• LAST PRICE
    49.93
  • TODAY'S CHANGE (%)
    Trending Up0.02 (0.05%)
  • Bid / Lots
    37.45/ 2
  • Ask / Lots
    62.41/ 2
  • Open / Previous Close
    49.93 / 49.91
  • Day Range
    Low 49.93
    High 49.93
  • 52 Week Range
    Low 49.88
    High 50.26
  • Volume
    4
    below average
  • Overall Morningstar Rating
    Please Note: Not Ratedout of 163 funds

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Price Comparison Graph. See accessible table below
Table Data Not Available
Data delayed at least 15 minutes.

Daily Premium/Discount

Bar Graph.See accessible table below
Daily Premium/Discount accessibility chart. Data as of 11/16/2024
DateDaily Premium/Discount
09/10/2024 0.11%
09/11/2024 0.09%
09/12/2024 0.09%
09/13/2024 0.09%
09/16/2024 0.07%
09/17/2024 0.06%
09/18/2024 0.05%
09/19/2024 0.10%
09/20/2024 0.09%
09/23/2024 0.07%
09/24/2024 0.08%
09/25/2024 0.05%
09/26/2024 0.07%
09/27/2024 0.07%
09/30/2024 Largest Premium0.15%
10/01/2024 0.07%
10/02/2024 0.07%
10/03/2024 0.09%
10/04/2024 0.07%
10/07/2024 0.08%
10/08/2024 0.09%
10/09/2024 0.06%
10/10/2024 0.12%
10/11/2024 0.08%
10/14/2024 0.09%
10/15/2024 0.08%
10/16/2024 0.06%
10/17/2024 0.09%
10/18/2024 0.08%
10/21/2024 0.08%
10/22/2024 0.06%
10/23/2024 0.06%
10/24/2024 0.06%
10/25/2024 0.05%
10/28/2024 0.07%
10/29/2024 0.06%
10/30/2024 0.04%
10/31/2024 0.07%
11/01/2024 0.08%
11/04/2024 0.06%
11/05/2024 0.06%
11/06/2024 0.04%
11/07/2024 0.11%
11/08/2024 0.06%
11/11/2024 0.06%
11/12/2024 0.10%
11/13/2024 0.02%
11/14/2024 0.03%
11/15/2024 Largest Discount0.01%
ETFs trading at a price higher than its Net Asset Value (NAV) is said to be trading at a premium, while those trading at price lower than its NAV is said to be at a discount. By showing the daily premium/discount percentage, we can see the trend in market sentiments, regarding the value of an ETF over time.
Asset Class
Asset Class
US Bond
99.5%
Cash
0.5%
Convertible
0
Non-US Bond
0
Non-US Stock
0
Other
0
Sectors
No data available
Geographic Region
Geographic Region
No data available
As of 2024-11-18
Top 10 Holdings
Company Name sortablePosition sortableAllocation sortable
Allocation
1 Month Change
sortable
Market Value sortable
CanadaUnited States Treasury Notes 4.25%
Long
6.2%
0.00%
$244.8K
CanadaUnited States Treasury Notes 0.375%
Long
5.8%
0.00%
$230.1K
CanadaUnited States Treasury Notes 4.125%
Long
3.8%
0.00%
$149.9K
CanadaUnited States Treasury Notes 0.5%
Long
3.6%
0.00%
$142.8K
CanadaUnited States Treasury Notes 0.75%
Long
3.6%
0.00%
$142.1K
CanadaUnited States Treasury Notes 4.625%
Long
3.2%
0.00%
$125.8K
CanadaUnited States Treasury Notes 3.5%
Long
3.1%
0.00%
$124.1K
CanadaUnited States Treasury Notes 2.375%
Long
3.1%
0.00%
$121.7K
CanadaUnited States Treasury Notes 5%
Long
3.0%
0.00%
$120.8K
CanadaUnited States Treasury Notes 4.5%
Long
3.0%
0.00%
$120.4K
As of 2024-11-15

Reports

No reports available

Morningstar Ratings

Morningstar Ratings Table
Time HorizonStar Rating
Overall RatingPlease Note: Not Rated
3 Year RatingPlease Note: Not Rated
5 Year RatingPlease Note: Not Rated
10 Year RatingPlease Note: Not Rated
As of 2024-10-31

Past performance is no guarantee of future results. The ratings reflect historical risk-adjusted performance, and the overall rating is derived from a weight average of the fund's 3, 5, and 10 year (Morningstar Rating) metrics.

Style Box is calculated only using the long position holdings of the portfolio.

ETF Profile
Best Fit Index
FTSE US Treasury 1-3Y Laddered Bd TR USD
Category
Sponsor
Global X Management Company LLC
Inception
September 9, 2024
As of 2024-10-31

The investment seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the FTSE US Treasury 1-3 Years Laddered Bond Index. The fund invests at least 80% of its total assets, plus borrowings for investment purposes (if any), in the securities of the index. The index is designed to measure the performance of a strategy commonly referred to as bond “laddering” as applied to public obligations of the U.S. Treasury that have maturities between 1 and 3 years as of the last business day of February of each year.

Holding Details
Total Net Assets$4.0M
Shares Out.80.0K
Net Asset Value (NAV)$49.90
Prem/Discount to NAV0.01%
P/E Ratio---
Dividend Yield0.34%
Dividend per Share0.17 USD
Ex-Dividend Date11/5/2024
Dividend Payment Date11/13/2024
Beta---
Morningstar Investment StyleShort Government
Equity Style
---
Credit Quality / Duration
---
Fees & Expenses
Actual Management Fee0.12%
Actual Mgmt. Expense Ratio (MER)---