||||||
JoyCity * | 39,626 | $ | 633,803 | |||||
NCSoft | 13,278 | 9,221,610 | ||||||
Neowiz * | 28,858 | 745,804 | ||||||
Netmarble * | 45,265 | 6,344,492 | ||||||
Nexon GT * | 60,304 | 936,618 | ||||||
Pearl Abyss * | 13,558 | 2,077,242 | ||||||
Webzen * | 33,856 | 981,850 | ||||||
Wemade | 19,943 | 601,866 | ||||||
TOTAL SOUTH KOREA | 23,843,716 | |||||||
SWEDEN— 6.8% | ||||||||
Communication Services — 6.8% | ||||||||
Embracer Group, Cl B * | 533,949 | 10,524,273 | ||||||
Stillfront Group * | 60,072 | 6,484,331 | ||||||
TOTAL SWEDEN | 17,008,604 | |||||||
TAIWAN— 7.7% | ||||||||
Communication Services — 7.7% | ||||||||
Chinese Gamer International * | 211,400 | 367,445 | ||||||
Gamania Digital Entertainment | 257,400 | 593,902 | ||||||
Sea ADR * | 118,696 | 18,137,936 | ||||||
TOTAL TAIWAN | 19,099,283 | |||||||
UNITED STATES— 26.8% | ||||||||
Communication Services — 19.7% | ||||||||
Activision Blizzard | 164,600 | 13,747,392 | ||||||
Electronic Arts * | 93,584 | 13,052,160 | ||||||
Glu Mobile * | 228,173 | 1,811,694 | ||||||
Take-Two Interactive Software * | 64,444 | 11,032,168 | ||||||
Zynga, Cl A * | 1,027,009 | 9,304,702 | ||||||
48,948,116 | ||||||||
Consumer Discretionary — 0.3% | ||||||||
Turtle Beach * | 37,474 | 733,366 | ||||||
Information Technology — 6.8% | ||||||||
NVIDIA | 31,710 | 16,964,216 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Video Games & Esports ETF |
Value | ||||||||
COMMON STOCK — continued | ||||||||
TOTAL UNITED STATES | $ | 66,645,698 | ||||||
TOTAL COMMON STOCK | ||||||||
(Cost $199,749,321) | 248,229,921 | |||||||
TOTAL INVESTMENTS — 99.8% | ||||||||
(Cost $199,749,321) | $ | 248,229,921 |
Percentages are based on Net Assets of $248,817,851.
* | Non-income producing security. |
ADR — American Depositary Receipt |
Cl — Class |
The following is a summary of the level of inputs used as of August 31, 2020, in valuing the Fund's investments carried at value:
Investments in Securities | Level 1 | Level 2 | Level 3 | Total | ||||||||||||
Common Stock | $ | 244,973,461 | $ | 3,256,460 | $ | — | $ | 248,229,921 | ||||||||
Total Investments in Securities | $ | 244,973,461 | $ | 3,256,460 | $ | — | $ | 248,229,921 |
For the period ended August 31, 2020, there have been no transfers in or out of Level 3.
For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent annual or semi-annual financial statements.
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Autonomous & Electric Vehicles ETF |
Shares | Value | |||||||
COMMON STOCK — 98.6% | ||||||||
AUSTRALIA— 1.8% | ||||||||
Materials — 1.8% | ||||||||
Orocobre * (A) | 175,482 | $ | 337,423 | |||||
Pilbara Minerals * (A) | 1,591,599 | 406,089 | ||||||
TOTAL AUSTRALIA | 743,512 | |||||||
BELGIUM— 0.9% | ||||||||
Materials — 0.9% | ||||||||
Umicore | 8,045 | 370,326 | ||||||
CANADA— 1.6% | ||||||||
Industrials — 0.7% | ||||||||
Ballard Power Systems * (A) | 17,188 | 285,321 | ||||||
Information Technology — 0.9% | ||||||||
BlackBerry * | 74,215 | 387,402 | ||||||
TOTAL CANADA | 672,723 | |||||||
CHILE— 1.8% | ||||||||
Materials — 1.8% | ||||||||
Lundin Mining | 57,722 | 361,939 | ||||||
Sociedad Quimica y Minera de Chile ADR | 12,092 | 379,205 | ||||||
TOTAL CHILE | 741,144 | |||||||
CHINA— 5.2% | ||||||||
Communication Services — 1.3% | ||||||||
Baidu ADR * | 4,404 | 548,606 | ||||||
Consumer Discretionary — 3.2% | ||||||||
BYD, Cl H | 37,745 | 375,008 | ||||||
Geely Automobile Holdings | 182,300 | 385,292 | ||||||
NIO ADR * | 30,357 | 577,694 | ||||||
1,337,994 | ||||||||
Materials — 0.7% | ||||||||
Ganfeng Lithium, Cl H (A) | 57,424 | 290,819 | ||||||
TOTAL CHINA | 2,177,419 | |||||||
FRANCE— 0.9% | ||||||||
Consumer Discretionary — 0.9% | ||||||||
Renault * | 13,535 | 385,900 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Autonomous & Electric Vehicles ETF |
Shares | Value | |||||||
COMMON STOCK — continued | ||||||||
GERMANY— 2.7% | ||||||||
Consumer Discretionary — 2.7% | ||||||||
Continental | 4,064 | $ | 443,261 | |||||
Daimler | 13,371 | 681,934 | ||||||
TOTAL GERMANY | 1,125,195 | |||||||
JAPAN— 8.1% | ||||||||
Consumer Discretionary — 7.3% | ||||||||
Denso | 10,992 | 461,986 | ||||||
Honda Motor | 21,786 | 560,649 | ||||||
Nissan Motor * | 99,104 | 403,257 | ||||||
Panasonic | 48,200 | 444,479 | ||||||
Toyota Motor | 17,330 | 1,144,929 | ||||||
3,015,300 | ||||||||
Industrials — 0.8% | ||||||||
GS Yuasa | 19,550 | 323,913 | ||||||
TOTAL JAPAN | 3,339,213 | |||||||
LUXEMBOURG— 0.8% | ||||||||
Materials — 0.8% | ||||||||
APERAM | 11,840 | 350,743 | ||||||
NETHERLANDS— 2.1% | ||||||||
Consumer Discretionary — 0.7% | ||||||||
TomTom * | 36,959 | 297,251 | ||||||
Information Technology — 1.4% | ||||||||
NXP Semiconductors | 4,506 | 566,674 | ||||||
TOTAL NETHERLANDS | 863,925 | |||||||
RUSSIA— 1.3% | ||||||||
Communication Services — 1.3% | ||||||||
Yandex, Cl A * | 7,903 | 539,222 | ||||||
SOUTH KOREA— 4.6% | ||||||||
Consumer Discretionary — 2.8% | ||||||||
Hyundai Motor | 4,571 | 679,166 | ||||||
Kia Motors | 12,956 | 462,987 | ||||||
1,142,153 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Autonomous & Electric Vehicles ETF |
Shares | Value | |||||||
COMMON STOCK — continued | ||||||||
Information Technology — 1.8% | ||||||||
Samsung Electronics | 16,686 | $ | 758,519 | |||||
TOTAL SOUTH KOREA | 1,900,672 | |||||||
SWEDEN— 2.0% | ||||||||
Consumer Discretionary — 2.0% | ||||||||
Autoliv * | 5,469 | 428,442 | ||||||
Veoneer * | 29,922 | 415,317 | ||||||
TOTAL SWEDEN | 843,759 | |||||||
UNITED KINGDOM— 2.0% | ||||||||
Consumer Discretionary — 1.0% | ||||||||
Fiat Chrysler Automobiles * | 39,019 | 430,760 | ||||||
Materials — 1.0% | ||||||||
Johnson Matthey | 12,530 | 398,457 | ||||||
TOTAL UNITED KINGDOM | 829,217 | |||||||
UNITED STATES— 62.8% | ||||||||
Communication Services — 3.0% | ||||||||
Alphabet, Cl A * | 755 | 1,230,295 | ||||||
Consumer Discretionary — 14.6% | ||||||||
American Axle & Manufacturing Holdings * | 45,463 | 353,702 | ||||||
Aptiv * | 5,784 | 498,118 | ||||||
BorgWarner | 10,184 | 413,368 | ||||||
Dana * | 26,408 | 368,392 | ||||||
Ford Motor * | 74,302 | 506,740 | ||||||
General Motors * | 20,866 | 618,260 | ||||||
Gentherm * | 8,528 | 385,721 | ||||||
Harley-Davidson | 12,513 | 346,735 | ||||||
Lear * | 3,333 | 379,729 | ||||||
Tesla * | 3,685 | 1,836,309 | ||||||
Visteon * | 4,835 | 364,704 | ||||||
6,071,778 | ||||||||
Industrials — 10.6% | ||||||||
Bloom Energy, Cl A * | 19,413 | 304,008 | ||||||
EnerSys | 5,204 | 374,584 | ||||||
General Electric | 102,238 | 648,189 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Autonomous & Electric Vehicles ETF |
Shares | Value | |||||||
COMMON STOCK — continued | ||||||||
Industrials — continued | ||||||||
Honeywell International | 5,031 | $ | 832,882 | |||||
Hyster-Yale Materials Handling | 8,707 | 351,240 | ||||||
ITT | 6,061 | 380,692 | ||||||
Johnson Controls International | 13,874 | 565,088 | ||||||
Plug Power * | 38,882 | 504,688 | ||||||
Westinghouse Air Brake Technologies | 6,549 | 435,836 | ||||||
4,397,207 | ||||||||
Information Technology — 29.2% | ||||||||
Advanced Micro Devices * | 13,196 | 1,198,461 | ||||||
Ambarella * | 7,347 | 387,187 | ||||||
Apple | 11,724 | 1,512,865 | ||||||
CEVA * | 8,860 | 374,335 | ||||||
Cisco Systems | 24,694 | 1,042,580 | ||||||
II-VI * | 7,932 | 352,974 | ||||||
Intel | 19,423 | 989,602 | ||||||
Maxim Integrated Products * | 6,415 | 439,042 | ||||||
Micron Technology * | 13,672 | 622,213 | ||||||
Microsoft | 5,504 | 1,241,317 | ||||||
NVIDIA | 2,798 | 1,496,874 | ||||||
ON Semiconductor * | 18,040 | 385,515 | ||||||
QUALCOMM | 10,832 | 1,290,091 | ||||||
Rogers * | 2,764 | 313,189 | ||||||
Xilinx | 4,899 | 510,280 | ||||||
12,156,525 | ||||||||
Materials — 5.4% | ||||||||
Albemarle | 4,526 | 411,911 | ||||||
Allegheny Technologies * | 31,599 | 263,220 | ||||||
Cabot | 8,856 | 327,760 | ||||||
Carpenter Technology | 14,074 | 295,976 | ||||||
Freeport-McMoRan Copper & Gold * | 33,837 | 528,196 | ||||||
Livent * | 51,543 | 437,085 | ||||||
2,264,148 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Autonomous & Electric Vehicles ETF |
Shares/Face Amount | Value | |||||||
COMMON STOCK — continued | ||||||||
TOTAL UNITED STATES | $ | 26,119,953 | ||||||
TOTAL COMMON STOCK | ||||||||
(Cost $38,076,631) | 41,002,923 | |||||||
PREFERRED STOCK — 1.3% | ||||||||
GERMANY— 1.3% | ||||||||
Consumer Discretionary — 1.3% | ||||||||
Volkswagen (B) | ||||||||
(Cost $589,856) | 3,239 | 539,756 | ||||||
SHORT-TERM INVESTMENT(C)(D) — 2.0% | ||||||||
Fidelity Investments Money Market Government Portfolio, Cl Institutional, 0.010% | ||||||||
(Cost $827,299) | 827,299 | 827,299 | ||||||
REPURCHASE AGREEMENT(C) — 0.2% | ||||||||
BNP Paribas | ||||||||
0.050%, dated 08/31/20, to be repurchased on 09/01/20, repurchased price $92,678 (collateralized by U.S. Treasury Obligations, with a par value of $94,591, 1.500%, 08/15/2026, with a total market value of $94,591) | ||||||||
(Cost $92,678) | $ | 92,678 | 92,678 | |||||
TOTAL INVESTMENTS — 102.1% | ||||||||
(Cost $39,586,464) | $ | 42,462,656 |
Percentages are based on Net Assets of $41,594,148.
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Autonomous & Electric Vehicles ETF |
* | Non-income producing security. |
(A) | This security or a partial position of this security is on loan at August 31, 2020. The total value of securities on loan at August 31, 2020 was $885,371. |
(B) | There is currently no stated interest rate. |
(C) | Security was purchased with cash collateral held from securities on loan. The total value of such securities as of August 31, 2020, was $919,977. |
(D) |
The rate reported on the Schedule of Investments is the 7-day effective yield as of August 31, 2020.
|
ADR — American Depositary Receipt |
Cl — Class |
The following is a summary of the level of inputs used as of August 31, 2020, in valuing the Fund's investments carried at value:
Investments in Securities | Level 1 | Level 2 | Level 3 | Total | ||||||||||||
Common Stock | $ | 40,604,466 | $ | 398,457 | $ | — | $ | 41,002,923 | ||||||||
Preferred Stock | 539,756 | — | — | 539,756 | ||||||||||||
Short-Term Investment | 827,299 | — | — | 827,299 | ||||||||||||
Repurchase Agreement | — | 92,678 | — | 92,678 | ||||||||||||
Total Investments in Securities | $ | 41,971,521 | $ | 491,135 | $ | — | $ | 42,462,656 |
For the period ended August 31, 2020, there have been no transfers in or out of Level 3.
For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent annual or semi-annual financial statement.
