Schedule of Investments   January 31, 2026 (Unaudited)
  Global X Silver Miners ETF  

 

   Shares   Value 
COMMON STOCK — 100.0%          
AUSTRALIA — 1.1%          
Materials — 1.1%          
Andean Silver *(A)   5,455,521   $8,217,010 
Kingsgate Consolidated *(A)   9,261,927    42,304,644 
Silver Mines *(A)   71,297,087    12,486,792 
Unico Silver *(A)   14,260,319    8,891,158 
           
TOTAL AUSTRALIA        71,899,604 
BRAZIL — 21.5%          
Materials — 21.5%          
Wheaton Precious Metals    10,186,667    1,343,315,777 
           
CANADA — 39.6%          
Materials — 39.6%          
AbraSilver Resource *   5,683,437    49,986,881 
Aftermath Silver *   8,928,824    6,263,991 
Americas Gold & Silver *   8,634,136    64,334,403 
Andean Precious Metals *(A)   1,842,797    11,866,625 
Avino Silver & Gold Mines *   5,618,689    50,537,704 
Blackrock Silver *(A)   10,831,742    11,678,428 
Discovery Silver *   26,773,177    189,408,142 
Dolly Varden Silver *(A)   2,345,464    11,015,878 
Endeavour Silver *(A)   10,464,767    114,379,903 
First Majestic Silver   16,065,307    336,337,521 
Fortuna Mining *   12,953,558    127,416,750 
GoGold Resources *   12,960,438    30,531,180 
Guanajuato Silver *(A)   19,091,208    11,278,637 
Integra Resources, Cl Common Subs. Receipt *   6,733,875    24,913,572 
McEwen *(A)   1,889,099    45,621,741 
New Pacific Metals *   4,259,480    14,374,939 
OR Royalties   5,984,959    237,294,575 
Pan American Silver   13,432,974    733,440,380 
Santacruz Silver Mining *(A)   3,523,259    42,461,759 
Silver Tiger Metals *(A)   14,816,507    11,160,386 
SSR Mining *   8,516,162    194,423,979 
Triple Flag Precious Metals   2,800,290    94,938,754 
Vizsla Silver *   11,326,137    57,628,094 
           
TOTAL CANADA        2,471,294,222 
 

Schedule of Investments   January 31, 2026 (Unaudited)
  Global X Silver Miners ETF  

 

   Shares   Value 
COMMON STOCK — continued          
CHINA — 1.4%          
Materials — 1.4%          
Silvercorp Metals   8,895,470   $90,061,584 
           
MEXICO — 10.7%          
Materials — 10.7%          
Fresnillo   7,139,520    362,692,671 
Industrias Penoles *   5,216,299    304,552,236 
           
TOTAL MEXICO        667,244,907 
MOROCCO — 1.3%          
Materials — 1.3%          
Aya Gold & Silver *(A)   4,991,511    81,462,462 
           
PERU — 4.5%          
Materials — 4.5%          
Cia de Minas Buenaventura SAA ADR   6,950,054    238,108,850 
Hochschild Mining   4,709,978    43,691,698 
           
TOTAL PERU        281,800,548 
SOUTH KOREA — 5.5%          
Materials — 5.5%          
Korea Zinc   261,394    342,133,039 
           
UNITED STATES — 14.4%          
Materials — 14.4%          
Coeur Mining *   23,353,436    477,344,232 
Gold Resource *   3,912,978    5,243,390 
Hecla Mining   16,143,125    363,543,175 
Hycroft Mining Holding, Cl A *(A)   1,432,333    53,497,638 
           
TOTAL UNITED STATES        899,628,435 
TOTAL COMMON STOCK
(Cost $3,467,528,052)
        6,248,840,578 
           
   Face Amount      
U.S. TREASURY OBLIGATIONS — 12.7%          
U.S. Treasury Bills
3.640%, 03/3/2026(B)
  $500,000,000    498,539,930 
 

Schedule of Investments   January 31, 2026 (Unaudited)
  Global X Silver Miners ETF  

 

   Face Amount   Value 
U.S. TREASURY OBLIGATIONS — continued          
0.000%, 03/31/2026(C)  $300,000,000   $298,269,099 
         796,809,029 
TOTAL U.S. TREASURY OBLIGATIONS
(Cost $796,892,583)
        796,809,029 
           
REPURCHASE AGREEMENTS(D) — 0.6%          
Bank of America Securities, Inc.
3.670%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $7,604,881 (collateralized by various U.S. Government Obligations, ranging in par value $15,918 - $4,144,838, 1.500% - 6.500%, 08/01/2033 - 02/01/2056, with a total market value of $7,730,732)
   7,602,556    7,602,556 
Citadel Securities LLC
3.710%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $8,090,326 (collateralized by various U.S. Treasury Obligations, ranging in par value $508 - $777,272, 0.000% - 4.500%, 02/15/2026 - 11/15/2055, with a total market value of $8,211,494)
   8,087,826    8,087,826 
Citigroup Global Markets, Inc.
3.660%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $2,066,922 (collateralized by various U.S. Treasury Obligations, ranging in par value $2,040,838, 4.250%, 02/15/2028, with a total market value of $2,068,022)
   2,066,292    2,066,292 
Citigroup Global Markets, Inc.
3.670%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $601,981 (collateralized by various U.S. Government Obligations, ranging in par value $3,595 - $21,353, 3.500% - 7.500%, 11/01/2049 - 01/20/2056, with a total market value of $610,896)
   601,797    601,797 
 

Schedule of Investments   January 31, 2026 (Unaudited)
  Global X Silver Miners ETF  

 

   Face Amount   Value 
REPURCHASE AGREEMENTS(D) — continued          
Clear Street LLC
3.720%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $7,604,913 (collateralized by various U.S. Government Obligations, ranging in par value $11,327 - $2,215,297, 2.500% - 7.000%, 11/01/2030 - 02/01/2056, with a total market value of $7,720,539)
  $7,602,556   $7,602,556 
JP Morgan Securities LLC
3.670%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $2,265,684 (collateralized by various U.S. Government Obligations, ranging in par value $2,110 - $363,025, 1.500% - 7.000%, 04/01/2035 - 02/01/2056, with a total market value of $2,300,799)
   2,264,991    2,264,991 
Nomura Securities International, Inc.
3.670%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $6,192,158 (collateralized by various U.S. Government Obligations, ranging in par value $5,688 - $1,226,772, 2.500% - 6.500%, 08/01/2035 - 01/01/2056, with a total market value of $6,287,976)
   6,190,265    6,190,265 
           
TOTAL REPURCHASE AGREEMENTS
(Cost $34,416,283)
        34,416,283 
TOTAL INVESTMENTS — 113.3%
(Cost $4,298,836,918)
       $7,080,065,890 

 

Percentages are based on Net Assets of $6,248,373,130.

