FLAG ETF Holdings, Assets and Portfolio Data - Global X Funds - Global X SandP 500 U S Market Leaders Top 50 ETF

Global X Funds - Global X SandP 500 U S Market Leaders Top 50 ETF

Basic Stats

Global X S&P 500 U.S. Market Leaders Top 50 ETF
GLOBAL X FUNDS
Basic Stats
Net Assets $1.65M Total Assets $1.65M
Total Liabilities $383.92 Holdings 50
Portfolio data as of April 30, 2026 Filed with SEC June 29, 2026
Basic Stats
Net Assets $1.65M
Total Assets $1.65M
Total Liabilities $383.92
Holdings 50
Portfolio data as of April 30, 2026
Filed with SEC June 29, 2026
Classification tags describe the fund/manager (owner) taxonomy — owner type, management style, strategy, asset-class and country focus — derived from filings and, where enabled, AI. They are separate from the individual holdings shown below.
Owner Type ETF
Management Style Passive
Strategy Long-Only

Source filing: View SEC filing

All monetary values are reported in USD from the SEC NPORT filing.

Holdings and net assets are sourced from NPORT filings. Market price and enriched data (expense ratio, yield) come from separate sources.

Portfolio data is sourced from SEC NPORT filings, which disclose fund holdings and risk information for a reporting period.

Reported holdings reflect the reporting period and may differ from the funds current portfolio.

Classification tags describe the fund/manager (owner) taxonomy — owner type, management style, strategy, asset-class and country focus — derived from filings and, where enabled, AI. They are separate from the individual holdings shown below.

Portfolio Allocation

By asset category

Fund allocation breakdown by By asset category
Category Value % of Net Assets
EC $1.64M 99.77%

By instrument type

Fund allocation breakdown by By instrument type
Category Value % of Net Assets
EQUITY $1.64M 99.77%

Allocation is aggregated from the funds reported holdings and shown as a percent of net assets.

Top Holdings

Name Identifier Asset Category Instrument Type Market Value Notional % of Net Assets
WALMART INC. 931142103 EC EQUITY $87,337.66 5.30%
AMAZON.COM, INC. N/A EC EQUITY $85,879.44 5.21%
CISCO SYSTEMS, INC. 17275R102 EC EQUITY $85,552.50 5.19%
UNITEDHEALTH GROUP INCORPORATED 91324P102 EC EQUITY $84,469.44 5.12%
MERCK & CO., INC. 58933Y105 EC EQUITY $82,976.80 5.03%
ABBVIE INC. 00287Y109 EC EQUITY $70,369.56 4.27%
ELI LILLY AND COMPANY 532457108 EC EQUITY $70,095.00 4.25%
THE HOME DEPOT, INC. 437076102 EC EQUITY $70,034.40 4.25%
MICROSOFT CORPORATION 594918104 EC EQUITY $64,021.46 3.88%
Pepsico, Inc. 713448108 EC EQUITY $63,712.98 3.87%
VERIZON COMMUNICATIONS INC. 92343V104 EC EQUITY $63,303.54 3.84%
ORACLE CORPORATION 68389X105 EC EQUITY $54,227.04 3.29%
ARISTA NETWORKS, INC. N/A EC EQUITY $52,849.26 3.21%
PFIZER INC. 717081103 EC EQUITY $45,924.00 2.79%
S&P GLOBAL INC. 78409V104 EC EQUITY $40,535.62 2.46%
LOWE'S COMPANIES, INC. 548661107 EC EQUITY $40,355.51 2.45%
Altria Group, Inc. 02209S103 EC EQUITY $36,470.30 2.21%
STARBUCKS CORPORATION 855244109 EC EQUITY $36,233.52 2.20%
CAPITAL ONE FINANCIAL CORPORATION 14040H105 EC EQUITY $35,773.10 2.17%
THE PROGRESSIVE CORPORATION 743315103 EC EQUITY $35,626.56 2.16%
INTUIT INC. 461202103 EC EQUITY $32,634.00 1.98%
LOCKHEED MARTIN CORPORATION 539830109 EC EQUITY $31,596.17 1.92%
ADOBE INC. 00724F101 EC EQUITY $31,008.60 1.88%
MCKESSON CORPORATION 58155Q103 EC EQUITY $30,162.40 1.83%
O'Reilly Automotive, Inc. 67103H107 EC EQUITY $26,539.80 1.61%

Market value is the reported value of the position. Notional is the contract/reference exposure for derivatives and is not the same as market value or ownership value.

Showing the top 25 of 50 reported holdings.

Geographic & Currency Exposure

By country

Fund allocation breakdown by By country
Category Value % of Net Assets
US $1.64M 99.77%

By currency

Fund allocation breakdown by By currency
Category Value % of Net Assets
USD $1.64M 99.77%

Exposure is aggregated from the funds reported holdings by investment country and currency, shown as a percent of net assets.

Performance (SEC three-month snapshot)

Fund monthly total returns by share class
Share class Month 1 Return Month 2 Return Month 3 Return
C000259403 5.25% -6.22% 0.61%

Monthly total returns are the SEC NPORT three-month reporting-period snapshot, not a full performance history. Month 1, 2 and 3 are the reporting-period months within the filing, not specific calendar months.

Monthly Capital Flows

Fund monthly capital flows
Month Sales Reinvestment Redemption
Month 1 $0.00 $0.00 $0.00
Month 2 $0.00 $0.00 $0.00
Month 3 $0.00 $0.00 $0.00

Monthly capital flows (sales, reinvestment and redemption) are reported in USD for each month of the filings reporting period. Month 1, 2 and 3 are the reporting-period months within the filing, not specific calendar months.

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