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Cloud Computing ETF |
Shares | Value | |||||||
COMMON STOCK — 100.1% | ||||||||
CANADA— 4.7% | ||||||||
Information Technology — 4.7% | ||||||||
Shopify, Cl A * | 50,931 | $ | 54,313,837 | |||||
CHINA— 3.3% | ||||||||
Consumer Discretionary — 1.5% | ||||||||
Alibaba Group Holding ADR * | 60,945 | 17,493,043 | ||||||
Information Technology — 1.8% | ||||||||
21Vianet Group ADR * | 706,487 | 16,397,563 | ||||||
Kingsoft | 675,400 | 3,616,588 | ||||||
20,014,151 | ||||||||
TOTAL CHINA | 37,507,194 | |||||||
NEW ZEALAND— 4.0% | ||||||||
Information Technology — 4.0% | ||||||||
Xero * | 619,952 | 46,293,405 | ||||||
UNITED STATES— 88.1% | ||||||||
Communication Services — 4.5% | ||||||||
Alphabet, Cl A * | 6,717 | 10,945,553 | ||||||
Netflix * | 76,938 | 40,743,287 | ||||||
51,688,840 | ||||||||
Consumer Discretionary — 2.0% | ||||||||
Amazon.com * | 6,538 | 22,562,377 | ||||||
Information Technology — 76.7% | ||||||||
2U * | 534,082 | 22,105,654 | ||||||
Akamai Technologies * | 330,470 | 38,476,622 | ||||||
Anaplan * | 789,991 | 48,386,949 | ||||||
Benefitfocus * | 267,791 | 2,768,959 | ||||||
Box, Cl A * | 1,265,627 | 24,844,258 | ||||||
Cornerstone OnDemand * | 535,326 | 18,880,948 | ||||||
Coupa Software * | 183,267 | 60,063,926 | ||||||
Dropbox, Cl A * | 1,534,950 | 32,494,892 | ||||||
Everbridge * | 288,503 | 42,874,431 | ||||||
International Business Machines | 19,839 | 2,446,347 | ||||||
Microsoft | 90,043 | 20,307,398 | ||||||
Mimecast * | 524,987 | 25,850,360 | ||||||
Paycom Software * | 123,791 | 37,070,453 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Cloud Computing ETF |
Shares | Value | |||||||
COMMON STOCK — continued | ||||||||
Information Technology — continued | ||||||||
Paylocity Holding * | 281,834 | $ | 41,500,057 | |||||
Proofpoint * | 265,077 | 29,070,995 | ||||||
Qualys * | 306,178 | 32,497,733 | ||||||
RealPage * | 500,579 | 31,346,257 | ||||||
salesforce.com * | 199,253 | 54,326,330 | ||||||
SPS Commerce * | 293,942 | 23,480,087 | ||||||
Twilio, Cl A * | 287,503 | 77,556,809 | ||||||
Workday, Cl A * | 209,643 | 50,253,524 | ||||||
Workiva, Cl A * | 322,674 | 19,037,766 | ||||||
Zoom Video Communications, Cl A * | 238,745 | 77,615,999 | ||||||
Zscaler * | 481,134 | 68,965,747 | ||||||
882,222,501 | ||||||||
Real Estate — 4.9% | ||||||||
CoreSite Realty ‡ | 46,617 | 5,708,252 | ||||||
CyrusOne ‡ | 141,453 | 11,815,569 | ||||||
Digital Realty Trust ‡ | 215,971 | 33,615,886 | ||||||
QTS Realty Trust, Cl A ‡ | 73,987 | 5,017,798 | ||||||
56,157,505 | ||||||||
TOTAL UNITED STATES | 1,012,631,223 | |||||||
TOTAL COMMON STOCK | ||||||||
(Cost $879,058,456) | 1,150,745,659 | |||||||
TOTAL INVESTMENTS — 100.1% | ||||||||
(Cost $879,058,456) | $ | 1,150,745,659 |
Percentages are based on Net Assets of $1,149,742,712.
* | Non-income producing security. |
‡ | Real Estate Investment Trust |
ADR — American Depositary Receipt
Cl — Class
As of August 31, 2020, all of the Fund's investments were considered Level 1, in accordance with authoritative guidance on fair value measurements and disclosure under U.S. GAAP.
For the period ended August 31, 2020, there have been no transfers in or out of Level 3.
For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent annual or semi-annual financial statements.
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Cybersecurity ETF |
Shares | Value | |||||||
COMMON STOCK — 100.0% | ||||||||
ISRAEL— 7.3% | ||||||||
Information Technology — 7.3% | ||||||||
Check Point Software Technologies * | 16,652 | $ | 2,102,482 | |||||
RADWARE * | 23,966 | 621,199 | ||||||
Tufin Software Technologies * | 18,313 | 185,144 | ||||||
TOTAL ISRAEL | 2,908,825 | |||||||
JAPAN— 5.4% | ||||||||
Information Technology — 5.4% | ||||||||
Digital Arts | 7,290 | 563,704 | ||||||
Trend Micro | 25,850 | 1,599,095 | ||||||
TOTAL JAPAN | 2,162,799 | |||||||
SOUTH KOREA— 0.7% | ||||||||
Information Technology — 0.7% | ||||||||
Ahnlab | 5,224 | 282,331 | ||||||
UNITED KINGDOM— 4.1% | ||||||||
Information Technology — 4.1% | ||||||||
Avast | 228,150 | 1,637,389 | ||||||
UNITED STATES— 82.5% | ||||||||
Information Technology — 82.5% | ||||||||
A10 Networks * | 40,795 | 348,797 | ||||||
Crowdstrike Holdings, Cl A * | 19,521 | 2,454,374 | ||||||
CyberArk Software * | 13,415 | 1,482,358 | ||||||
FireEye * | 114,721 | 1,684,104 | ||||||
Fortinet * | 16,344 | 2,157,490 | ||||||
Mimecast * | 32,276 | 1,589,270 | ||||||
MobileIron * | 59,670 | 389,645 | ||||||
NortonLifeLock | 82,782 | 1,947,033 | ||||||
Okta, Cl A * | 11,643 | 2,507,553 | ||||||
OneSpan * | 20,844 | 449,188 | ||||||
Palo Alto Networks * | 8,960 | 2,306,394 | ||||||
Ping Identity Holding * | 41,165 | 1,418,958 | ||||||
Proofpoint * | 10,879 | 1,193,100 | ||||||
Qualys * | 12,521 | 1,328,979 | ||||||
Rapid7 * | 26,026 | 1,680,499 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Cybersecurity ETF |
Shares | Value | |||||||
COMMON STOCK — continued | ||||||||
Information Technology — continued | ||||||||
Sailpoint Technologies Holdings * | 46,675 | $ | 1,831,060 | |||||
Tenable Holdings * | 50,671 | 1,907,256 | ||||||
Varonis Systems * | 16,252 | 2,007,610 | ||||||
VirnetX Holding | 36,570 | 181,753 | ||||||
Zix * | 29,570 | 179,194 | ||||||
Zscaler * | 26,264 | 3,764,681 | ||||||
TOTAL UNITED STATES | 32,809,296 | |||||||
TOTAL COMMON STOCK | ||||||||
(Cost $34,144,491) | 39,800,640 | |||||||
TOTAL INVESTMENTS — 100.0% | ||||||||
(Cost $34,144,491) | $ | 39,800,640 |
Percentages are based on Net Assets of $39,781,683.
* | Non-income producing security. |
Cl — Class |
The following is a summary of the level of inputs used as of August 31, 2020, in valuing the Fund's investments carried at value: | ||||||||||||||||
Investments in Securities | Level 1 | Level 2 | Level 3 | Total | ||||||||||||
Common Stock | $ | 38,163,251 | $ | 1,637,389 | $ | — | $ | 39,800,640 | ||||||||
Total Investments in Securities | $ | 38,163,251 | $ | 1,637,389 | $ | — | $ | 39,800,640 |
For the period ended August 31, 2020, there have been no transfers in or out of Level 3.
For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent annual or semi-annual financial statements.
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Artificial Intellegence & Technology ETF |
Shares | Value | |||||||
COMMON STOCK — 99.8% | ||||||||
BRAZIL— 0.3% | ||||||||
Information Technology — 0.3% | ||||||||
StoneCo, Cl A * | 5,810 | $ | 296,310 | |||||
CANADA— 5.0% | ||||||||
Industrials — 1.2% | ||||||||
Thomson Reuters | 13,957 | 1,065,896 | ||||||
Information Technology — 3.8% | ||||||||
BlackBerry * | 52,673 | 274,953 | ||||||
Open Text | 7,620 | 345,983 | ||||||
Shopify, Cl A * | 2,713 | 2,893,197 | ||||||
3,514,133 | ||||||||
TOTAL CANADA | 4,580,029 | |||||||
CHINA— 10.5% | ||||||||
Communication Services — 3.9% | ||||||||
Baidu ADR * | 7,675 | 956,075 | ||||||
Tencent Holdings | 35,051 | 2,399,251 | ||||||
Tencent Music Entertainment Group ADR * | 18,829 | 294,297 | ||||||
3,649,623 | ||||||||
Consumer Discretionary — 6.6% | ||||||||
Alibaba Group Holding ADR * | 9,999 | 2,870,013 | ||||||
Meituan Dianping, Cl B * | 98,091 | 3,235,042 | ||||||
6,105,055 | ||||||||
TOTAL CHINA | 9,754,678 | |||||||
GERMANY— 4.2% | ||||||||
Industrials — 2.8% | ||||||||
Siemens | 18,905 | 2,614,993 | ||||||
Information Technology — 1.4% | ||||||||
Infineon Technologies | 36,929 | 1,022,861 | ||||||
Software | 5,315 | 265,572 | ||||||
1,288,433 | ||||||||
TOTAL GERMANY | 3,903,426 | |||||||
ISRAEL— 0.5% | ||||||||
Information Technology — 0.5% | ||||||||
Wix.com * | 1,450 | 427,214 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Artificial Intellegence & Technology ETF |
Shares | Value | |||||||
COMMON STOCK — continued | ||||||||
JAPAN— 0.4% | ||||||||
Industrials — 0.4% | ||||||||
Toshiba | 12,810 | $ | 369,037 | |||||
NEW ZEALAND— 0.3% | ||||||||
Information Technology — 0.3% | ||||||||
Xero * | 4,072 | 304,067 | ||||||
SOUTH KOREA— 3.6% | ||||||||
Information Technology — 3.6% | ||||||||
Samsung Electronics | 55,746 | 2,534,122 | ||||||
SK Hynix | 12,121 | 766,299 | ||||||
TOTAL SOUTH KOREA | 3,300,421 | |||||||
SWEDEN— 0.8% | ||||||||
Information Technology — 0.8% | ||||||||
Hexagon, Cl B * | 9,913 | 719,947 | ||||||
SWITZERLAND— 0.8% | ||||||||
Information Technology — 0.8% | ||||||||
STMicroelectronics | 25,557 | 768,397 | ||||||
TAIWAN— 0.7% | ||||||||
Information Technology — 0.7% | ||||||||
Macronix International | 225,000 | 231,583 | ||||||
Phison Electronics | 22,590 | 213,262 | ||||||
Winbond Electronics | 535,600 | 221,786 | ||||||
TOTAL TAIWAN | 666,631 | |||||||
UNITED KINGDOM— 1.3% | ||||||||
Industrials — 1.0% | ||||||||
Experian | 25,860 | 966,049 | ||||||
Information Technology — 0.3% | ||||||||
Computacenter | 9,933 | 268,657 | ||||||
TOTAL UNITED KINGDOM | 1,234,706 | |||||||
UNITED STATES— 71.4% | ||||||||
Communication Services — 11.4% | ||||||||
Alphabet, Cl A * | 1,661 | 2,706,649 | ||||||
Facebook, Cl A * | 10,827 | 3,174,476 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Artificial Intellegence & Technology ETF |
Shares | Value | |||||||
COMMON STOCK — continued | ||||||||
Communication Services — continued | ||||||||
Netflix * | 5,274 | $ | 2,792,900 | |||||
Snap, Cl A * | 34,077 | 769,800 | ||||||
Twitter * | 22,071 | 895,641 | ||||||
Yelp, Cl A * | 10,478 | 242,251 | ||||||
10,581,717 | ||||||||
Consumer Discretionary — 4.3% | ||||||||
Amazon.com * | 841 | 2,902,257 | ||||||
eBay | 19,773 | 1,083,165 | ||||||
3,985,422 | ||||||||
Industrials — 4.7% | ||||||||
Nielsen Holdings | 16,472 | 251,692 | ||||||
Northrop Grumman | 4,693 | 1,607,869 | ||||||
Uber Technologies * | 49,164 | 1,653,385 | ||||||
Verisk Analytics, Cl A | 4,559 | 851,029 | ||||||
4,363,975 | ||||||||
Information Technology — 51.0% | ||||||||
Adobe * | 5,812 | 2,983,823 | ||||||
Advanced Micro Devices * | 33,135 | 3,009,321 | ||||||
Ambarella * | 5,516 | 290,693 | ||||||
Anaplan * | 5,614 | 343,857 | ||||||
Cisco Systems | 52,886 | 2,232,847 | ||||||
Cloudera * | 21,637 | 285,825 | ||||||
Cornerstone OnDemand * | 6,859 | 241,917 | ||||||
Crowdstrike Holdings, Cl A * | 4,244 | 533,598 | ||||||
DXC Technology * | 14,243 | 284,575 | ||||||
Envestnet * | 3,245 | 269,303 | ||||||
Fair Isaac * | 821 | 345,469 | ||||||
FireEye * | 18,709 | 274,648 | ||||||
Fortinet * | 4,543 | 599,699 | ||||||
Genpact | 6,452 | 272,145 | ||||||
Hewlett Packard Enterprise | 36,083 | 348,923 | ||||||
HubSpot * | 1,257 | 376,698 | ||||||
Intel | 41,509 | 2,114,884 | ||||||
International Business Machines | 19,782 | 2,439,318 | ||||||
Juniper Networks | 9,911 | 247,775 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Artificial Intellegence & Technology ETF |
Shares | Value | |||||||
COMMON STOCK — continued | ||||||||
Information Technology — continued | ||||||||
Lattice Semiconductor * | 8,546 | $ | 244,416 | |||||
LivePerson * | 6,346 | 378,602 | ||||||
Microchip Technology | 7,153 | 784,684 | ||||||
Micron Technology * | 15,854 | 721,516 | ||||||
Microsoft | 12,435 | 2,804,466 | ||||||
NetApp | 6,219 | 294,718 | ||||||
NortonLifeLock | 16,589 | 390,173 | ||||||
Nuance Communications * | 9,407 | 281,834 | ||||||
NVIDIA | 6,215 | 3,324,901 | ||||||
Oracle | 45,170 | 2,584,627 | ||||||
Pegasystems | 2,401 | 308,456 | ||||||
PROS Holdings * | 6,266 | 244,374 | ||||||
PTC * | 3,360 | 307,138 | ||||||
Pure Storage, Cl A * | 13,872 | 211,687 | ||||||
QUALCOMM | 28,085 | 3,344,923 | ||||||
salesforce.com * | 13,357 | 3,641,786 | ||||||
Seagate Technology | 7,205 | 345,768 | ||||||
ServiceNow * | 5,825 | 2,807,767 | ||||||
Splunk * | 4,468 | 979,966 | ||||||
Synopsys * | 4,239 | 938,091 | ||||||
Teradata * | 12,188 | 296,778 | ||||||
Trade Desk, Cl A * | 1,174 | 565,046 | ||||||
Twilio, Cl A * | 3,650 | 984,624 | ||||||
Verint Systems * | 5,675 | 269,903 | ||||||
Workday, Cl A * | 4,924 | 1,180,332 | ||||||
Xilinx | 6,841 | 712,559 | ||||||
Zebra Technologies, Cl A * | 1,485 | 425,497 | ||||||
Zendesk * | 3,285 | 316,608 | ||||||
47,186,558 | ||||||||
TOTAL UNITED STATES | 66,117,672 | |||||||
TOTAL COMMON STOCK | ||||||||
(Cost $75,077,310) | 92,442,535 | |||||||
TOTAL INVESTMENTS — 99.8% | ||||||||
(Cost $75,077,310) | $ | 92,442,535 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Artificial Intellegence & Technology ETF |
Percentages are based on Net Assets of $92,584,564.