 

* Non-income producing security.
(A) This security or a partial position of this security is on loan at January 31, 2026. The total market value of securities on loan at January 31, 2026 was $29,828,801.
(B) Interest rate represents the security’s effective yield at the time of purchase.
(C) There is currently no stated interest rate.
 

Schedule of Investments   January 31, 2026 (Unaudited)
  Global X Silver Miners ETF  

 

(D) These securities were purchased with cash collateral held from securities on loan. The total value of such securities as of January 31, 2026 was $34,416,283. The total value of non-cash collateral held from securities on loan as of January 31, 2026 was $882,877.

 

The following is a summary of the level of inputs used as of January 31, 2026, in valuing the Fund’s investments carried at value:

 

Investments in Securities  Level 1   Level 2   Level 3   Total 
Common Stock  $6,248,840,578   $   $   $6,248,840,578 
U.S. Treasury Obligations       796,809,029        796,809,029 
Repurchase Agreements       34,416,283        34,416,283 
Total Investments in Securities  $6,248,840,578   $831,225,312   $   $7,080,065,890 

 

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.

 

See “Glossary” for abbreviations.

 

Schedule of Investments   January 31, 2026 (Unaudited)
  Global X Copper Miners ETF  

 

   Shares   Value 
COMMON STOCK — 99.9%          
AUSTRALIA — 12.7%          
Materials — 12.7%          
BHP Group   8,682,561   $307,595,439 
Develop Global *(A)   7,166,973    26,459,735 
Glencore PLC   53,010,501    363,172,816 
Sandfire Resources *   17,508,008    243,464,891 
WA1 Resources *   1,277,363    15,284,150 
           
TOTAL AUSTRALIA        955,977,031 
BRAZIL — 1.6%          
Materials — 1.6%          
ERO Copper *   3,629,947    122,450,230 
           
CANADA — 17.4%          
Materials — 17.4%          
Altius Minerals   1,427,208    45,425,296 
Capstone Copper *   21,200,527    236,248,534 
Collective Mining *   2,012,366    33,288,039 
Foran Mining *   9,432,620    45,904,047 
HudBay Minerals   14,618,735    348,155,082 
Luca Mining *(A)   8,534,485    11,596,538 
LunR Royalties *   1,273,705    16,930,684 
NGEx Minerals *   4,921,864    102,351,800 
Northern Dynasty Minerals *   20,345,013    41,767,261 
Solaris Resources *   3,378,011    31,356,643 
Taseko Mines *   11,668,880    88,916,866 
Teck Resources, Cl B   5,681,365    306,608,688 
           
TOTAL CANADA        1,308,549,478 
CHILE — 10.0%          
Materials — 10.0%          
Antofagasta PLC   6,883,537    344,587,748 
Lundin Mining, Cl Common Subs. Receipt   16,158,614    409,886,934 
           
TOTAL CHILE        754,474,682 
CHINA — 15.8%          
Materials — 15.8%          
China Gold International Resources   9,306,300    244,523,190 
 

Schedule of Investments   January 31, 2026 (Unaudited)
  Global X Copper Miners ETF  

 

   Shares   Value 
COMMON STOCK — continued          
Materials — continued          
China Nonferrous Mining   49,955,500   $100,426,566 
Jiangxi Copper, Cl H   39,115,901    237,709,600 
MMG *   151,946,360    200,203,343 
SolGold *   54,654,136    21,074,763 
Wanguo Gold Group (A)   45,251,460    72,138,581 
Zijin Mining Group, Cl H   58,531,935    314,031,022 
           
TOTAL CHINA        1,190,107,065 
CONGO, THE DEMOCRATIC REPUBLIC OF — 4.0%          
Materials — 4.0%          
Ivanhoe Mines, Cl A *(A)   23,435,243    298,013,429 
           
GERMANY — 2.9%          
Materials — 2.9%          
Aurubis (A)   1,160,441    221,436,075 
           
JAPAN — 7.9%          
Materials — 7.9%          
Mitsubishi Materials   4,760,246    137,259,006 
Nittetsu Mining (A)   2,052,802    48,305,920 
Sumitomo Metal Mining   6,778,587    411,302,828 
           
TOTAL JAPAN        596,867,754 
MEXICO — 4.8%          
Materials — 4.8%          
Southern Copper (A)   1,906,361    362,818,663 
           
POLAND — 5.9%          
Materials — 5.9%          
KGHM Polska Miedz *   4,753,516    446,404,531 
           
SAUDI ARABIA — 0.8%          
Materials — 0.8%          
Al Masane Al Kobra Mining (A)   2,007,344    62,510,406 
 

Schedule of Investments   January 31, 2026 (Unaudited)
  Global X Copper Miners ETF  

 

   Shares   Value 
COMMON STOCK — continued          
SPAIN — 0.7%          
Materials — 0.7%          
Atalaya Mining   3,741,968   $52,786,946 
           
SWEDEN — 5.3%          
Materials — 5.3%          
Boliden *   5,692,967    402,972,478 
           
UNITED KINGDOM — 0.3%          
Materials — 0.3%          
Central Asia Metals   6,550,360    20,224,651 
           
UNITED STATES — 5.6%          
Materials — 5.6%          
Freeport-McMoRan   5,960,966    359,028,982 
Ivanhoe Electric *   3,723,118    63,628,087 
           
TOTAL UNITED STATES        422,657,069 
ZAMBIA — 4.2%          
Materials — 4.2%          
First Quantum Minerals *   11,095,515    315,375,972 
           
TOTAL COMMON STOCK
(Cost $5,223,058,560)
        7,533,626,460 
           
   Face Amount      
REPURCHASE AGREEMENTS(B) — 0.4%          
CF Secured LLC
3.680%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $5,938,031 (collateralized by various U.S. Government Obligations and U.S. Treasury Obligations, ranging in par value $6,358 - $1,229,941, 0.000% - 7.000%, 02/28/2027 - 09/20/2065, with a total market value of $6,029,929)
  $5,936,211    5,936,211 
 

