S&P 500 Quality Dividend ETF

Fund Summary

The Global X S&P 500 Quality Dividend ETF (QDIV) invests in U.S. equity securities included in the S&P 500 Index that rank within the top 200 of the index's universe by both quality score and dividend yield.

Fund Objective

The Global X S&P 500 Quality Dividend ETF (QDIV) seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the S&P 500 Quality High Dividend Index.


Focus on Quality

QDIV invests in companies that score in the top 200 of the S&P 500 based on a variety of quality metrics including return-on-equity, accruals, and financial leverage.

High Income Potential

To qualify for QDIV, a company must score in the top 200 of the S&P 500 in dividend yield.

Monthly Distributions

QDIV makes distributions on a monthly basis.

Fund Details As of 4/3/20

Key Facts

Ticker QDIV
Inception Date 2018-07-13
CUSIP 37954Y616
ISIN US37954Y6169
Bloomberg Index Ticker SPXQHDUT
Primary Exchange NYSE Arca

Stats & Fees

Net Assets $3,556,427.09
NAV $17.78
Shares Outstanding 200,002
Total Expense Ratio 0.20%


30-Day SEC Yield 4.56%
12-Month Trailing Yield 4.57%
Distribution Yield 4.79%
Distribution Frequency Monthly

Fund Prices As of 4/3/20

NAV Price
Net Asset Value $17.78 Closing Price $17.77
Daily Change -$0.26 -1.47% Daily Change -$0.28 -1.55%

Performance History

Cumulative %

Data as of month end (3/31/20)

Fund NAV Closing Price Index
1 Month -18.55% -18.94% -18.53%
3 Months -31.00% -31.03% -30.97%
6 Months -25.29% -25.38% -25.21%
Since Inception -21.89% -21.88% -21.45%

Avg Annualized %

Data as of month end (3/31/20)

Fund NAV Closing Price Index
1 Year -23.97% -24.06% -23.72%
Since Inception -13.41% -13.41% -13.11%

Avg Annualized %

Data as of quarter end (3/31/20)

Fund NAV Closing Price Index
1 Year -23.97% -24.06% -23.72%
Since Inception -13.41% -13.41% -13.11%

Cumulative return is the aggregate amount that an investment has gained or lost over time. Annualized Return is the average return gained or lost by an investment each year over a given time period.

The performance data quoted represents past performance. Past performance does not guarantee future results. The investment return and principal value of an investment will fluctuate so that an investor’s shares, when sold or redeemed, may be worth more or less than their original cost and current performance may be lower or higher than the performance quoted.

Fund Characteristics As of 4/2/20

Return on Equity 11.90%
Average Market Cap $47,632.00 M
2019 2020
Price-to-earnings 9.30 10.43
Price-to-book value 1.27 1.20

Source: AltaVista Research, LLC

Fund Risk Stats As of 4/2/20

Versus Beta
S&P 500 1.24
MSCI Emg. Mkts 1.02
Standard Deviation 24.70%

Source: AltaVista Research, LLC

Top 10 Holdings

As of 4/3/20
Net Assets % Name Market Price ($) Shares Held Market Value ($)
2.55 GILEAD SCIENCES INC 78.21 1,159 90,645.39
2.49 CLOROX COMPANY 177.54 499 88,592.46
2.31 CABOT OIL & GAS CORP 17.35 4,732 82,100.20
2.03 JOHNSON & JOHNSON 134.17 538 72,183.46
2.02 PUBLIC STORAGE 194.08 370 71,809.60
1.96 PROCTER & GAMBLE CO/THE 115.08 606 69,738.48
1.93 PEPSICO INC 124.59 552 68,773.68
1.93 LOCKHEED MARTIN CORP 350.50 196 68,698.00
1.90 CH ROBINSON 68.15 994 67,741.10
1.88 PFIZER INC 33.64 1,986 66,809.04
Holdings are subject to change. Cash, where shown, includes other assets and liabilities, such as payables and receivables.

Investing involves risk, including the possible loss of principal. There is no guarantee dividends will be paid. Companies may reduce or eliminate dividends at any time. QDIV is non-diversified.

Shares of ETFs are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Brokerage commissions will reduce returns. Global X NAVs are calculated using prices as of 4:00 PM Eastern Time. The closing price is the Mid-Point between the Bid and Ask price as of the close of exchange. Closing price returns do not represent the returns you would receive if you traded shares at other times. Indices are unmanaged and do not include the effect of fees, expenses or sales charges. One cannot invest directly in an index.

Since the Fund’s shares typically do not trade in the secondary market until several days after the Fund’s inception, for the period from inception to the first day of secondary market trading in Shares, the NAV of the Fund is used to calculate market returns.

Carefully consider the Fund’s investment objectives, risks, and charges and expenses before investing. This and other information can be found in the Fund’s summary or full prospectuses. Please read the prospectus carefully before investing.