* |
Non-income producing security. |
ADR — American Depositary Receipt |
Cl — Class |
The following is a summary of the level of inputs used as of August 31, 2020, in valuing the Fund's investments carried at value: | ||||||||||||||||
Investments in Securities | Level 1 | Level 2 | Level 3 | Total | ||||||||||||
Common Stock | $ | 91,207,829 | $ | 1,234,706 | $ | — | $ | 92,442,535 | ||||||||
Total Investments in Securities | $ | 91,207,829 | $ | 1,234,706 | $ | — | $ | 92,442,535 |
For the period ended August 31, 2020, there have been no transfers in or out of Level 3.
For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent annual or semi-annual financial statements.
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Millennials Thematic ETF |
Shares | Value | |||||||
COMMON STOCK — 100.0% | ||||||||
UNITED STATES— 100.0% | ||||||||
Communication Services — 27.6% | ||||||||
Activision Blizzard | 31,784 | $ | 2,654,600 | |||||
Alphabet, Cl A * | 1,608 | 2,620,284 | ||||||
Cargurus, Cl A * | 10,094 | 246,092 | ||||||
Cars.com * | 43,234 | 375,271 | ||||||
Facebook, Cl A * | 11,137 | 3,265,369 | ||||||
IAC * | 5,351 | 711,629 | ||||||
iHeartMedia * | 29,570 | 272,635 | ||||||
Live Nation Entertainment * | 14,517 | 824,566 | ||||||
Match Group * | 16,444 | 1,836,466 | ||||||
Netflix * | 5,231 | 2,770,128 | ||||||
Snap, Cl A * | 78,902 | 1,782,396 | ||||||
Spotify Technology * | 12,586 | 3,551,267 | ||||||
TripAdvisor * | 11,084 | 259,033 | ||||||
Twitter * | 53,073 | 2,153,702 | ||||||
Walt Disney * | 19,204 | 2,532,431 | ||||||
Yelp, Cl A * | 8,909 | 205,976 | ||||||
Zillow Group, Cl A * | 4,988 | 425,377 | ||||||
Zynga, Cl A * | 64,671 | 585,919 | ||||||
27,073,141 | ||||||||
Consumer Discretionary — 41.6% | ||||||||
Amazon.com * | 951 | 3,281,864 | ||||||
AutoNation * | 6,399 | 363,847 | ||||||
Bed Bath & Beyond * (A) | 33,843 | 412,208 | ||||||
Booking Holdings * | 1,414 | 2,701,376 | ||||||
Bright Horizons Family Solutions * | 3,936 | 523,527 | ||||||
Capri Holdings * | 13,986 | 221,538 | ||||||
CarMax * | 11,041 | 1,180,614 | ||||||
Carter's * | 2,941 | 234,162 | ||||||
Carvana, Cl A * | 4,320 | 932,947 | ||||||
Chegg * | 8,426 | 621,334 | ||||||
Children's Place Retail Stores * | 8,506 | 169,822 | ||||||
Chipotle Mexican Grill, Cl A * | 1,882 | 2,465,947 | ||||||
Columbia Sportswear * | 4,555 | 389,771 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Millennials Thematic ETF |
Shares | Value | |||||||
COMMON STOCK — continued | ||||||||
Consumer Discretionary — continued | ||||||||
Designer Brands, Cl A * | 36,743 | $ | 259,038 | |||||
Dick's Sporting Goods | 7,589 | 410,717 | ||||||
eBay | 58,803 | 3,221,228 | ||||||
Etsy * | 7,980 | 955,206 | ||||||
Expedia Group * | 9,099 | 893,067 | ||||||
GoPro, Cl A * | 70,670 | 324,375 | ||||||
Graham Holdings, Cl B | 542 | 231,949 | ||||||
Groupon, Cl A * | 10,721 | 341,249 | ||||||
Grubhub * | 6,199 | 448,498 | ||||||
Home Depot | 9,963 | 2,839,854 | ||||||
K12 * | 8,306 | 309,066 | ||||||
L Brands * | 18,658 | 548,545 | ||||||
Laureate Education, Cl A * | 19,468 | 243,739 | ||||||
Lowe's | 20,571 | 3,387,838 | ||||||
Lululemon Athletica * | 8,413 | 3,160,512 | ||||||
NIKE, Cl B | 22,755 | 2,546,057 | ||||||
Peloton Interactive, Cl A * | 7,030 | 538,990 | ||||||
Planet Fitness, Cl A * | 5,395 | 327,962 | ||||||
Skechers USA, Cl A * | 9,068 | 270,680 | ||||||
Starbucks | 27,120 | 2,290,826 | ||||||
Strategic Education | 1,498 | 153,650 | ||||||
Under Armour, Cl A * | 19,791 | 194,150 | ||||||
VF | 26,751 | 1,758,878 | ||||||
Wayfair, Cl A * | 4,550 | 1,349,348 | ||||||
WW International * | 10,222 | 240,013 | ||||||
40,744,392 | ||||||||
Consumer Staples — 2.5% | ||||||||
Costco Wholesale | 6,344 | 2,205,555 | ||||||
Sprouts Farmers Market * | 10,266 | 239,711 | ||||||
2,445,266 | ||||||||
Financials — 1.1% | ||||||||
Blucora * | 15,019 | 179,177 | ||||||
LendingClub * | 23,994 | 127,888 | ||||||
LendingTree * | 1,038 | 320,679 | ||||||
Nelnet, Cl A | 4,257 | 278,791 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Millennials Thematic ETF |
Shares | Value | |||||||
COMMON STOCK — continued | ||||||||
Financials — continued | ||||||||
SLM | 28,481 | $ | 217,595 | |||||
1,124,130 | ||||||||
Industrials — 3.6% | ||||||||
Avis Budget Group * | 13,376 | 456,255 | ||||||
Lyft, Cl A * | 20,157 | 598,058 | ||||||
Uber Technologies * | 72,042 | 2,422,773 | ||||||
3,477,086 | ||||||||
Information Technology — 17.3% | ||||||||
2U * | 8,884 | 367,709 | ||||||
Apple | 29,184 | 3,765,903 | ||||||
Fiserv * | 19,725 | 1,964,216 | ||||||
Fitbit, Cl A * | 29,249 | 186,024 | ||||||
Intuit | 7,892 | 2,725,817 | ||||||
PayPal Holdings * | 18,475 | 3,771,487 | ||||||
Pluralsight, Cl A * | 16,769 | 320,959 | ||||||
Square, Cl A * | 24,045 | 3,836,620 | ||||||
16,938,735 | ||||||||
Real Estate — 6.3% | ||||||||
American Campus Communities ‡ | 9,297 | 315,168 | ||||||
AvalonBay Communities ‡ | 9,538 | 1,507,575 | ||||||
Camden Property Trust ‡ | 6,743 | 613,208 | ||||||
Equity Residential ‡ | 25,206 | 1,422,880 | ||||||
Independence Realty Trust ‡ | 22,709 | 265,922 | ||||||
Investors Real Estate Trust ‡ | 3,645 | 259,160 | ||||||
Invitation Homes ‡ | 36,701 | 1,050,750 | ||||||
UDR ‡ | 20,196 | 703,023 | ||||||
6,137,686 | ||||||||
TOTAL UNITED STATES | 97,940,436 | |||||||
TOTAL COMMON STOCK | ||||||||
(Cost $79,098,636) | 97,940,436 | |||||||
SHORT-TERM INVESTMENT(B)(C) — 0.3% | ||||||||
Fidelity Investments Money Market Government Portfolio, Cl Institutional, 0.010% | ||||||||
(Cost $276,536) | 276,536 | 276,536 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Millennials Thematic ETF |
Face | Value | |||||||
REPURCHASE AGREEMENT(B) — 0.0% | ||||||||
BNP Paribas | ||||||||
0.050%, dated 08/31/20, to be repurchased on 09/01/20, repurchased price $30,979 (collateralized by U.S. Treasury Obligations, with a par value of $31,618, 1.500%, 08/15/2026, with a total market value of $31,618) | ||||||||
(Cost $30,979) | $ | 30,979 | $ | 30,979 | ||||
TOTAL INVESTMENTS — 100.3% | ||||||||
(Cost $79,406,151) | $ | 98,247,951 |
Percentages are based on Net Assets of $97,991,510.
* | Non-income producing security. |
‡ | Real Estate Investment Trust |
(A) | This security or a partial position of this security is on loan at August 31, 2020. The total value of securities on loan at August 31, 2020 was $303,282. |
(B) | Security was purchased with cash collateral held from securities on loan. The total value of such securities as of August 31, 2020, was $307,515. |
(C) | The rate reported on the Schedule of Investments is the 7-day effective yield as of August 31, 2020. |
Cl — Class |
The following is a summary of the level of inputs used as of August 31, 2020, in valuing the Fund's investments carried at value:
Investments in Securities | Level 1 | Level 2 | Level 3 | Total | ||||||||||||
Common Stock | $ | 97,940,436 | $ | — | $ | — | $ | 97,940,436 | ||||||||
Short-Term Investment | 276,536 | — | — | 276,536 | ||||||||||||
Repurchase Agreement | — | 30,979 | — | 30,979 | ||||||||||||
Total Investments in Securities | $ | 98,216,972 | $ | 30,979 | $ | — | $ | 98,247,951 |
For the period ended August 31, 2020, there have been no transfers in or out of Level 3.
For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent annual or semi-annual financial statements.
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Education ETF |
Shares | Value | |||||||
COMMON STOCK — 100.0% | ||||||||
AUSTRALIA— 3.0% | ||||||||
Consumer Discretionary — 3.0% | ||||||||
G8 Education * | 21,824 | $ | 16,624 | |||||
IDP Education | 11,888 | 176,451 | ||||||
TOTAL AUSTRALIA | 193,075 | |||||||
BRAZIL— 2.6% | ||||||||
Consumer Discretionary — 2.6% | ||||||||
Arco Platform, Cl A * | 1,600 | 72,384 | ||||||
YDUQS Participacoes | 19,600 | 96,287 | ||||||
TOTAL BRAZIL | 168,671 | |||||||
CHINA— 39.1% | ||||||||
Consumer Discretionary — 39.1% | ||||||||
China East Education Holdings | 129,600 | 286,285 | ||||||
GSX Techedu ADR * | 8,224 | 702,330 | ||||||
Koolearn Technology Holding * | 43,200 | 206,798 | ||||||
New Oriental Education & Technology Group ADR * | 3,656 | 536,079 | ||||||
Scholar Education Group | 28,000 | 86,347 | ||||||
TAL Education Group ADR * | 8,600 | 634,766 | ||||||
Youdao ADR * | 1,280 | 38,067 | ||||||
TOTAL CHINA | 2,490,672 | |||||||
JAPAN— 6.1% | ||||||||
Communication Services — 1.1% | ||||||||
Gakken Holdings | 2,800 | 42,458 | ||||||
V-Cube | 1,760 | 27,883 | ||||||
70,341 | ||||||||
Consumer Discretionary — 3.8% | ||||||||
Benesse Holdings | 6,160 | 156,897 | ||||||
Media Do * | 640 | 40,798 | ||||||
Riso Kyoiku * | 11,600 | 32,379 | ||||||
Tokyo Individualized Educational Institute * | 2,800 | 13,836 | ||||||
243,910 | ||||||||
Industrials — 0.6% | ||||||||
Insource | 1,440 | 35,767 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Education ETF |
Shares | Value | |||||||
COMMON STOCK — continued | ||||||||
Information Technology — 0.6% | ||||||||
Edulab * | 480 | $ | 35,622 | |||||
TOTAL JAPAN | 385,640 | |||||||
SOUTH KOREA— 0.6% | ||||||||
Communication Services — 0.3% | ||||||||
Woongjin Thinkbig | 7,600 | 17,498 | ||||||
Consumer Discretionary — 0.3% | ||||||||
MegaStudyEdu | 640 | 17,671 | ||||||
TOTAL SOUTH KOREA | 35,169 | |||||||
UNITED KINGDOM— 5.8% | ||||||||
Communication Services — 5.8% | ||||||||
Pearson | 49,600 | 371,510 | ||||||
UNITED STATES— 42.8% | ||||||||
Communication Services — 5.8% | ||||||||
Bandwidth, Cl A * | 1,432 | 225,511 | ||||||
John Wiley & Sons, Cl A | 3,040 | 96,216 | ||||||
Scholastic | 1,992 | 44,820 | ||||||
366,547 | ||||||||
Consumer Discretionary — 13.6% | ||||||||
Bright Horizons Family Solutions * | 3,072 | 408,607 | ||||||
Chegg * | 4,904 | 361,621 | ||||||
Houghton Mifflin Harcourt * | 10,488 | 23,703 | ||||||
K12 * | 2,032 | 75,611 | ||||||
869,542 | ||||||||
Information Technology — 23.4% | ||||||||
2U * | 3,792 | 156,951 | ||||||
8x8 * | 9,840 | 166,099 | ||||||
Pluralsight, Cl A * | 5,192 | 99,375 | ||||||
RingCentral, Cl A * | 920 | 267,509 | ||||||
Rosetta Stone * | 1,280 | 38,886 | ||||||
Slack Technologies, Cl A * | 7,864 | 258,254 | ||||||
Zoom Video Communications, Cl A * | 1,552 | 504,555 | ||||||
1,491,629 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Education ETF |
Face | Value | |||||||
COMMON STOCK — continued | ||||||||
TOTAL UNITED STATES | $ | 2,727,718 | ||||||
TOTAL COMMON STOCK | ||||||||
(Cost $6,299,716) | 6,372,455 | |||||||
U.S. TREASURY OBLIGATION — 14.1% | ||||||||
United States Treasury Bill | ||||||||
0.066%, 09/17/20(A) | ||||||||
(Cost $899,974) | $ | 900,000 | 899,963 | |||||
TOTAL INVESTMENTS — 114.1% | ||||||||
(Cost $7,199,690) | $ | 7,272,418 |
Percentages are based on Net Assets of $6,373,313.