Schedule of Investments   January 31, 2026 (Unaudited)
  Global X Copper Miners ETF  

 

   Face Amount   Value 
REPURCHASE AGREEMENTS(B) — continued          
Citadel Securities LLC
3.710%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $6,317,070 (collateralized by various U.S. Treasury Obligations, ranging in par value $397 - $606,908, 0.000% - 4.500%, 02/15/2026 - 11/15/2055, with a total market value of $6,411,680)
  $6,315,118   $6,315,118 
Citigroup Global Markets, Inc.
3.660%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $379,023 (collateralized by various U.S. Treasury Obligations, ranging in par value $374,239, 4.250%, 02/15/2028, with a total market value of $379,224)
   378,907    378,907 
Citigroup Global Markets, Inc.
3.670%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $5,938,026 (collateralized by various U.S. Government Obligations, ranging in par value $35,461 - $210,632, 3.500% - 7.500%, 11/01/2049 - 01/20/2056, with a total market value of $6,025,960)
   5,936,211    5,936,211 
Clear Street LLC
3.720%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $5,413,138 (collateralized by various U.S. Government Obligations, ranging in par value $8,062 - $1,576,837, 2.500% - 7.000%, 11/01/2030 - 02/01/2056, with a total market value of $5,495,440)
   5,411,460    5,411,460 
Daiwa Capital Markets America, Inc.
3.660%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $1,234,922 (collateralized by various U.S. Treasury Obligations, ranging in par value $2,469 - $500,463, 1.125% - 4.375%, 02/28/2027 - 06/30/2031, with a total market value of $1,250,543)
   1,234,545    1,234,545 
 

Schedule of Investments   January 31, 2026 (Unaudited)
  Global X Copper Miners ETF  

 

   Face Amount   Value 
REPURCHASE AGREEMENTS(B) — continued          
JP Morgan Securities LLC
3.670%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $1,660,899 (collateralized by various U.S. Government Obligations, ranging in par value $1,547 - $266,122, 1.500% - 7.000%, 04/01/2035 - 02/01/2056, with a total market value of $1,686,641)
  $1,660,391   $1,660,391 
           
TOTAL REPURCHASE AGREEMENTS
(Cost $26,872,843)
        26,872,843 
TOTAL INVESTMENTS — 100.3%
(Cost $5,249,931,403)
       $7,560,499,303 

 

Percentages are based on Net Assets of $7,537,512,457.

 

* Non-income producing security.
(A) This security or a partial position of this security is on loan at January 31, 2026. The total market value of securities on loan at January 31, 2026 was $25,772,335.
(B) These securities were purchased with cash collateral held from securities on loan. The total value of such securities as of January 31, 2026 was $26,872,843. The total value of non-cash collateral held from securities on loan as of January 31, 2026 was $727,130.

 

The following is a summary of the level of inputs used as of January 31, 2026, in valuing the Fund’s investments carried at value:

 

Investments in Securities  Level 1   Level 2   Level 3   Total 
Common Stock  $7,471,116,054   $62,510,406   $   $7,533,626,460 
Repurchase Agreements       26,872,843        26,872,843 
Total Investments in Securities  $7,471,116,054   $89,383,249   $   $7,560,499,303 

 

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.

 

See “Glossary” for abbreviations.

 

Schedule of Investments  January 31, 2026 (Unaudited)
Global X Gold Explorers ETF

 

   Shares   Value 
COMMON STOCK — 100.0%          
AUSTRALIA — 28.4%          
Materials — 28.4%          
Bellevue Gold *(A)   998,169   $1,318,119 
Capricorn Metals *   293,089    3,036,734 
Catalyst Metals *   145,172    876,656 
Emerald Resources NL *   419,631    2,190,095 
Firefinch *(A)(B)   825,148     
Genesis Minerals *   781,287    4,154,239 
Greatland Resources *   405,865    3,508,775 
OceanaGold   186,115    6,063,873 
Ora Banda Mining *   955,811    857,079 
Pantoro Gold *   273,169    974,066 
Perseus Mining   1,104,698    4,565,987 
Ramelius Resources   1,516,912    5,015,815 
Regis Resources   595,313    3,361,394 
Resolute Mining *   1,722,657    1,641,258 
Vault Minerals *   777,567    3,202,980 
Westgold Resources   754,712    3,891,331 
           
TOTAL AUSTRALIA        44,658,401 
CANADA — 46.0%          
Materials — 46.0%          
Alamos Gold, Cl A   146,250    5,449,747 
Allied Gold *   71,596    2,271,890 
Artemis Gold *   115,818    3,376,653 
Centerra Gold, Cl Common Subs. Receipt   166,862    2,810,709 
DPM Metals   173,619    6,091,377 
Endeavour Silver *   198,715    2,180,634 
Equinox Gold *   419,410    6,033,384 
Fortuna Mining *   245,972    2,419,486 
G Mining Ventures *   141,382    4,507,227 
K92 Mining *   187,829    3,545,330 
Lundin Gold   66,088    4,981,917 
McEwen *(A)   35,906    867,130 
Montage Gold *   183,485    1,658,499 
New Gold *   611,523    6,177,775 
Novagold Resources *   246,415    2,151,203 
Orla Mining   229,643    3,483,268 
Seabridge Gold *(A)   64,572    1,824,805 
Skeena Resources *   71,492    2,051,076 
 
 

Schedule of Investments  January 31, 2026 (Unaudited)
Global X Gold Explorers ETF

 

   Shares   Value 
COMMON STOCK — continued          
Materials — continued          
Southern Cross Gold Consolidated *   170,322   $1,213,756 
SSR Mining *   162,045    3,714,416 
Torex Gold Resources   69,507    3,364,095 
Victoria Gold *(B)   43,114     
Wesdome Gold Mines *   121,001    1,991,738 
           
TOTAL CANADA        72,166,115 
CHINA — 1.0%          
Materials — 1.0%          
Wanguo Gold Group   952,600    1,518,608 
           
COLOMBIA — 1.3%          
Materials — 1.3%          
Aris Mining *   118,931    2,069,205 
           
INDONESIA — 4.9%          
Materials — 4.9%          
Aneka Tambang   6,806,534    1,707,209 
Bumi Resources Minerals *   74,106,100    4,768,221 
Merdeka Copper Gold *   6,433,653    1,230,386 
           