* | Non-income producing security. |
(A) | The rate reported on the Schedule of Investments is the effective yield at time of purchase. |
ADR — American Depositary Receipt |
Cl — Class |
The following is a summary of the level of inputs used as of August 31, 2020, in valuing the Fund's investments carried at value: | ||||||||||||||||
Investments in Securities | Level 1 | Level 2 | Level 3 | Total | ||||||||||||
Common Stock | $ | 6,000,945 | $ | 371,510 | $ | — | $ | 6,372,455 | ||||||||
U.S Treasury Obligation | — | 899,963 | — | 899,963 | ||||||||||||
Total Investments in Securities | $ | 6,000,945 | $ | 1,271,473 | $ | — | $ | 7,272,418 |
For the period ended August 31, 2020, there have been no transfers in or out of Level 3.
For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent annual or semi-annual financial statements.
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Cannabis ETF |
Shares | Value | |||||||
COMMON STOCK — 99.9% | ||||||||
AUSTRALIA— 1.1% | ||||||||
Health Care — 1.1% | ||||||||
Cann Group * (A) | 566,781 | $ | 167,666 | |||||
CANADA— 75.1% | ||||||||
Consumer Discretionary — 4.9% | ||||||||
Fire & Flower Holdings * (A) | 615,801 | 430,084 | ||||||
Namaste Technologies * | 1,523,203 | 327,332 | ||||||
757,416 | ||||||||
Health Care — 70.2% | ||||||||
Aleafia Health * | 1,316,524 | 555,730 | ||||||
Aphria * (A) | 270,011 | 1,317,986 | ||||||
Aurora Cannabis * (A) | 126,418 | 1,238,896 | ||||||
Auxly Cannabis Group * (A) | 2,943,258 | 361,427 | ||||||
Canopy Growth * (A) | 70,536 | 1,164,457 | ||||||
Cronos Group * | 196,491 | 1,090,318 | ||||||
Green Organic Dutchman Holdings * (A) | 1,859,835 | 513,865 | ||||||
HEXO * (A) | 1,071,077 | 780,938 | ||||||
MediPharm Labs * | 577,424 | 412,145 | ||||||
Organigram Holdings * (A) | 601,649 | 766,520 | ||||||
Sundial Growers * | 352,869 | 119,975 | ||||||
Supreme Cannabis * (A) | 1,717,776 | 263,675 | ||||||
Tetra Bio-Pharma * | 1,072,425 | 156,384 | ||||||
Tilray, Cl 2 * (A) | 174,537 | 1,171,143 | ||||||
Valens * (A) | 466,358 | 816,068 | ||||||
10,729,527 | ||||||||
TOTAL CANADA | 11,486,943 | |||||||
UNITED KINGDOM— 6.9% | ||||||||
Health Care — 6.9% | ||||||||
GW Pharmaceuticals ADR * | 10,086 | 1,048,440 | ||||||
UNITED STATES— 16.8% | ||||||||
Health Care — 16.8% | ||||||||
cbdMD * | 160,982 | 397,626 | ||||||
Charlottes Web Holdings * (A) | 209,605 | 715,870 | ||||||
Corbus Pharmaceuticals Holdings * | 116,053 | 1,077,552 | ||||||
Zynerba Pharmaceuticals * | 100,996 | 381,765 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Cannabis ETF |
Shares/Face | Value | |||||||
COMMON STOCK — continued | ||||||||
TOTAL UNITED STATES | $ | 2,572,813 | ||||||
TOTAL COMMON STOCK | ||||||||
(Cost $18,196,249) | 15,275,862 | |||||||
SHORT-TERM INVESTMENT(B)(C) — 18.3% | ||||||||
Fidelity Investments Money Market Government Portfolio, Cl Institutional, 0.010% | ||||||||
(Cost $2,789,822) | 2,789,822 | 2,789,822 | ||||||
REPURCHASE AGREEMENT(B) — 2.0% | ||||||||
BNP Paribas | ||||||||
0.050%, dated 08/31/20, to be repurchased on 09/01/20, repurchased price $312,528 (collateralized by U.S. Treasury Obligations, with a par value of $318,980, 1.500%, 08/15/2026, with a total market value of $318,980) | ||||||||
(Cost $312,528) | $ | 312,528 | 312,528 | |||||
TOTAL INVESTMENTS — 120.2% | ||||||||
(Cost $21,298,599) | $ | 18,378,212 |
Percentages are based on Net Assets of $15,284,714.
* | Non-income producing security. |
(A) | This security or a partial position of this security is on loan at August 31, 2020. The total value of securities on loan at August 31, 2020 was $2,971,600. |
(B) | Security was purchased with cash collateral held from securities on loan. The total value of such securities as of August 31, 2020, was $3,102,350. |
(C) |
The rate reported on the Schedule of Investments is the 7-day effective yield as of August 31, 2020.
|
ADR — American Depositary Receipt
Cl — Class
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Cannabis ETF |
The following is a summary of the level of inputs used as of August 31, 2020, in valuing the Fund's investments carried at value: | ||||||||||||||||
Investments in Securities | Level 1 | Level 2 | Level 3 | Total | ||||||||||||
Common Stock | $ | 15,275,862 | $ | — | $ | — | $ | 15,275,862 | ||||||||
Short-Term Investment | 2,789,822 | — | — | 2,789,822 | ||||||||||||
Repurchase Agreement | — | 312,528 | — | 312,528 | ||||||||||||
Total Investments in Securities | $ | 18,065,684 | $ | 312,528 | $ | — | $ | 18,378,212 |
For the period ended August 31, 2020, there have been no transfers in or out of Level 3.
For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent annual or semi-annual financial statements.
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Genomics & Biotechnology ETF |
Shares | Value | |||||||
COMMON STOCK — 99.8% | ||||||||
CHINA— 2.9% | ||||||||
Health Care — 2.9% | ||||||||
Genscript Biotech * | 887,218 | $ | 1,714,873 | |||||
JAPAN— 1.9% | ||||||||
Health Care — 1.9% | ||||||||
Takara Bio | 40,720 | 1,098,589 | ||||||
NETHERLANDS— 2.5% | ||||||||
Health Care — 2.5% | ||||||||
ProQR Therapeutics * | 37,576 | 236,729 | ||||||
uniQure * | 29,353 | 1,196,722 | ||||||
TOTAL NETHERLANDS | 1,433,451 | |||||||
SWITZERLAND— 5.8% | ||||||||
Health Care — 5.8% | ||||||||
CRISPR Therapeutics * | 36,012 | 3,365,682 | ||||||
UNITED STATES— 86.7% | ||||||||
Health Care — 86.7% | ||||||||
Adverum Biotechnologies * | 62,518 | 762,720 | ||||||
Agilent Technologies | 24,990 | 2,509,496 | ||||||
Allogene Therapeutics * | 45,251 | 1,613,198 | ||||||
Alnylam Pharmaceuticals * | 13,414 | 1,779,233 | ||||||
Arrowhead Pharmaceuticals * | 50,854 | 2,148,073 | ||||||
BioMarin Pharmaceutical * | 20,316 | 1,585,257 | ||||||
Bluebird Bio * | 33,802 | 2,004,459 | ||||||
Blueprint Medicines * | 26,780 | 2,073,575 | ||||||
CareDx * | 36,457 | 1,245,007 | ||||||
Dicerna Pharmaceuticals * | 53,812 | 996,598 | ||||||
Editas Medicine * | 47,249 | 1,664,582 | ||||||
Gilead Sciences | 11,494 | 767,224 | ||||||
Homology Medicines * | 36,223 | 385,050 | ||||||
Illumina * | 6,035 | 2,155,823 | ||||||
Intellia Therapeutics * | 34,318 | 740,582 | ||||||
Invitae * | 102,179 | 3,572,178 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Genomics & Biotechnology ETF |
Shares | Value | |||||||
COMMON STOCK — continued | ||||||||
Health Care — continued | ||||||||
Luminex | 36,960 | $ | 986,462 | |||||
Myriad Genetics * | 63,818 | 853,247 | ||||||
NanoString Technologies * | 32,373 | 1,310,459 | ||||||
Natera * | 52,087 | 3,318,463 | ||||||
Pacific Biosciences of California * | 122,073 | 805,682 | ||||||
Precision BioSciences * | 30,398 | 171,445 | ||||||
PTC Therapeutics * | 37,754 | 1,865,991 | ||||||
QIAGEN * | 44,760 | 2,280,970 | ||||||
REGENXBIO * | 30,633 | 934,919 | ||||||
Rocket Pharmaceuticals * | 45,834 | 1,171,975 | ||||||
Sangamo Therapeutics * | 103,138 | 1,138,128 | ||||||
Sarepta Therapeutics * | 16,431 | 2,405,827 | ||||||
Sorrento Therapeutics * | 124,663 | 998,551 | ||||||
Ultragenyx Pharmaceutical * | 29,106 | 2,475,756 | ||||||
Veracyte * | 41,998 | 1,398,953 | ||||||
Vertex Pharmaceuticals * | 3,471 | 968,826 | ||||||
Voyager Therapeutics * | 20,426 | 240,823 | ||||||
WaVe Life Sciences * | 24,502 | 307,010 | ||||||
ZIOPHARM Oncology * | 173,575 | 487,746 | ||||||
TOTAL UNITED STATES | 50,124,288 | |||||||
TOTAL COMMON STOCK | ||||||||
(Cost $51,291,006) | 57,736,883 | |||||||
TOTAL INVESTMENTS — 99.8% | ||||||||
(Cost $51,291,006) | $ | 57,736,883 |
Percentages are based on Net Assets of $57,833,923.
* | Non-income producing security. |
As of August 31, 2020, all of the Fund's investments were considered Level 1, in accordance with authoritative guidance on fair value measurements and disclosure under U.S. GAAP. |
For the period ended August 31, 2020, there have been no transfers in or out of Level 3.
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Genomics & Biotechnology ETF |
For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent annual or semi-annual financial statements.
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Telemedicine & Digital Health ETF |
Shares | Value | |||||||
COMMON STOCK — 100.0% | ||||||||
AUSTRALIA— 0.8% | ||||||||
Health Care — 0.8% | ||||||||
Pro Medicus | 136,416 | $ | 2,618,010 | |||||
CHINA— 7.1% | ||||||||
Health Care — 7.1% | ||||||||
Alibaba Health Information Technology * | 4,664,800 | 11,267,531 | ||||||
Ping An Healthcare and Technology * | 784,000 | 11,431,005 | ||||||
TOTAL CHINA | 22,698,536 | |||||||
GERMANY— 3.5% | ||||||||
Health Care — 3.5% | ||||||||
CompuGroup Medical & KgaA | 122,696 | 11,034,657 | ||||||
JAPAN— 4.7% | ||||||||
Health Care — 4.7% | ||||||||
M3 * | 258,720 | 14,979,875 | ||||||
NETHERLANDS— 1.6% | ||||||||
Consumer Discretionary — 1.6% | ||||||||
Shop Apotheke Europe * | 27,048 | 5,149,782 | ||||||
UNITED STATES— 82.3% | ||||||||
Financials — 1.4% | ||||||||
eHealth * | 70,560 | 4,453,747 | ||||||
Health Care — 76.6% | ||||||||
1Life Healthcare * | 134,064 | 3,910,647 | ||||||
Agilent Technologies | 124,264 | 12,478,591 | ||||||
Allscripts Healthcare Solutions * | 437,864 | 3,910,126 | ||||||
BioTelemetry * | 108,584 | 4,297,755 | ||||||
Cerner | 160,720 | 11,792,026 | ||||||
Change Healthcare * | 692,664 | 9,801,196 | ||||||
Codexis * | 157,976 | 2,180,069 | ||||||
Computer Programs and Systems | 38,416 | 1,051,062 | ||||||
DexCom * | 27,832 | 11,840,011 | ||||||
Evolent Health, Cl A * | 221,088 | 3,168,191 | ||||||
Guardant Health * | 140,336 | 13,402,088 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Telemedicine & Digital Health ETF |
Shares | Value | |||||||
COMMON STOCK — continued | ||||||||
Health Care — continued | ||||||||
Illumina * | 30,576 | $ | 10,922,359 | |||||
Inovalon Holdings, Cl A * | 222,656 | 5,509,623 | ||||||
Insulet * | 58,800 | 12,833,100 | ||||||
Invitae * | 328,496 | 11,484,220 | ||||||
iRhythm Technologies * | 78,400 | 17,262,112 | ||||||
Laboratory Corp of America Holdings * | 60,368 | 10,609,676 | ||||||
Livongo Health * | 90,552 | 12,432,790 | ||||||
NeoGenomics * | 287,336 | 11,191,737 | ||||||
NextGen Healthcare * | 156,408 | 2,073,970 | ||||||
Omnicell * | 130,536 | 8,704,140 | ||||||
Ontrak * | 29,008 | 2,116,133 | ||||||
Personalis * | 51,352 | 1,171,852 | ||||||
Phreesia * | 61,936 | 1,953,461 | ||||||
Premier, Cl A | 216,384 | 7,086,576 | ||||||
R1 RCM * | 291,648 | 4,228,896 | ||||||
SmileDirectClub, Cl A * | 214,424 | 1,741,123 | ||||||
Tabula Rasa HealthCare * | 59,192 | 2,995,115 | ||||||
Tandem Diabetes Care * | 116,816 | 13,167,500 | ||||||
Teladoc Health * | 52,920 | 11,414,315 | ||||||
Veeva Systems, Cl A * | 46,648 | 13,167,331 | ||||||
Veracyte * | 126,616 | 4,217,579 | ||||||
244,115,370 | ||||||||
Information Technology — 4.3% | ||||||||
Nuance Communications * | 460,600 | 13,799,576 | ||||||
TOTAL UNITED STATES | 262,368,693 | |||||||
TOTAL COMMON STOCK | ||||||||
(Cost $309,207,211) | 318,849,553 | |||||||
TOTAL INVESTMENTS — 100.0% | ||||||||
(Cost $309,207,211) | $ | 318,849,553 |
Percentages are based on Net Assets of $318,813,271.