TOTAL INDONESIA        7,705,816 
PERU — 0.5%          
Materials — 0.5%          
Hochschild Mining   89,105    826,575 
           
SOUTH AFRICA — 2.3%          
Materials — 2.3%          
DRDGOLD   348,073    1,150,296 
Pan African Resources   1,364,268    2,474,939 
           
TOTAL SOUTH AFRICA        3,625,235 
TURKEY — 4.5%          
Materials — 4.5%          
Eldorado Gold *   165,048    7,120,411 
 
 

Schedule of Investments  January 31, 2026 (Unaudited)
Global X Gold Explorers ETF

 

   Shares   Value 
COMMON STOCK — continued          
UNITED STATES — 11.1%          
Materials — 11.1%          
Coeur Mining *   239,048   $4,886,141 
Hecla Mining   451,542    10,168,726 
Perpetua Resources *   86,486    2,311,360 
           
TOTAL UNITED STATES        17,366,227 
TOTAL COMMON STOCK
(Cost $82,963,024)
        157,056,593 
           
    Face Amount       
REPURCHASE AGREEMENTS(C) — 1.1%          
CF Secured LLC
3.680%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $375,437 (collateralized by various U.S. Government Obligations and U.S. Treasury Obligations, ranging in par value $402 - $77,764, 0.000% - 7.000%, 02/28/2027 - 09/20/2065, with a total market value of $381,247)
  $375,322    375,322 
Citadel Securities LLC
3.710%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $399,402 (collateralized by various U.S. Treasury Obligations, ranging in par value $25 - $38,372, 0.000% - 4.500%, 02/15/2026 - 11/15/2055, with a total market value of $405,384)
   399,279    399,279 
Citigroup Global Markets, Inc.
3.660%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $23,964 (collateralized by various U.S.Treasury Obligations, ranging in par value $23,662, 4.250%, 02/15/2028, with a total market value of $23,977)
   23,957    23,957 
 
 

Schedule of Investments  January 31, 2026 (Unaudited)
Global X Gold Explorers ETF

 

   Face Amount   Value 
REPURCHASE AGREEMENTS(C) — continued          
Citigroup Global Markets, Inc.
3.670%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $375,437 (collateralized by various U.S. Government Obligations, ranging in par value $2,242 - $13,317, 3.500% - 7.500%, 11/01/2049 - 01/20/2056, with a total market value of $380,996)
  $375,322   $375,322 
Clear Street LLC
3.720%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $70,777 (collateralized by various U.S. Government Obligations, ranging in par value $105 - $20,617, 2.500% - 7.000%, 11/01/2030 - 02/01/2056, with a total market value of $71,853)
   70,755    70,755 
Daiwa Capital Markets America, Inc.
3.660%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $79,128 (collateralized by various U.S. Treasury Obligations, ranging in par value $158 - $32,067, 1.125% - 4.375%, 02/28/2027 - 06/30/2031, with a total market value of $80,129)
   79,104    79,104 
RBC Dominion Securities, Inc.
3.670%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $375,437 (collateralized by various U.S. Government Obligations and U.S. Treasury Obligations, ranging in par value $711 - $1,199,206, 0.000% - 7.000%, 07/31/2030 - 05/01/2054, with a total market value of $380,891)
   375,322    375,322 
TOTAL REPURCHASE AGREEMENTS
(Cost $1,699,061)
        1,699,061 
TOTAL INVESTMENTS — 101.1%
(Cost $84,662,085)
       $158,755,654 

 

Percentages are based on Net Assets of $157,049,263.

 
 

Schedule of Investments  January 31, 2026 (Unaudited)
Global X Gold Explorers ETF

 

* Non-income producing security.
(A) This security or a partial position of this security is on loan at January 31, 2026. The total market value of securities on loan at January 31, 2026 was $1,410,625.
(B) Level 3 security in accordance with fair value hierarchy.
(C) These securities were purchased with cash collateral held from securities on loan. The total value of such securities as of January 31, 2026 was $1,699,061. The total value of non-cash collateral held from securities on loan as of January 31, 2026 was $0.

 

The following is a summary of the level of inputs used as of January 31, 2026, in valuing the Fund’s investments carried at value:

 

Investments in Securities  Level 1    Level 2    Level 3(1)    Total
Common Stock  $157,056,593   $   $^  $157,056,593
Repurchase Agreements       1,699,061        1,699,061
Total Investments in Securities  $157,056,593   $1,699,061   $   $158,755,654
   
(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 end of the period in relation to Net Assets. Management has concluded that Level 3 investments are not material in relation to Net Assets.

 

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.

 

See “Glossary” for abbreviations.

 
 

Schedule of Investments  January 31, 2026 (Unaudited)
Global X Uranium ETF

 

   Shares   Value 
COMMON STOCK — 95.3%          
AUSTRALIA — 10.1%          
Energy — 7.2%          
Alligator Energy *(A)(B)   255,530,176   $8,771,571 
Atomic Eagle *   13,479,266    6,751,673 
Aura Energy *(A)(B)(C)   47,117,521    7,921,962 
Bannerman Energy *(A)(B)   11,753,289    38,287,011 
Berkeley Energia *(A)   28,362,983    11,253,010 
Boss Energy *(A)(B)   24,846,082    33,941,546 
Deep Yellow *(A)   57,425,702    114,251,983 
Elevate Uranium *(A)(B)   25,461,745    8,383,495 
Lotus Resources *(B)   13,671,491    29,211,564 
Paladin Energy *(A)(B)   28,054,708    272,007,537 
Peninsula Energy *   18,542,283    11,885,663 
         542,667,015 
Industrials — 0.9%          
Silex Systems *(A)(B)   14,381,297    70,322,220 
           
Materials — 2.0%          
Anson Resources *(B)   71,004,171    3,084,002 
BHP Group   4,309,284    152,664,186 
         155,748,188 
TOTAL AUSTRALIA        768,737,423 
CANADA — 36.4%          
Energy — 34.7%          
Anfield Energy, Cl Common Subs. Receipt *   651,635    5,519,517 
Atha Energy *   19,816,646    16,097,412 
Cameco   14,200,188    1,766,018,285 
CanAlaska Uranium *   12,887,992    8,565,663 
Denison Mines *   56,579,468    224,788,641 
Encore Energy *(B)   11,488,423    36,735,126 
F3 Uranium *   38,251,740    6,638,230 
Forsys Metals *   9,737,706    3,379,775 
IsoEnergy *   2,164,219    25,331,663 
Laramide Resources *   12,878,103    7,988,485 
Mega Uranium *(B)   21,129,556    10,922,489 
NexGen Energy *(B)   37,676,447    475,772,435 
Skyharbour Resources *   12,674,115    5,428,488 
Uranium Royalty *(B)   7,460,022    34,651,655 
 
 

Schedule of Investments  January 31, 2026 (Unaudited)
Global X Uranium ETF

 

   Shares   Value 
COMMON STOCK — continued          
Energy — continued          
Western Uranium & Vanadium *(B)   4,236,828   $3,253,924 
         2,631,091,788 
Industrials — 1.4%          
Aecon Group   3,923,651    102,281,786 
           
Materials — 0.3%          
American Lithium *(B)   14,919,244    9,364,810 
Global Atomic *(B)   24,568,513    14,151,638 
         23,516,448 
TOTAL CANADA        2,756,890,022 
CHINA — 1.4%          
Energy — 1.4%          
CGN Mining (B)   168,701,700    109,735,923 
           
JAPAN — 3.6%          
Industrials — 3.6%          
ITOCHU   10,755,593    137,425,605 
Mitsubishi Heavy Industries   4,707,779    137,912,960 
           
TOTAL JAPAN        275,338,565 
KAZAKHSTAN — 4.5%          
Energy — 4.5%          
NAC Kazatomprom JSC GDR   4,123,627    338,962,139 
           
SOUTH AFRICA — 2.0%          
Materials — 2.0%          
Sibanye Stillwater *(B)   32,833,669    151,050,232 
           
SOUTH KOREA — 8.7%          
Industrials — 8.7%          
Daewoo Engineering & Construction *   13,052,577    45,068,298 
Doosan Enerbility *   2,340,800    147,336,724 
GS Engineering & Construction   4,156,046    54,195,486 
Hyundai Engineering & Construction   2,097,077    149,479,019 
KEPCO Engineering & Construction    1,178,502    107,583,134 
 
 

Schedule of Investments  January 31, 2026 (Unaudited)
Global X Uranium ETF

 

   Shares   Value 
COMMON STOCK — continued          
Industrials — continued          
Samsung C&T   732,543   $153,440,124 
           
TOTAL SOUTH KOREA        657,102,785 
UNITED KINGDOM — 1.9%          
Energy — 1.9%          
Yellow Cake *(A)   15,233,419    142,774,761 
           
UNITED STATES — 26.7%          
Energy — 15.5%          
Centrus Energy, Cl A *(A)(B)   1,069,375    297,585,675 
Energy Fuels *(B)   14,803,476    332,877,336 
Uranium Energy *(A)   29,297,100    505,082,004 
Ur-Energy *   22,286,278    39,223,849 
         1,174,768,864 
Industrials — 3.2%          
NANO Nuclear Energy *(A)(B)   2,590,962    76,161,328 
NuScale Power *(B)   9,731,554    170,107,564 
         246,268,892 
Utilities — 8.0%          
Oklo, Cl A *(B)   7,591,866    604,464,371 
           
TOTAL UNITED STATES        2,025,502,127 
TOTAL COMMON STOCK
(Cost $4,261,049,703)
        7,226,093,977 
           
EXCHANGE-TRADED FUND — 4.7%          
International Equity — 4.7%          
Sprott Physical Uranium Trust *   15,572,065    353,954,998 
TOTAL EXCHANGE-TRADED FUND
(Cost $263,441,926)
        353,954,998 
 
 

Schedule of Investments  January 31, 2026 (Unaudited)
Global X Uranium ETF

 

   Face Amount   Value 
REPURCHASE AGREEMENTS(D) — 3.9%          
Cantor Fitzgerald Securities
3.690%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $65,086,831 (collateralized by various U.S. Government Obligations and U.S. Treasury Obligations, ranging in par value $33,431 - $10,061,586, 1.000% - 6.500%, 10/31/2029 - 12/15/2060, with a total market value of $66,092,657)
  $65,066,823   $65,066,823 
Citadel Securities LLC
3.710%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $69,241,426 (collateralized by various U.S. Treasury Obligations, ranging in par value $4,351 - $6,652,321, 0.000% - 4.500%, 02/15/2026 - 11/15/2055, with a total market value of $70,278,444)
   69,220,025    69,220,025 
Daiwa Capital Markets America, Inc.
3.670%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $58,720,282 (collateralized by various U.S. Government Obligations and U.S. Treasury Obligations, ranging in par value $7,692 - $24,469,530, 0.000% - 6.500%, 10/01/2026 - 02/01/2056, with a total market value of $59,638,458)
   58,702,329    58,702,329 
JP Morgan Securities LLC
3.670%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $18,829,357 (collateralized by various U.S. Government Obligations, ranging in par value $17,535 - $3,016,980, 1.500% - 7.000%, 04/01/2035 - 02/01/2056, with a total market value of $19,121,188)
   18,823,600    18,823,600 
Mizuho Securities USA LLC
3.660%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $17,679,088 (collateralized by various U.S. Treasury Obligations, ranging in par value $17,553,322, 4.375%, 05/15/2034, with a total market value of $17,865,947)
   17,673,698    17,673,698 
 
 

Schedule of Investments  January 31, 2026 (Unaudited)
Global X Uranium ETF

 

   Face Amount   Value 
REPURCHASE AGREEMENTS(D) — continued          
Nomura Securities International, Inc.
3.670%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $65,086,723 (collateralized by various U.S. Government Obligations, ranging in par value $59,783 - $12,894,787, 2.500% - 6.500%, 08/01/2035 - 01/01/2056, with a total market value of $66,093,876)
  $65,066,823   $65,066,823 
TOTAL REPURCHASE AGREEMENTS
(Cost $294,553,298)
        294,553,298 
TOTAL INVESTMENTS — 103.9%
(Cost $4,819,044,927)
       $7,874,602,273 

 

Percentages are based on Net Assets of $7,581,165,939.

 

* Non-income producing security.
(A) Affiliated investment.
(B) This security or a partial position of this security is on loan at January 31, 2026. The total market value of securities on loan at January 31, 2026 was $483,214,404.
(C) Level 3 security in accordance with fair value hierarchy.
(D) These securities were purchased with cash collateral held from securities on loan. The total value of such securities as of January 31, 2026 was $294,553,298. The total value of non-cash collateral held from securities on loan as of January 31, 2026 was $227,281,537.