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Telemedicine & Digital Health ETF |
* | Non-income producing security. |
Cl — Class |
As of August 31, 2020, all of the Fund's investments were considered Level 1, in accordance with authoritative guidance on fair value measurements and disclosure under U.S. GAAP.
For the period ended August 31, 2020, there have been no transfers in or out of Level 3.
For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent annual or semi-annual financial statements.
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Longevity Thematic ETF |
Shares | Value | |||||||
COMMON STOCK — 99.9% | ||||||||
AUSTRALIA— 0.7% | ||||||||
Health Care — 0.7% | ||||||||
Cochlear * | 1,907 | $ | 270,994 | |||||
BELGIUM— 1.8% | ||||||||
Health Care — 1.8% | ||||||||
UCB | 5,781 | 688,056 | ||||||
CANADA— 0.3% | ||||||||
Health Care — 0.3% | ||||||||
Chartwell Retirement Residences | 14,130 | 113,218 | ||||||
CHINA— 4.1% | ||||||||
Health Care — 4.1% | ||||||||
BeiGene ADR * | 2,299 | 555,369 | ||||||
Hansoh Pharmaceutical Group * | 171,600 | 813,700 | ||||||
Luye Pharma Group | 193,147 | 104,671 | ||||||
Venus MedTech Hangzhou, Cl H * | 14,500 | 117,307 | ||||||
TOTAL CHINA | 1,591,047 | |||||||
DENMARK— 6.5% | ||||||||
Health Care — 6.5% | ||||||||
Demant * | 7,253 | 216,961 | ||||||
Genmab * | 1,940 | 734,281 | ||||||
GN Store Nord | 4,214 | 305,930 | ||||||
H Lundbeck | 5,931 | 195,138 | ||||||
Novo Nordisk, Cl B | 16,175 | 1,073,588 | ||||||
TOTAL DENMARK | 2,525,898 | |||||||
FRANCE— 2.3% | ||||||||
Health Care — 2.3% | ||||||||
BioMerieux | 3,514 | 533,723 | ||||||
Korian * | 2,818 | 109,396 | ||||||
Orpea * | 1,917 | 230,753 | ||||||
TOTAL FRANCE | 873,872 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Longevity Thematic ETF |
Shares | Value | |||||||
COMMON STOCK — continued | ||||||||
GERMANY— 2.0% | ||||||||
Health Care — 2.0% | ||||||||
Fresenius Medical Care & KGaA | 9,033 | $ | 767,658 | |||||
IRELAND— 0.3% | ||||||||
Health Care — 0.3% | ||||||||
Amarin ADR * | 16,413 | 127,365 | ||||||
ITALY— 0.6% | ||||||||
Health Care — 0.6% | ||||||||
Amplifon * | 6,678 | 222,983 | ||||||
JAPAN— 6.2% | ||||||||
Health Care — 6.2% | ||||||||
Chugai Pharmaceutical | 22,778 | 1,014,050 | ||||||
H.U. Group Holdings * | 4,552 | 112,335 | ||||||
Kissei Pharmaceutical | 4,003 | 87,274 | ||||||
Mochida Pharmaceutical | 2,450 | 90,450 | ||||||
Nipro | 8,975 | 101,137 | ||||||
Terumo | 22,526 | 915,527 | ||||||
Toho Holdings * | 4,463 | 86,276 | ||||||
TOTAL JAPAN | 2,407,049 | |||||||
NEW ZEALAND— 0.4% | ||||||||
Health Care — 0.4% | ||||||||
Ryman Healthcare | 14,851 | 134,908 | ||||||
SOUTH KOREA— 2.8% | ||||||||
Health Care — 2.8% | ||||||||
Celltrion * | 4,008 | 1,002,084 | ||||||
Helixmith * | 1,987 | 82,380 | ||||||
TOTAL SOUTH KOREA | 1,084,464 | |||||||
SPAIN— 0.4% | ||||||||
Health Care — 0.4% | ||||||||
Pharma Mar | 1,689 | 172,302 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Longevity Thematic ETF |
Shares | Value | |||||||
COMMON STOCK — continued | ||||||||
SWEDEN— 0.7% | ||||||||
Health Care — 0.7% | ||||||||
Attendo * | 24,581 | $ | 135,830 | |||||
Elekta, Cl B | 10,891 | 136,943 | ||||||
TOTAL SWEDEN | 272,773 | |||||||
SWITZERLAND— 4.9% | ||||||||
Health Care — 4.9% | ||||||||
Alcon * | 14,525 | 828,479 | ||||||
Medacta Group * | 1,576 | 149,820 | ||||||
Sonova Holding * | 1,923 | 450,825 | ||||||
Straumann Holding | 467 | 460,958 | ||||||
TOTAL SWITZERLAND | 1,890,082 | |||||||
UNITED KINGDOM— 1.6% | ||||||||
Consumer Discretionary — 0.2% | ||||||||
McCarthy & Stone * | 95,876 | 92,172 | ||||||
Health Care — 1.4% | ||||||||
Smith & Nephew | 25,853 | 526,683 | ||||||
TOTAL UNITED KINGDOM | 618,855 | |||||||
UNITED STATES— 64.3% | ||||||||
Health Care — 59.6% | ||||||||
AbbVie | 12,178 | 1,166,287 | ||||||
ABIOMED * | 1,340 | 412,211 | ||||||
ACADIA Pharmaceuticals * | 4,598 | 182,035 | ||||||
Aerie Pharmaceuticals * | 7,117 | 78,287 | ||||||
Agios Pharmaceuticals * | 2,342 | 96,045 | ||||||
Align Technology * | 2,339 | 694,636 | ||||||
Alkermes * | 6,027 | 99,687 | ||||||
Amedisys * | 959 | 231,982 | ||||||
Amgen | 4,341 | 1,099,662 | ||||||
Becton Dickinson | 3,805 | 923,740 | ||||||
Biogen Idec * | 3,021 | 868,960 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Longevity Thematic ETF |
Shares | Value | |||||||
COMMON STOCK — continued | ||||||||
Health Care — continued | ||||||||
Bluebird Bio * | 2,216 | $ | 131,409 | |||||
Blueprint Medicines * | 1,561 | 120,868 | ||||||
Boston Scientific * | 27,233 | 1,117,098 | ||||||
Bristol-Myers Squibb | 16,427 | 1,021,759 | ||||||
Brookdale Senior Living * | 29,988 | 82,467 | ||||||
DaVita * | 3,726 | 323,268 | ||||||
DENTSPLY SIRONA | 6,571 | 294,841 | ||||||
DexCom * | 2,708 | 1,152,010 | ||||||
Edwards Lifesciences * | 13,860 | 1,189,742 | ||||||
Ensign Group | 2,569 | 150,389 | ||||||
Envista Holdings * | 5,817 | 139,550 | ||||||
Epizyme * | 5,669 | 73,697 | ||||||
Exact Sciences * | 4,345 | 327,135 | ||||||
Exelixis * | 9,063 | 201,380 | ||||||
FibroGen * | 2,647 | 118,665 | ||||||
Glaukos * | 2,926 | 139,951 | ||||||
Halozyme Therapeutics * | 5,388 | 156,225 | ||||||
Incyte * | 6,443 | 620,783 | ||||||
Inogen * | 1,863 | 56,318 | ||||||
Insulet * | 1,846 | 402,890 | ||||||
Integer Holdings * | 1,495 | 103,544 | ||||||
Integra LifeSciences Holdings * | 2,506 | 119,762 | ||||||
Ionis Pharmaceuticals * | 4,133 | 225,249 | ||||||
LHC Group * | 933 | 194,475 | ||||||
LivaNova * | 1,979 | 92,815 | ||||||
Medtronic | 9,634 | 1,035,366 | ||||||
Merit Medical Systems * | 2,849 | 139,886 | ||||||
Myriad Genetics * | 6,689 | 89,432 | ||||||
National HealthCare | 1,223 | 77,905 | ||||||
Natus Medical * | 3,891 | 70,661 | ||||||
Neurocrine Biosciences * | 2,737 | 318,642 | ||||||
Novocure * | 2,907 | 240,554 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Longevity Thematic ETF |
Shares | Value | |||||||
COMMON STOCK — continued | ||||||||
Health Care — continued | ||||||||
NuVasive * | 1,764 | $ | 91,957 | |||||
Pennant Group * | 5,504 | 203,868 | ||||||
Quest Diagnostics | 3,962 | 440,733 | ||||||
Radius Health * | 7,568 | 93,692 | ||||||
Regeneron Pharmaceuticals * | 1,867 | 1,157,409 | ||||||
Sage Therapeutics * | 3,174 | 166,445 | ||||||
Seattle Genetics * | 5,086 | 805,317 | ||||||
Silk Road Medical * | 2,659 | 162,146 | ||||||
Stryker | 5,424 | 1,074,820 | ||||||
Tactile Systems Technology * | 2,092 | 80,396 | ||||||
Varian Medical Systems * | 2,694 | 467,867 | ||||||
Vertex Pharmaceuticals * | 3,834 | 1,070,146 | ||||||
Zimmer Biomet Holdings | 6,143 | 865,426 | ||||||
23,062,490 | ||||||||
Real Estate — 4.7% | ||||||||
Diversified Healthcare Trust ‡ | 31,655 | 120,289 | ||||||
LTC Properties ‡ | 2,837 | 103,522 | ||||||
National Health Investors ‡ | 1,787 | 111,241 | ||||||
Omega Healthcare Investors ‡ | 6,641 | 205,671 | ||||||
Sabra Health Care ‡ | 7,661 | 113,613 | ||||||
Ventas ‡ | 11,078 | 456,524 | ||||||
Welltower ‡ | 12,200 | 701,745 | ||||||
1,812,605 | ||||||||
TOTAL UNITED STATES | 24,875,095 | |||||||
TOTAL COMMON STOCK | ||||||||
(Cost $33,484,337) | 38,636,619 | |||||||
TOTAL INVESTMENTS — 99.9% | ||||||||
(Cost $33,484,337) | $ | 38,636,619 |
Percentages are based on Net Assets of $38,686,443.
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Longevity Thematic ETF |
* | Non-income producing security. |
‡ | Real Estate Investment Trust |
ADR — American Depositary Receipt |
Cl — Class |
The following is a summary of the level of inputs used as of August 31, 2020, in valuing the Fund's investments carried at value:
Investments in Securities | Level 1 | Level 2 | Level 3 | Total | ||||||||||||
Common Stock | $ | 38,017,764 | $ | 618,855 | $ | — | $ | 38,636,619 | ||||||||
Total Investments in Securities | $ | 38,017,764 | $ | 618,855 | $ | — | $ | 38,636,619 | ||||||||
For the period ended August 31, 2020, there have been no transfers in or out of Level 3.
For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent annual or semi-annual financial statements.