 

The following is a summary of the level of inputs used as of January 31, 2026, in valuing the Fund’s investments carried at value:

 

Investments in Securities  Level 1    Level 2    Level 3(1)    Total
Common Stock  $7,218,172,015   $   $7,921,962   $7,226,093,977
Exchange-Traded Fund   353,954,998            353,954,998
Repurchase Agreements       294,553,298        294,553,298
Total Investments in Securities  $7,572,127,013   $294,553,298   $7,921,962   $7,874,602,273
   
(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 end of the period in relation to Net Assets. Management has concluded that Level 3 investments are not material in relation to Net Assets.
 
 

Schedule of Investments  January 31, 2026 (Unaudited)
Global X Uranium ETF

 

The following is a summary of the Fund’s transactions with affiliates for the period ended January 31, 2026:

Value
10/31/2025
   Purchases
at Cost
   Proceeds
from Sales
   Change in
Unrealized
Appreciation
(Depreciation)
   Realized Gain
(Loss)
   Value
1/31/2026
   Income   Capital Gains 
Alligator Energy                           
                                      
$3,948,522   $1,305,999   $(461,065)  $4,194,596   $(216,481)  $8,771,571   $   $ 
Aura Energy                              
                                      
 5,546,440    1,322,554    (257,702)   1,423,374    (112,704)   7,921,962         
Bannerman Energy                                
                                      
 26,121,881    6,760,571    (5,397,956)   10,243,809    558,706    38,287,011         
Berkeley Energia                           
                                      
 8,819,999    2,084,992    (198,949)   472,044    74,924    11,253,010         
Boss Energy                           
                                      
 27,587,234    6,022,848    (1,929,337)   4,275,735    (2,014,934)   33,941,546         
Centrus Energy, Cl A                           
                                      
 309,399,483    72,283,242    (5,866,806)   (82,589,860)   4,359,616    297,585,675         
Deep Yellow                              
                                      
 57,375,546    16,854,239    (5,868,368)   43,102,352    2,788,214    114,251,983         
Elevate Uranium                           
                                      
 4,091,166    2,536,045    (233,020)   2,148,989    (159,685)   8,383,495         
NANO Nuclear Energy                           
                                      
 75,058,909    32,620,946    (1,465,320)   (29,891,458)   (161,749)   76,161,328         
Paladin Energy                           
                                      
 136,697,636    54,620,543    (3,908,772)   83,621,495    976,635    272,007,537         
Silex Systems                             
                                      
 68,646,199    23,348,383    (1,515,532)   (20,711,291)   554,461    70,322,220         
Uranium Energy                             
                                      
 362,196,767    91,373,149    (8,796,292)   54,682,461    5,625,919    505,082,004         
Yellow Cake                           
                                      
 91,937,734    30,844,439    (2,235,479)   21,390,918    837,149    142,774,761         
Totals:                           
                                      
$1,177,427,516   $341,977,950   $(38,134,598)  $92,363,164   $13,110,071   $1,586,744,103   $   $ 

 

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.

 

See “Glossary” for abbreviations.

 
 

Schedule of Investments  January 31, 2026 (Unaudited)
Global X Gold Miners ETF

 

   Shares   Value 
COMMON STOCK — 100.0%          
AUSTRALIA — 16.4%          
Materials — 16.4%          
Alkane Resources *   7,942   $9,097 
Anglogold Ashanti   4,114    382,067 
Bellevue Gold *   14,320    18,910 
Capricorn Metals *   4,026    41,714 
Catalyst Metals *   2,332    14,082 
Emerald Resources NL *   5,170    26,983 
Evolution Mining   20,020    206,308 
Genesis Minerals *   10,626    56,500 
Greatland Resources *   5,038    46,411 
Kingsgate Consolidated *   2,222    10,149 
Northern Star Resources   13,750    278,766 
OceanaGold   2,266    73,829 
Ora Banda Mining *   13,200    11,837 
Pantoro Gold *   2,882    10,277 
Perseus Mining   13,420    55,468 
Predictive Discovery *   19,528    11,628 
Ramelius Resources   18,656    61,688 
Regis Resources   7,305    41,247 
Resolute Mining *   18,612    17,733 
Vault Minerals *   10,163    41,864 
West African Resources *   9,856    25,478 
Westgold Resources   9,105    46,946 
           
TOTAL AUSTRALIA        1,488,982 
BRAZIL — 5.2%          
Materials — 5.2%          
Wheaton Precious Metals   3,586    472,886 
           
BURKINA FASO — 1.2%          
Materials — 1.2%          
IAMGOLD *   5,698    103,590 
           
CANADA — 42.0%          
Materials — 42.0%          
AbraSilver Resource *   1,430    12,577 
Agnico Eagle Mines   3,960    754,380 
Alamos Gold, Cl A   4,180    154,242 
 
 

Schedule of Investments  January 31, 2026 (Unaudited)
Global X Gold Miners ETF

 

   Shares   Value 
COMMON STOCK — continued          
Materials — continued          
Allied Gold *   924   $29,060 
Americas Gold & Silver *   2,090    15,508 
Andean Precious Metals *   418    2,692 
B2Gold   12,738    62,416 
Barrick Mining   13,310    609,465 
Centerra Gold   1,980    33,185 
Collective Mining *   484    8,006 
Discovery Silver *   5,104    36,109 
DPM Metals   2,134    74,871 
Endeavour Silver *   2,926    31,981 
Equinox Gold *   7,502    107,279 
First Majestic Silver   4,840    100,866 
Fortuna Mining *   3,036    29,692 
Franco-Nevada   1,672    391,850 
G Mining Ventures *   1,760    56,108 
i-80 Gold *   7,260    11,543 
K92 Mining *   2,354    44,433 
Kinross Gold   11,990    378,404 
Lundin Gold   990    74,629 
McEwen *   462    11,157 
Montage Gold *   2,376    21,476 
New Found Gold *   2,024    5,586 
New Gold *   7,524    75,466 
Novagold Resources *   3,036    26,504 
OR Royalties   1,870    73,753 
Orla Mining   3,014    45,481 
Osisko Development *   1,782    5,970 
Pan American Silver   4,202    229,429 
Seabridge Gold *   902    25,491 
Skeena Resources *   990    28,324 
Snowline Gold *   1,298    16,333 
Southern Cross Gold Consolidated *   2,243    16,750 
SSR Mining *   2,002    45,706 
Torex Gold Resources   946    45,786 
Triple Flag Precious Metals   2,002    67,507 
Vizsla Silver *   3,277    16,647 
Wesdome Gold Mines *   1,496    24,625 
           