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Health & Wellness Thematic ETF |
Shares | Value | |||||||
COMMON STOCK — 99.7% | ||||||||
AUSTRALIA— 0.4% | ||||||||
Consumer Staples — 0.4% | ||||||||
Blackmores * | 1,544 | $ | 72,018 | |||||
CANADA— 2.1% | ||||||||
Consumer Discretionary — 2.1% | ||||||||
Gildan Activewear * | 17,549 | 340,623 | ||||||
CHINA— 9.4% | ||||||||
Consumer Discretionary — 9.4% | ||||||||
ANTA Sports Products | 52,336 | 516,935 | ||||||
Li Ning | 126,857 | 536,881 | ||||||
Topsports International Holdings | 320,500 | 396,585 | ||||||
Xtep International Holdings | 220,500 | 73,404 | ||||||
TOTAL CHINA | 1,523,805 | |||||||
FRANCE— 2.4% | ||||||||
Consumer Staples — 2.4% | ||||||||
Danone | 5,893 | 388,328 | ||||||
GERMANY— 6.0% | ||||||||
Consumer Discretionary — 6.0% | ||||||||
adidas * | 1,544 | 470,128 | ||||||
Puma * | 6,175 | 510,891 | ||||||
TOTAL GERMANY | 981,019 | |||||||
HONG KONG— 1.5% | ||||||||
Consumer Discretionary — 1.5% | ||||||||
Yue Yuen Industrial Holdings | 142,679 | 247,060 | ||||||
IRELAND— 1.8% | ||||||||
Consumer Staples — 1.8% | ||||||||
Glanbia | 25,897 | 298,873 | ||||||
ITALY— 1.0% | ||||||||
Consumer Discretionary — 1.0% | ||||||||
Technogym * | 17,659 | 159,133 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Health & Wellness Thematic ETF |
Shares | Value | |||||||
COMMON STOCK — continued | ||||||||
JAPAN— 14.4% | ||||||||
Consumer Discretionary — 9.8% | ||||||||
ABC-Mart | 7,357 | $ | 387,119 | |||||
Asics | 16,857 | 232,719 | ||||||
Descente * | 6,930 | 118,675 | ||||||
Goldwin | 4,280 | 308,756 | ||||||
Shimano | 2,565 | 543,017 | ||||||
1,590,286 | ||||||||
Consumer Staples — 3.4% | ||||||||
Ariake Japan | 2,945 | 202,452 | ||||||
Yakult Honsha | 6,066 | 346,073 | ||||||
548,525 | ||||||||
Health Care — 1.2% | ||||||||
Tsumura | 6,823 | 193,665 | ||||||
TOTAL JAPAN | 2,332,476 | |||||||
NETHERLANDS— 0.9% | ||||||||
Consumer Discretionary — 0.9% | ||||||||
Basic-Fit * | 4,928 | 139,089 | ||||||
SOUTH KOREA— 1.6% | ||||||||
Consumer Discretionary — 1.6% | ||||||||
Fila Holdings | 5,354 | 156,397 | ||||||
Youngone | 4,007 | 105,918 | ||||||
TOTAL SOUTH KOREA | 262,315 | |||||||
TAIWAN— 8.7% | ||||||||
Consumer Discretionary — 8.7% | ||||||||
Feng TAY Enterprise | 78,263 | 454,776 | ||||||
Fulgent Sun International Holding | 16,000 | 68,708 | ||||||
Giant Manufacturing | 33,326 | 346,419 | ||||||
Johnson Health Tech | 27,000 | 70,763 | ||||||
Merida Industry | 26,388 | 220,338 | ||||||
Pou Chen | 263,086 | 248,368 | ||||||
TOTAL TAIWAN | 1,409,372 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Health & Wellness Thematic ETF |
Shares | Value | |||||||
COMMON STOCK — continued | ||||||||
UNITED KINGDOM— 4.7% | ||||||||
Consumer Discretionary — 4.7% | ||||||||
Frasers Group * | 45,641 | $ | 213,890 | |||||
JD Sports Fashion | 55,843 | 542,690 | ||||||
TOTAL UNITED KINGDOM | 756,580 | |||||||
UNITED STATES— 44.8% | ||||||||
Consumer Discretionary — 24.8% | ||||||||
Columbia Sportswear * | 5,003 | 428,107 | ||||||
Dick's Sporting Goods | 5,522 | 298,851 | ||||||
Foot Locker | 9,193 | 278,824 | ||||||
Lululemon Athletica * | 1,858 | 697,994 | ||||||
NIKE, Cl B | 4,274 | 478,218 | ||||||
Peloton Interactive, Cl A * | 3,863 | 296,176 | ||||||
Planet Fitness, Cl A * | 6,999 | 425,469 | ||||||
Skechers USA, Cl A * | 11,878 | 354,558 | ||||||
Under Armour, Cl A * | 16,616 | 163,003 | ||||||
VF | 6,287 | 413,370 | ||||||
WW International * | 5,942 | 139,518 | ||||||
Zumiez * | 2,260 | 58,037 | ||||||
4,032,125 | ||||||||
Consumer Staples — 13.7% | ||||||||
BellRing Brands, Cl A * | 3,462 | 67,301 | ||||||
Calavo Growers | 1,552 | 98,505 | ||||||
Cal-Maine Foods * | 3,870 | 149,343 | ||||||
Hain Celestial Group * | 9,215 | 302,160 | ||||||
Herbalife Nutrition * | 11,928 | 586,261 | ||||||
Medifast | 1,032 | 167,927 | ||||||
Nu Skin Enterprises, Cl A | 4,893 | 231,292 | ||||||
Sanderson Farms | 1,961 | 229,359 | ||||||
Sprouts Farmers Market * | 10,373 | 242,210 | ||||||
USANA Health Sciences * | 1,897 | 148,744 | ||||||
2,223,102 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Health & Wellness Thematic ETF |
Shares/Number of Rights | Value | |||||||
COMMON STOCK — continued | ||||||||
Health Care — 4.7% | ||||||||
DexCom * | 1,412 | $ | 600,679 | |||||
Prestige Consumer Healthcare * | 4,432 | 161,458 | ||||||
762,137 | ||||||||
Industrials — 0.8% | ||||||||
Healthcare Services Group | 6,561 | 136,469 | ||||||
Information Technology — 0.8% | ||||||||
Fitbit, Cl A * | 20,801 | 132,294 | ||||||
TOTAL UNITED STATES | 7,286,127 | |||||||
TOTAL COMMON STOCK | ||||||||
(Cost $16,866,193) | 16,196,818 | |||||||
RIGHTS — 0.0% | ||||||||
Taiwan — 0.0% | ||||||||
Fulgent Sun International Holding | ||||||||
Expires 09/30/20*(A)(B) | 686 | 1,192 | ||||||
TOTAL RIGHTS (Cost $–) | 1,192 | |||||||
TOTAL INVESTMENTS — 99.7% | ||||||||
(Cost $16,866,193) | $ | 16,198,010 |
Percentages are based on Net Assets of $16,246,539.
* | Non-income producing security. |
(A) | Level 3 security in accordance with fair value hierarchy. |
(B) | Security considered illiquid. The total value of such securities as of August 31, 2020 was $1,192 and represented 0.0% of Net Assets. |
Cl — Class
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Health & Wellness Thematic ETF |
The following is a summary of the level of inputs used as of August 31, 2020, in valuing the Fund's investments carried at value:
Investments in Securities | Level 1 | Level 2 | Level 3(1) | Total | ||||||||||||
Common Stock | $ | 15,440,238 | $ | 756,580 | $ | — | $ | 16,196,818 | ||||||||
Rights | — | — | 1,192 | 1,192 | ||||||||||||
Total Investments in Securities | $ | 15,440,238 | $ | 756,580 | $ | 1,192 | $ | 16,198,010 |
(1) A reconciliation of Level 3 investments and disclosures of significant unobservable inputs are presented when the Fund has a significant amount of Level 3 investments at the beginning and/or end of the period in relation to Net Assets. Management has concluded that Level 3 investments are not material in relation to Net Assets.
For the period ended August 31, 2020, there have been no transfers in or out of Level 3.
Amounts designated as “—“ are $0 or have been rounded to $0.
For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent annual or semi-annual financial statements.
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X U.S. Infrastructure Development ETF |
Shares | Value | |||||||
COMMON STOCK — 99.7% | ||||||||
Energy — 0.1% | ||||||||
Matrix Service * | 34,059 | $ | 314,705 | |||||
Industrials — 71.4% | ||||||||
Acuity Brands | 24,116 | 2,635,638 | ||||||
Advanced Drainage Systems | 41,503 | 2,302,586 | ||||||
AECOM * | 97,012 | 3,832,944 | ||||||
Aegion, Cl A * | 32,757 | 530,172 | ||||||
Altra Industrial Motion | 39,255 | 1,532,908 | ||||||
Arcosa | 29,339 | 1,358,102 | ||||||
Argan | 17,259 | 730,573 | ||||||
Astec Industries | 16,683 | 879,528 | ||||||
Atkore International Group * | 17,809 | 476,035 | ||||||
Columbus McKinnon | 19,035 | 692,398 | ||||||
Construction Partners, Cl A * | 42,504 | 794,400 | ||||||
Crane | 36,412 | 2,058,734 | ||||||
CSW Industrials | 9,023 | 651,912 | ||||||
CSX | 96,078 | 7,346,124 | ||||||
Dycom Industries * | 16,150 | 993,386 | ||||||
Eaton | 75,235 | 7,681,493 | ||||||
EMCOR Group | 34,186 | 2,564,292 | ||||||
Emerson Electric | 94,957 | 6,596,663 | ||||||
Exponent | 32,111 | 2,583,490 | ||||||
Fastenal | 204,026 | 9,968,710 | ||||||
Fluor * | 85,117 | 810,314 | ||||||
Fortive | 94,922 | 6,844,825 | ||||||
Gibraltar Industries * | 12,954 | 808,913 | ||||||
Gorman-Rupp | 19,154 | 611,970 | ||||||
Granite Construction | 26,721 | 496,743 | ||||||
Greenbrier | 27,304 | 742,396 | ||||||
H&E Equipment Services | 25,317 | 512,922 | ||||||
HD Supply Holdings * | 100,213 | 3,974,448 | ||||||
Herc Holdings * | 16,155 | 661,547 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X U.S. Infrastructure Development ETF |
Shares | Value | |||||||
COMMON STOCK — continued | ||||||||
Industrials — continued | ||||||||
Howmet Aerospace * | 246,999 | $ | 4,327,422 | |||||
Hubbell, Cl B | 33,249 | 4,818,445 | ||||||
Insteel Industries | 29,313 | 540,532 | ||||||
Jacobs Engineering Group | 76,665 | 6,920,550 | ||||||
Kansas City Southern | 44,178 | 8,042,163 | ||||||
Lincoln Electric Holdings | 37,212 | 3,598,772 | ||||||
Manitowoc * | 47,333 | 445,877 | ||||||
MasTec * | 46,413 | 2,144,745 | ||||||
MRC Global * | 58,246 | 331,420 | ||||||
Mueller Industries | 23,991 | 712,533 | ||||||
Mueller Water Products, Cl A | 59,319 | 640,645 | ||||||
MYR Group * | 22,428 | 870,431 | ||||||
Norfolk Southern | 35,294 | 7,501,034 | ||||||
Northwest Pipe * | 20,532 | 581,672 | ||||||
NOW * | 68,514 | 498,097 | ||||||
Pentair | 103,771 | 4,684,223 | ||||||
Powell Industries | 15,873 | 428,412 | ||||||
Primoris Services | 31,892 | 607,862 | ||||||
Quanta Services | 87,921 | 4,505,951 | ||||||
RBC Bearings * | 15,173 | 2,003,443 | ||||||
Rexnord | 74,104 | 2,146,052 | ||||||
Rockwell Automation | 36,366 | 8,383,454 | ||||||
SPX * | 26,865 | 1,123,763 | ||||||
Sterling Construction * | 49,843 | 704,780 | ||||||
Team * | 47,089 | 299,957 | ||||||
Terex * | 27,024 | 528,860 | ||||||
Tetra Tech | 33,864 | 3,125,986 | ||||||
Titan Machinery * | 54,735 | 738,922 | ||||||
Trinity Industries | 74,526 | 1,525,547 | ||||||
Tutor Perini * | 64,705 | 812,048 | ||||||
Union Pacific | 39,331 | 7,568,858 | ||||||
United Rentals * | 46,294 | 8,196,353 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X U.S. Infrastructure Development ETF |
Shares | Value | |||||||
COMMON STOCK — continued | ||||||||
Industrials — continued | ||||||||
Valmont Industries | 13,082 | $ | 1,662,068 | |||||
Wabash National | 57,980 | 707,936 | ||||||
WESCO International * | 31,280 | 1,465,468 | ||||||
Willdan Group * | 21,356 | 601,812 | ||||||
165,470,259 | ||||||||
Information Technology — 4.5% | ||||||||
Badger Meter | 11,647 | 718,504 | ||||||
Calix * | 82,638 | 1,607,309 | ||||||
Trimble * | 153,434 | 8,041,476 | ||||||
10,367,289 | ||||||||
Materials — 22.5% | ||||||||
Alcoa * | 112,683 | 1,647,425 | ||||||
Allegheny Technologies * | 76,527 | 637,470 | ||||||
Arconic * | 62,231 | 1,384,640 | ||||||
Century Aluminum * | 113,060 | 1,115,902 | ||||||
Cleveland-Cliffs * (A) | 195,164 | 1,284,179 | ||||||
Commercial Metals | 72,080 | 1,504,310 | ||||||
Eagle Materials * | 25,323 | 2,070,662 | ||||||
Forterra * | 49,316 | 653,437 | ||||||
Haynes International | 26,177 | 490,557 | ||||||
Martin Marietta Materials | 27,515 | 5,581,968 | ||||||
Minerals Technologies | 12,630 | 640,972 | ||||||
Nucor | 142,325 | 6,470,094 | ||||||
Reliance Steel & Aluminum | 41,137 | 4,314,037 | ||||||
RPM International | 79,963 | 6,778,464 | ||||||
Ryerson Holding * | 65,744 | 362,249 | ||||||
Steel Dynamics | 133,082 | 3,928,581 | ||||||
Summit Materials, Cl A * | 68,177 | 1,015,156 | ||||||
TimkenSteel * | 107,737 | 406,168 | ||||||
United States Steel (A) | 74,738 | 585,199 | ||||||
US Concrete * | 18,635 | 497,368 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X U.S. Infrastructure Development ETF |
Shares/Face Amount | Value | |||||||
COMMON STOCK — continued | ||||||||
Materials — continued | ||||||||
Vulcan Materials | 51,655 | $ | 6,198,600 | |||||
Westlake Chemical | 79,212 | 4,698,856 | ||||||
52,266,294 | ||||||||
Utilities — 1.2% | ||||||||
MDU Resources Group | 121,857 | 2,878,262 | ||||||
TOTAL COMMON STOCK | ||||||||
(Cost $233,756,687) | 231,296,809 | |||||||
CORPORATE OBLIGATION — 0.0% | ||||||||
Mueller Industries | ||||||||
6.000%, 03/01/27 | ||||||||
(Cost $1,000) | $ | 1,000 | 1,014 | |||||
SHORT-TERM INVESTMENT(B)(C) — 0.6% | ||||||||
Fidelity Investments Money Market Government Portfolio, Cl Institutional, 0.010% | ||||||||
(Cost $1,286,221) | 1,286,221 | 1,286,221 | ||||||
REPURCHASE AGREEMENT(B) — 0.1% | ||||||||
BNP Paribas | ||||||||
0.050%, dated 08/31/20, to be repurchased on 09/01/20, repurchased price $144,088 (collateralized by U.S. Treasury Obligations, with a par value of $147,063, 1.500%, 08/15/2026, with a total market value of $147,063) | ||||||||
(Cost $144,088) | $ | 144,088 | 144,088 | |||||
TOTAL INVESTMENTS — 100.4% | ||||||||
(Cost $235,187,996) | $ | 232,728,132 |
Percentages are based on Net Assets of $231,893,864.