TOTAL CANADA        3,801,287 
 
 

Schedule of Investments  January 31, 2026 (Unaudited)
Global X Gold Miners ETF

 

   Shares   Value 
COMMON STOCK — continued          
CHINA — 5.6%          
Materials — 5.6%          
Chifeng Jilong Gold Mining, Cl H   2,200   $11,240 
Lingbao Gold Group, Cl H   4,400    13,082 
Shandong Gold Mining, Cl H   9,200    52,139 
Silvercorp Metals   2,111    21,258 
Wanguo Gold Group   13,100    20,884 
Zhaojin Mining Industry, Cl H   15,800    73,237 
Zijin Mining Group, Cl H   59,400    318,688 
           
TOTAL CHINA        510,528 
COLOMBIA — 0.5%          
Materials — 0.5%          
Aris Mining *   1,958    33,560 
Mineros   2,068    10,339 
           
TOTAL COLOMBIA        43,899 
HONG KONG — 1.4%          
Materials — 1.4%          
Tongguan Gold Group   17,600    7,662 
Zijin Gold International *   4,185    117,142 
           
TOTAL HONG KONG        124,804 
IVORY COAST — 1.3%          
Materials — 1.3%          
Endeavour Mining   2,045    118,480 
           
MEXICO — 1.0%          
Materials — 1.0%          
Fresnillo   1,848    93,880 
           
MOROCCO — 0.2%          
Materials — 0.2%          
Aya Gold & Silver *   1,298    21,184 
 
 

Schedule of Investments  January 31, 2026 (Unaudited)
Global X Gold Miners ETF

 

   Shares   Value 
COMMON STOCK — continued          
PERU — 0.9%          
Materials — 0.9%          
Cia de Minas Buenaventura SAA ADR   1,628   $55,775 
Hochschild Mining   3,146    29,184 
           
TOTAL PERU        84,959 
SOUTH AFRICA — 6.3%          
Materials — 6.3%          
DRDGOLD ADR   440    14,001 
Gold Fields ADR   8,052    403,566 
Harmony Gold Mining ADR   5,588    119,248 
Pan African Resources   19,910    36,275 
           
TOTAL SOUTH AFRICA        573,090 
TURKEY — 1.0%          
Materials — 1.0%          
Eldorado Gold *   2,002    85,926 
           
UNITED STATES — 17.0%          
Materials — 17.0%          
Aura Minerals   352    22,419 
Coeur Mining *   6,314    129,058 
Hecla Mining   6,600    148,632 
Hycroft Mining Holding, Cl A *   506    18,899 
Newmont   8,624    968,906 
Perpetua Resources *   1,122    29,868 
Royal Gold   836    220,127 
           
TOTAL UNITED STATES        1,537,909 
TOTAL COMMON STOCK
(Cost $8,837,809)
        9,061,404 
TOTAL INVESTMENTS — 100.0%
(Cost $8,837,809)
       $9,061,404 

 

Percentages are based on Net Assets of $9,057,718.

 

* Non-income producing security.
 
 

Schedule of Investments  January 31, 2026 (Unaudited)
Global X Gold Miners ETF

 

As of January 31, 2026, 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.

 

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.

 

See “Glossary” for abbreviations.

 
 

Schedule of Investments  January 31, 2026 (Unaudited)
Glossary: (abbreviations which may be used in the preceding Schedules of Investments)

 

Fund Abbreviations

ADR — American Depositary Receipt
Cl — Class
GDR — Global Depositary Receipt
JSC — Joint-Stock Company

 

GLX-QH-001-3400

 

Schedule of Investments   January 31, 2026 (Unaudited)
  Global X MSCI Colombia ETF  

 

   Shares   Value 
COMMON STOCK — 70.3%          
CANADA — 4.9%          
Energy — 2.6%          
Parex Resources   258,909   $3,862,173 
           
Utilities — 2.3%          
Brookfield Renewable   81,805    3,425,885 
           
TOTAL CANADA        7,288,058 
CHILE — 4.5%          
Consumer Discretionary — 2.6%          
Empresas Copec   443,135    3,824,400 
           
Utilities — 1.9%          
Enel Americas   30,375,448    2,903,355 
           
TOTAL CHILE        6,727,755 
COLOMBIA — 54.8%          
Consumer Staples — 1.5%          
Almacenes Exito   1,654,024    2,298,796 
           
Energy — 9.0%          
Ecopetrol   15,971,785    10,010,820 
Geopark   395,518    3,353,993 
         13,364,813 
Financials — 14.7%          
Financiera Colombiana *   741,267    4,080,510 
Grupo Cibest   525,835    11,965,320 
Grupo de Inversiones Suramericana   349,324    5,949,724 
         21,995,554 
Materials — 11.5%          
Aris Mining *   303,433    5,279,239 
Cementos Argos   2,050,493    7,722,443 
Grupo Argos   825,958    4,218,091 
         17,219,773 
 

Schedule of Investments   January 31, 2026 (Unaudited)
  Global X MSCI Colombia ETF  

 

   Shares   Value 
COMMON STOCK — continued          
Real Estate — 2.8%          
Patrimonio Autonomo Estrategias Inmobiliarias    201,830   $4,205,410 
           
Utilities — 15.3%          
Celsia   3,309,382    4,743,742 
Grupo Energia Bogota ESP   6,677,810    5,959,828 
Interconexion Electrica ESP   1,466,346    12,107,862 
         22,811,432 
TOTAL COLOMBIA        81,895,778 
GUATEMALA — 2.1%          
Communication Services — 2.1%          
Millicom International Cellular   51,048    3,115,459 
           
UNITED STATES — 4.0%          
Industrials — 4.0%          
Tecnoglass   122,527    5,992,796 
           