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X U.S. Infrastructure Development ETF |
* | Non-income producing security. |
(A) | This security or a partial position of this security is on loan at August 31, 2020. The total value of securities on loan at August 31, 2020 was $1,387,203. |
(B) | Security was purchased with cash collateral held from securities on loan. The total value of such securities as of August 31, 2020, was $1,430,309. |
(C) | The rate reported on the Schedule of Investments is the 7-day effective yield as of August 31, 2020. |
Cl — Class
The following is a summary of the level of inputs used as of August 31, 2020, in valuing the Fund's investments carried at value:
Investments in Securities | Level 1 | Level 2 | Level 3 | Total | ||||||||||||
Common Stock | $ | 231,296,809 | $ | — | $ | — | $ | 231,296,809 | ||||||||
Corporate Obligation | — | 1,014 | — | 1,014 | ||||||||||||
Short-Term Investment | 1,286,221 | — | — | 1,286,221 | ||||||||||||
Repurchase Agreement | — | 144,088 | — | 144,088 | ||||||||||||
Total Investments in Securities | $ | 232,583,030 | $ | 145,102 | $ | — | $ | 232,728,132 |
For the period ended August 31, 2020, there have been no transfers in or out of Level 3.
For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent annual or semi-annual financial statements.
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Thematic Growth ETF |
Shares | Value | |||||||
EXCHANGE TRADED FUNDS — 101.0% | ||||||||
Affiliated ETF — 101.0% | ||||||||
Global X Cannabis ETF (A) | 547,035 | $ | 5,295,299 | |||||
Global X Cloud Computing ETF (A) | 170,941 | 4,170,960 | ||||||
Global X FinTech ETF (A) | 57,949 | 2,259,432 | ||||||
Global X Genomics & Biotechnology ETF * (A) | 202,703 | 3,593,924 | ||||||
Global X Lithium & Battery Tech ETF (A) | 55,324 | 2,175,340 | ||||||
Global X Robotics & Artificial Intelligence ETF (A) | 78,531 | 2,128,190 | ||||||
Global X Social Media ETF * (A) | 44,982 | 2,263,044 | ||||||
TOTAL EXCHANGE TRADED FUNDS | ||||||||
(Cost $21,807,983) | 21,886,189 | |||||||
TOTAL INVESTMENTS — 101.0% | ||||||||
(Cost $21,807,983) | $ | 21,886,189 |
Percentages are based on Net Assets of $21,672,011.
* Non-income producing security.
(A) Affiliated investment.
ETF — Exchange Traded Fund
As of August 31, 2020, all of the Fund's investments were considered Level 1, in accordance with authoritative guidance on fair value measurements and disclosure under U.S. GAAP.
For the period ended August 31, 2020, there have been no transfers in or out of Level 3.
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Thematic Growth ETF |
The following is a summary of the transactions with affiliates for the period ended August 31, 2020:
Changes in Unrealized | ||||||||||||||||||||||||||||||
Purchases at | Proceeds from | Appreciation | Realized Gain | Dividend | ||||||||||||||||||||||||||
Value At 11/30/19 | Cost | Sales | (Depreciation) | (Loss) | Value at 8/31/20 | Shares | Income | |||||||||||||||||||||||
Global X E-commerce ETF | ||||||||||||||||||||||||||||||
$ | 439,566 | $ | 7,159,572 | $ | (8,262,588 | ) | $ | 3,198 | $ | 660,252 | $ | - | - | $ | 837 | |||||||||||||||
Global X Fintech ETF | ||||||||||||||||||||||||||||||
459,057 | 8,287,099 | (7,113,550 | ) | 2,434 | 624,392 | 2,259,432 | 57,949 | - | ||||||||||||||||||||||
Global X Internet of Things ETF | ||||||||||||||||||||||||||||||
296,729 | 3,282,442 | (3,712,365 | ) | (22,737 | ) | 155,931 | - | - | 2,485 | |||||||||||||||||||||
Global X Lithium & Battery Tech ETF | ||||||||||||||||||||||||||||||
263,961 | 3,545,486 | (1,968,981 | ) | 10,479 | 324,395 | 2,175,340 | 55,324 | 8,029 | ||||||||||||||||||||||
Global X Longevity Thematic ETF | ||||||||||||||||||||||||||||||
272,658 | 3,144,183 | (3,465,482 | ) | (18,959 | ) | 67,600 | - | - | 3,113 | |||||||||||||||||||||
Global X Robotics & Artificial Intelligence EIT | ||||||||||||||||||||||||||||||
285,028 | 3,457,701 | (1,844,188 | ) | 5,825 | 223,824 | 2,128,190 | 78,531 | 3,260 | ||||||||||||||||||||||
Global X Social Media ETF | ||||||||||||||||||||||||||||||
631,522 | 7,010,313 | (6,019,952 | ) | (19,293 | ) | 660,454 | 2,263,044 | 44,982 | - | |||||||||||||||||||||
Global X Cannabis ETF | ||||||||||||||||||||||||||||||
- | 5,300,769 | - | (5,470 | ) | - | 5,295,299 | 547,035 | - | ||||||||||||||||||||||
Global X Cloud Computing ETF | ||||||||||||||||||||||||||||||
- | 4,172,669 | - | (1,709 | ) | - | 4,170,960 | 170,941 | - | ||||||||||||||||||||||
Global X Genomics & Biotechnology ETF | ||||||||||||||||||||||||||||||
- | 3,595,951 | - | (2,027 | ) | - | 3,593,924 | 202,703 | - | ||||||||||||||||||||||
Totals: | ||||||||||||||||||||||||||||||
$ | 2,648,521 | $ | 48,956,185 | $ | (32,387,106 | ) | $ | (48,259 | ) | $ | 2,716,848 | $ | 21,886,189 | 1,157,465 | $ | 17,724 | ||||||||||||||
Amounts designated as “—“ are $0 or have been rounded to $0.
For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent annual or semi-annual financial statements.
GLX-QH-008-0900
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Emerging Market Bond ETF |
Face Amount | Value | |||||||
CORPORATE OBLIGATIONS — 49.7% | ||||||||
Azerbaijan — 0.7% | ||||||||
Southern Gas Corridor CJSC | ||||||||
6.875%, 03/24/26 | $ | 400,000 | $ | 477,080 | ||||
Bahrain — 1.7% | ||||||||
CBB International Sukuk Programme SPC | ||||||||
6.250%, 11/14/24 (A) | 1,000,000 | 1,088,800 | ||||||
Brazil — 6.1% | ||||||||
Braskem America Finance | ||||||||
7.125%, 07/22/41 | 400,000 | 429,000 | ||||||
Embraer Netherlands Finance BV | ||||||||
5.400%, 02/01/27 | 200,000 | 185,002 | ||||||
Klabin Austria GmbH | ||||||||
7.000%, 04/03/49 | 400,000 | 454,360 | ||||||
Petrobras Global Finance BV | ||||||||
8.750%, 05/23/26 | 600,000 | 758,400 | ||||||
5.093%, 01/15/30 | 200,000 | 208,500 | ||||||
Suzano Austria GmbH | ||||||||
7.000%, 03/16/47 | 1,000,000 | 1,163,750 | ||||||
Ultrapar International | ||||||||
5.250%, 06/06/29 | 600,000 | 625,500 | ||||||
Vale Overseas | ||||||||
3.750%, 07/08/30 | 100,000 | 105,050 | ||||||
3,929,562 | ||||||||
Chile — 2.8% | ||||||||
Celulosa Arauco y Constitucion | ||||||||
5.150%, 01/29/50 | 200,000 | 211,000 | ||||||
Empresa Nacional de Telecomunicaciones | ||||||||
4.750%, 08/01/26 | 200,000 | 221,287 | ||||||
Empresa Nacional del Petroleo | ||||||||
5.250%, 11/06/29 | 200,000 | 233,554 | ||||||
Nacional del Cobre de Chile | ||||||||
4.500%, 08/13/23 | 200,000 | 218,048 | ||||||
3.625%, 08/01/27 | 800,000 | 874,211 | ||||||
1,758,100 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Emerging Market Bond ETF |
Face Amount | Value | |||||||
CORPORATE OBLIGATIONS — continued | ||||||||
China — 1.7% | ||||||||
CNAC HK Finbridge | ||||||||
5.125%, 03/14/28 | $ | 200,000 | $ | 236,104 | ||||
4.625%, 03/14/23 | 800,000 | 858,182 | ||||||
1,094,286 | ||||||||
Colombia — 4.0% | ||||||||
Banco de Bogota | ||||||||
4.375%, 08/03/27 | 1,000,000 | 1,047,770 | ||||||
Ecopetrol | ||||||||
5.875%, 05/28/45 | 400,000 | 453,920 | ||||||
5.875%, 09/18/23 | 200,000 | 222,000 | ||||||
5.375%, 06/26/26 | 200,000 | 222,200 | ||||||
Grupo Aval | ||||||||
4.375%, 02/04/30 | 400,000 | 391,400 | ||||||
Grupo Energia Bogota ESP | ||||||||
4.875%, 05/15/30 | 200,000 | 226,260 | ||||||
2,563,550 | ||||||||
India — 3.6% | ||||||||
Adani Renewable Energy RJ MTN | ||||||||
4.625%, 10/15/39 | 583,500 | 565,266 | ||||||
ICICI Bank MTN | ||||||||
3.800%, 12/14/27 | 400,000 | 409,365 | ||||||
Oil India | ||||||||
5.375%, 04/17/24 | 200,000 | 218,438 | ||||||
ONGC Videsh | ||||||||
4.625%, 07/15/24 | 200,000 | 215,884 | ||||||
Power Finance | ||||||||
6.150%, 12/06/28 | 400,000 | 455,081 | ||||||
4.500%, 06/18/29 | 200,000 | 206,277 | ||||||
State Bank of India | ||||||||
4.375%, 01/24/24 | 200,000 | 213,632 | ||||||
2,283,943 | ||||||||
Indonesia — 5.9% | ||||||||
Indonesia Asahan Aluminium Persero | ||||||||
6.530%, 11/15/28 | 200,000 | 247,000 | ||||||
5.800%, 05/15/50 | 400,000 | 487,500 | ||||||
4.750%, 05/15/25 (A) | 1,000,000 | 1,095,244 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Emerging Market Bond ETF |
Face Amount | Value | |||||||
CORPORATE OBLIGATIONS — continued | ||||||||
Indonesia — continued | ||||||||
Pertamina Persero MTN | ||||||||
6.500%, 11/07/48 | $ | 400,000 | $ | 536,000 | ||||
6.450%, 05/30/44 | 200,000 | 264,000 | ||||||
Perusahaan Perseroan Persero Perusahaan Listrik Negara MTN | ||||||||
5.450%, 05/21/28 | 600,000 | 708,000 | ||||||
5.250%, 10/24/42 | 200,000 | 234,500 | ||||||
4.125%, 05/15/27 | 200,000 | 219,250 | ||||||
3,791,494 | ||||||||
Israel — 0.7% | ||||||||
ICL Group | ||||||||
6.375%, 05/31/38 (A) | 200,000 | 249,213 | ||||||
Teva Pharmaceutical Finance Netherlands III BV | ||||||||
2.800%, 07/21/23 | 200,000 | 192,000 | ||||||
441,213 | ||||||||
Jordan — 0.3% | ||||||||
Hikma Finance USA | ||||||||
3.250%, 07/09/25 | 200,000 | 204,040 | ||||||
Kazakhstan — 0.4% | ||||||||
KazMunayGas National JSC | ||||||||
5.375%, 04/24/30 | 200,000 | 239,584 | ||||||
Kuwait — 4.0% | ||||||||
Equate Petrochemical BV MTN | ||||||||
4.250%, 11/03/26 | 400,000 | 427,846 | ||||||
Kuwait Projects SPC | ||||||||
4.229%, 10/29/26 | 800,000 | 778,128 | ||||||
MEGlobal Canada ULC MTN | ||||||||
5.875%, 05/18/30 | 400,000 | 481,548 | ||||||
5.000%, 05/18/25 (A) | 200,000 | 218,500 | ||||||
5.000%, 05/18/25 | 600,000 | 655,500 | ||||||
2,561,522 | ||||||||
Malaysia — 0.4% | ||||||||
Petronas Capital MTN | ||||||||
4.500%, 03/18/45 | 200,000 | 256,606 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Emerging Market Bond ETF |
Face Amount | Value | |||||||
CORPORATE OBLIGATIONS — continued | ||||||||
Mexico — 6.9% | ||||||||
Banco Inbursa Institucion De Banca Multiple Grupo Financiero Inbursa | ||||||||
4.375%, 04/11/27 | $ | 600,000 | $ | 630,264 | ||||
Comision Federal de Electricidad | ||||||||
4.875%, 01/15/24 | 200,000 | 214,252 | ||||||
Grupo Bimbo | ||||||||
4.700%, 11/10/47 | 400,000 | 473,500 | ||||||
Grupo Televisa | ||||||||
5.250%, 05/24/49 | 200,000 | 236,508 | ||||||
Industrias Penoles | ||||||||
4.750%, 08/06/50 | 200,000 | 210,250 | ||||||
4.150%, 09/12/29 | 400,000 | 434,000 | ||||||
Petroleos Mexicanos | ||||||||
7.690%, 01/23/50 | 400,000 | 359,000 | ||||||
6.490%, 01/23/27 | 400,000 | 394,040 | ||||||
6.350%, 02/12/48 | 600,000 | 483,912 | ||||||
5.950%, 01/28/31 | 400,000 | 361,360 | ||||||
Sigma Alimentos | ||||||||
4.125%, 05/02/26 | 600,000 | 644,400 | ||||||
4,441,486 | ||||||||
Morocco — 3.1% | ||||||||
OCP | ||||||||
6.875%, 04/25/44 | 1,400,000 | 1,793,624 | ||||||
5.625%, 04/25/24 | 200,000 | 217,250 | ||||||
2,010,874 | ||||||||
Panama — 0.6% | ||||||||
Banistmo | ||||||||
4.250%, 07/31/27 | 400,000 | 407,040 | ||||||
Peru — 1.1% | ||||||||
Lima Metro Line 2 Finance | ||||||||
4.350%, 04/05/36 | 200,000 | 225,000 | ||||||
Nexa Resources | ||||||||
6.500%, 01/18/28 | 200,000 | 223,000 | ||||||
Petroleos del Peru | ||||||||
5.625%, 06/19/47 | 200,000 | 244,000 | ||||||
692,000 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Emerging Market Bond ETF |
Face Amount | Value | |||||||
CORPORATE OBLIGATIONS — continued | ||||||||
Saudi Arabia — 2.9% | ||||||||
Acwa Power Management And Investments One | ||||||||
5.950%, 12/15/39 | $ | 800,000 | $ | 889,472 | ||||
SABIC Capital II BV | ||||||||
4.500%, 10/10/28 | 200,000 | 235,073 | ||||||
Saudi Arabian Oil MTN | ||||||||
3.500%, 04/16/29 | 200,000 | 220,193 | ||||||
Saudi Electricity Global Sukuk 2 | ||||||||
5.060%, 04/08/43 | 400,000 | 499,976 | ||||||
1,844,714 | ||||||||
South Africa — 0.4% | ||||||||
Fields Orogen Holdings BVI | ||||||||
6.125%, 05/15/29 | 200,000 | 239,100 | ||||||
Turkey — 0.3% | ||||||||
Tupras Turkiye Petrol Rafinerileri | ||||||||
4.500%, 10/18/24 | 200,000 | 185,834 | ||||||
United Arab Emirates — 2.1% | ||||||||
DP World Crescent | ||||||||
3.908%, 05/31/23 | 200,000 | 210,890 | ||||||
DP World MTN | ||||||||
6.850%, 07/02/37 | 500,000 | 638,230 | ||||||
5.625%, 09/25/48 | 400,000 | 472,000 | ||||||
1,321,120 | ||||||||
TOTAL CORPORATE OBLIGATIONS | ||||||||
(Cost $30,439,311) | 31,831,948 | |||||||
SOVEREIGN DEBT — 47.3% | ||||||||
Azerbaijan — 1.4% | ||||||||
Republic of Azerbaijan International Bond | ||||||||
4.750%, 03/18/24 | 800,000 | 867,917 | ||||||
Bahrain — 0.4% | ||||||||
Bahrain Government International Bond | ||||||||
7.000%, 10/12/28 | 200,000 | 227,952 | ||||||
Brazil — 0.7% | ||||||||
Brazilian Government International Bond | ||||||||
5.625%, 02/21/47 | 400,000 | 449,204 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Emerging Market Bond ETF |
Face Amount | Value | |||||||
SOVEREIGN DEBT — continued | ||||||||
Chile — 0.3% | ||||||||
Chile Government International Bond | ||||||||
2.450%, 01/31/31 | $ | 200,000 | $ | 211,200 | ||||
Colombia — 2.8% | ||||||||
Colombia Government International Bond | ||||||||
5.000%, 06/15/45 | 200,000 | 239,500 | ||||||
4.500%, 01/28/26 | 400,000 | 444,204 | ||||||
4.500%, 03/15/29 | 400,000 | 451,196 | ||||||
4.125%, 05/15/51 | 400,000 | 428,000 | ||||||
3.875%, 04/25/27 | 200,000 | 217,802 | ||||||
1,780,702 | ||||||||
Croatia — 1.0% | ||||||||
Croatia Government International Bond | ||||||||
5.500%, 04/04/23 | 600,000 | 665,990 | ||||||
Dominican Republic — 1.3% | ||||||||
Dominican Republic International Bond | ||||||||
6.500%, 02/15/48 | 400,000 | 409,400 | ||||||
5.950%, 01/25/27 | 200,000 | 214,300 | ||||||
5.500%, 01/27/25 | 200,000 | 209,600 | ||||||
833,300 | ||||||||
Egypt — 2.5% | ||||||||
Egypt Government International Bond | ||||||||
8.700%, 03/01/49 | 400,000 | 410,688 | ||||||
7.903%, 02/21/48 (A) | 200,000 | 193,192 | ||||||
7.903%, 02/21/48 | 200,000 | 193,192 | ||||||
7.625%, 05/29/32 (A) | 600,000 | 609,786 | ||||||
7.600%, 03/01/29 | 200,000 | 209,708 | ||||||
1,616,566 | ||||||||
El Salvador — 0.3% | ||||||||
El Salvador Government International Bond | ||||||||
7.125%, 01/20/50 (A) | 200,000 | 171,400 | ||||||
Hungary — 1.8% | ||||||||
Hungary Government International Bond | ||||||||
5.750%, 11/22/23 | 400,000 | 459,027 | ||||||
5.375%, 03/25/24 | 600,000 | 689,903 | ||||||
1,148,930 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Emerging Market Bond ETF
Face Amount | Value | |||||||
SOVEREIGN DEBT — continued | ||||||||
India — 1.3% | ||||||||
Export-Import Bank of India | ||||||||
3.875%, 02/01/28 | $ | 200,000 | $ | 211,810 | ||||
3.375%, 08/05/26 | 600,000 | 634,044 | ||||||
845,854 | ||||||||
Indonesia — 0.7% | ||||||||
Indonesia Government International Bond | ||||||||
2.850%, 02/14/30 | 200,000 | 210,928 | ||||||
Perusahaan Penerbit SBSN Indonesia III | ||||||||
3.400%, 03/29/22 (A) | 200,000 | 207,202 | ||||||
418,130 | ||||||||
Ivory Coast — 1.9% | ||||||||
Ivory Coast Government International Bond | ||||||||
6.375%, 03/03/28 | 600,000 | 624,043 | ||||||
6.125%, 06/15/33 | 600,000 | 604,500 | ||||||
1,228,543 | ||||||||
Jordan — 1.6% | ||||||||
Jordan Government International Bond | ||||||||
7.375%, 10/10/47 | 600,000 | 627,289 | ||||||
5.750%, 01/31/27 | 400,000 | 411,325 | ||||||
1,038,614 | ||||||||
Kuwait — 0.7% | ||||||||
Kuwait International Government Bond | ||||||||
3.500%, 03/20/27 | 400,000 | 452,496 | ||||||
Mexico — 1.4% | ||||||||
Mexico Government International Bond | ||||||||
5.000%, 04/27/51 | 200,000 | 230,750 | ||||||
4.125%, 01/21/26 | 400,000 | 446,200 | ||||||
3.750%, 01/11/28 | 200,000 | 215,880 | ||||||
892,830 | ||||||||
Nigeria — 0.9% | ||||||||
Nigeria Government International Bond | ||||||||
7.625%, 11/21/25 | 200,000 | 211,984 | ||||||
7.625%, 11/28/47 (A) | 200,000 | 189,967 | ||||||
6.500%, 11/28/27 | 200,000 | 198,308 | ||||||
600,259 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Emerging Market Bond ETF
Face Amount | Value | |||||||
SOVEREIGN DEBT — continued | ||||||||
Oman — 1.5% | ||||||||
Oman Government International Bond | ||||||||
6.000%, 08/01/29 | $ | 200,000 | $ | 195,620 | ||||
4.125%, 01/17/23 | 600,000 | 590,880 | ||||||
3.875%, 03/08/22 (A) | 200,000 | 198,016 | ||||||
984,516 | ||||||||
Pakistan — 0.7% | ||||||||
Pakistan Government International Bond | ||||||||
8.250%, 04/15/24 | 400,000 | 435,320 | ||||||
Panama — 2.5% | ||||||||
Panama Government International Bond | ||||||||
4.500%, 05/15/47 | 200,000 | 257,500 | ||||||
4.000%, 09/22/24 | 400,000 | 440,004 | ||||||
3.875%, 03/17/28 | 200,000 | 227,502 | ||||||
3.750%, 03/16/25 | 600,000 | 660,006 | ||||||
1,585,012 | ||||||||
Paraguay — 1.1% | ||||||||
Paraguay Government International Bond | ||||||||
5.400%, 03/30/50 | 200,000 | 251,802 | ||||||
5.000%, 04/15/26 | 200,000 | 230,000 | ||||||
4.950%, 04/28/31 | 200,000 | 231,000 | ||||||
712,802 | ||||||||
Peru — 0.3% | ||||||||
Peruvian Government International Bond | ||||||||
2.783%, 01/23/31 | 200,000 | 217,900 | ||||||
Philippines — 1.1% | ||||||||
Philippine Government International Bond | ||||||||
3.700%, 03/01/41 | 400,000 | 461,376 | ||||||
3.700%, 02/02/42 | 200,000 | 231,880 | ||||||
693,256 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Emerging Market Bond ETF
Face Amount | Value | |||||||
SOVEREIGN DEBT — continued | ||||||||
Qatar — 3.7% | ||||||||
Qatar Government International Bond | ||||||||
4.817%, 03/14/49 | $ | 400,000 | $ | 546,970 | ||||
4.500%, 04/23/28 | 400,000 | 479,481 | ||||||
4.000%, 03/14/29 | 200,000 | 233,898 | ||||||
3.750%, 04/16/30 | 200,000 | 232,896 | ||||||
3.400%, 04/16/25 | 400,000 | 438,612 | ||||||
3.375%, 03/14/24 | 200,000 | 215,580 | ||||||
3.250%, 06/02/26 | 200,000 | 220,716 | ||||||
2,368,153 | ||||||||
Romania — 1.4% | ||||||||
Romanian Government International Bond MTN | ||||||||
4.875%, 01/22/24 | 600,000 | 659,341 | ||||||
4.375%, 08/22/23 | 200,000 | 215,620 | ||||||
874,961 | ||||||||
Russia — 1.9% | ||||||||
Russian Foreign Bond - Eurobond | ||||||||
5.250%, 06/23/47 | 200,000 | 271,876 | ||||||
5.100%, 03/28/35 | 400,000 | 497,450 | ||||||
4.375%, 03/21/29 | 400,000 | 459,320 | ||||||
1,228,646 | ||||||||
Saudi Arabia — 2.1% | ||||||||
Saudi Government International Bond MTN | ||||||||
4.625%, 10/04/47 (A) | 200,000 | 245,284 | ||||||
4.500%, 04/17/30 | 400,000 | 476,895 | ||||||
3.250%, 10/22/30 (A) | 200,000 | 216,560 | ||||||
2.900%, 10/22/25 (A) | 200,000 | 212,008 | ||||||
2.500%, 02/03/27 | 200,000 | 207,712 | ||||||
1,358,459 | ||||||||
Senegal — 1.0% | ||||||||
Senegal Government International Bond | ||||||||
6.250%, 07/30/24 | 200,000 | 210,621 | ||||||
6.250%, 05/23/33 | 400,000 | 411,542 | ||||||
622,163 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Emerging Market Bond ETF
Face Amount | Value | |||||||
SOVEREIGN DEBT — continued | ||||||||
South Africa — 2.1% | ||||||||
Republic of South Africa Government International Bond | ||||||||
5.875%, 09/16/25 | $ | 200,000 | $ | 216,088 | ||||
5.750%, 09/30/49 | 400,000 | 357,540 | ||||||
5.650%, 09/27/47 | 200,000 | 179,000 | ||||||
4.850%, 09/27/27 | 200,000 | 201,000 | ||||||
4.850%, 09/30/29 | 200,000 | 194,972 | ||||||
4.300%, 10/12/28 | 200,000 | 191,996 | ||||||
1,340,596 | ||||||||
Turkey — 2.6% | ||||||||
Turkey Government International Bond | ||||||||
6.625%, 02/17/45 | 400,000 | 359,000 | ||||||
6.125%, 10/24/28 | 200,000 | 193,000 | ||||||
6.000%, 01/14/41 | 200,000 | 172,500 | ||||||
5.250%, 03/13/30 | 600,000 | 540,492 | ||||||
5.125%, 02/17/28 | 200,000 | 183,500 | ||||||
3.250%, 03/23/23 | 200,000 | 189,600 | ||||||
1,638,092 | ||||||||
Ukraine — 0.3% | ||||||||
Ukraine Government International Bond | ||||||||
7.750%, 09/01/26 | 200,000 | 210,976 | ||||||
United Arab Emirates — 2.1% | ||||||||
Abu Dhabi Government International Bond | ||||||||
3.875%, 04/16/50 | 200,000 | 243,421 | ||||||
3.125%, 10/11/27 | 400,000 | 444,413 | ||||||
3.125%, 04/16/30 | 200,000 | 223,793 | ||||||
2.500%, 04/16/25 | 400,000 | 423,980 | ||||||
1,335,607 | ||||||||
Uruguay — 1.5% | ||||||||
Uruguay Government International Bond | ||||||||
4.975%, 04/20/55 | 200,000 | 274,002 | ||||||
4.375%, 10/27/27 | 400,000 | 465,400 | ||||||
4.375%, 01/23/31 | 200,000 | 239,502 | ||||||
978,904 |
Schedule of Investments | August 31, 2020 (Unaudited) |
Global X Emerging Market Bond ETF
Face Amount | Value | |||||||
SOVEREIGN DEBT — continued | ||||||||
Vietnam — 0.4% | ||||||||
Vietnam Government International Bond | ||||||||
4.800%, 11/19/24 | $ | 200,000 | $ | 223,500 | ||||
TOTAL SOVEREIGN DEBT | ||||||||
(Cost $29,343,358) | 30,258,750 | |||||||
U.S. TREASURY OBLIGATION — 1.3% | ||||||||
U.S. Treasury Note | ||||||||
0.125%, 05/31/22 | ||||||||
(Cost $799,075) | 800,000 | 799,719 | ||||||
TOTAL INVESTMENTS — 98.3% | ||||||||
(Cost $60,581,744) | $ | 62,890,417 | ||||||
Percentages are based on Net Assets of $64,002,612. | ||||||||
(A) Security exempt from registration under Rule 144A of the Securities Act of 1933. This security may be resold in transactions exempt from registration normally to qualified institutions. On August 31, 2020, the value of these securities amounted to $4,895,172, representing 7.6% of the net assets of the Fund.
MTN — Medium Term Note |
As of August 31, 2020, all of the Fund's investments were considered level 2, in accordance with authoritative guidance on fair value measurements and disclosure under U.S. GAAP. |
For the period ended August 31, 2020, there have been no transfers in or out of Level 3.
For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent annual or semi-annual financial statements.
GLX-QH-009-0100