TOTAL COMMON STOCK
(Cost $71,771,099)
        105,019,846 
           
PREFERRED STOCK — 29.7%          
COLOMBIA— 29.7%          
Financials — 28.3%          
Davivienda Group *(A)   633,337    5,436,680 
Grupo Aval Acciones y Valores (A)   24,862,687    6,064,004 
Grupo Cibest (A)   1,195,432    24,595,757 
Grupo de Inversiones Suramericana (A)   426,554    6,056,199 
         42,152,640 
Materials — 1.4%          
Grupo Argos (A)   532,895    2,117,325 
TOTAL COLOMBIA        44,269,965 
TOTAL PREFERRED STOCK
(Cost $23,321,061)
        44,269,965 
 

Schedule of Investments   January 31, 2026 (Unaudited)
  Global X MSCI Colombia ETF  

 

   Face Amount   Value 
U.S. TREASURY OBLIGATION — 3.6%          
U.S. Treasury Bill
3.640%, 03/03/2026(B)
  $5,400,000   $5,384,231 
TOTAL U.S. TREASURY OBLIGATION
(Cost $5,384,754)
        5,384,231 
           
REPURCHASE AGREEMENT(C) — 0.0%          
Citigroup Global Markets, Inc.
3.660%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $1,360 (collateralized by various U.S. Treasury Obligations, ranging in par value $1,343 - $1,343, 4.250% - 4.250%, 02/15/2028 - 02/15/2028, with a total market value of $1,361)
(Cost $1,360) 
   1,360    1,360 
TOTAL INVESTMENTS — 103.6%
(Cost $100,478,274)
       $154,675,402 

 

Percentages are based on Net Assets of $149,298,435.

 

* Non-income producing security.
Real Estate Investment Trust
(A) There is currently no stated interest rate.
(B) Interest rate represents the security’s effective yield at the time of purchase.
(C) These securities were purchased with cash collateral held from securities on loan. The total value of such securities as of January 31, 2026 was $1,360. The total value of non-cash collateral held from securities on loan as of January 31, 2026 was $0.
 

Schedule of Investments   January 31, 2026 (Unaudited)
  Global X MSCI Colombia ETF  

 

The following is a summary of the level of inputs used as of January 31, 2026, in valuing the Fund’s investments carried at value:

 

Investments in Securities  Level 1   Level 2   Level 3   Total 
Common Stock  $105,019,846   $   $   $105,019,846 
Preferred Stock   44,269,965            44,269,965 
U.S. Treasury Obligation       5,384,231        5,384,231 
Repurchase Agreement       1,360        1,360 
Total Investments in Securities  $149,289,811   $5,385,591   $   $154,675,402 

 

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.

 

See “Glossary” for abbreviations.

 

Schedule of Investments   January 31, 2026 (Unaudited)
  Global X MSCI China Consumer Discretionary ETF  

 

   Shares   Value 
COMMON STOCK — 100.1%          
CHINA — 100.1%          
Consumer Discretionary — 100.1%          
Alibaba Group Holding   931,056   $20,171,668 
Anhui Jianghuai Automobile Group, Cl A *   128,100    1,008,023 
ANTA Sports Products   453,196    4,540,839 
BAIC BluePark New Energy Technology, Cl A*   325,100    376,484 
Beijing Roborock Technology, Cl A   15,235    312,555 
Bosideng International Holdings   4,155,700    2,538,214 
BYD, Cl A   171,946    2,248,237 
BYD, Cl H   1,002,140    12,543,271 
CCOOP Group, Cl A *   1,060,600    370,759 
Changzhou Xingyu Automotive Lighting Systems, Cl A   16,930    336,101 
China Tourism Group Duty Free, Cl A   115,650    1,486,864 
Chongqing Afari Technology, Cl A *   265,600    405,012 
Chongqing Changan Automobile, Cl A   483,408    773,308 
Chow Tai Fook Jewellery Group (A)   1,664,400    3,068,922 
Dongfeng Motor Group, Cl H *   1,808,000    2,092,823 
Ecovacs Robotics, Cl A   34,350    354,900 
Fuyao Glass Industry Group, Cl A   118,814    1,055,281 
Fuyao Glass Industry Group, Cl H   370,800    3,173,999 
Geely Automobile Holdings   2,426,900    5,000,041 
Great Wall Motor, Cl A   157,200    467,894 
Great Wall Motor, Cl H   1,495,697    2,537,612 
Gree Electric Appliances of Zhuhai, Cl A   163,400    909,698 
Guangzhou Automobile Group, Cl A   362,100    412,561 
H World Group ADR   91,995    4,370,682 
Haidilao International Holding (A)   1,273,700    2,606,211 
Haier Smart Home, Cl A   365,219    1,319,271 
Haier Smart Home, Cl H   1,085,460    3,585,908 
Huayu Automotive Systems, Cl A   185,880    514,216 
Huizhou Desay Sv Automotive, Cl A   35,400    622,822 
JD.com, Cl A   707,354    10,180,492 
Laopu Gold, Cl H (A)   25,920    2,582,143 
Li Auto, Cl A *   455,636    3,847,676 
Li Ning   1,321,900    3,459,753 
Meituan, Cl B *   1,304,800    16,239,620 
Midea Group, Cl A   204,100    2,278,152 
Midea Group, Cl H   235,100    2,578,372 
MINISO Group Holding   400,400    1,886,720 
 

Schedule of Investments   January 31, 2026 (Unaudited)
  Global X MSCI China Consumer Discretionary ETF  

 

   Shares   Value 
COMMON STOCK — continued          
Consumer Discretionary — continued          
New Oriental Education & Technology Group   632,240   $3,932,830 
Ningbo Tuopu Group, Cl A   101,645    1,055,448 
NIO, Cl A *   896,490    4,433,262 
PDD Holdings ADR *   137,793    13,923,983 
Pop Mart International Group   200,000    5,726,212 
SAIC Motor, Cl A   450,800    916,996 
Sailun Group, Cl A   194,553    443,610 
Seres Group, Cl A   95,700    1,433,029 
Shenzhou International Group Holdings   405,992    3,238,703 
Sichuan Changhong Electric, Cl A   271,600    381,341 
TAL Education Group ADR *   237,145    3,011,742 
Tongcheng Travel Holdings   945,300    2,813,011 
Trip.com Group   167,422    10,328,684 
Vipshop Holdings ADR   184,409    3,155,238 
XPeng, Cl A *   519,676    4,767,761 
Yadea Group Holdings   1,212,600    1,714,164 
Yum China Holdings   134,498    6,699,325 
Zhejiang China Commodities City Group, Cl A   319,300    739,076 
Zhejiang Leapmotor Technology, Cl H *   385,700    2,095,009 
Zhejiang Wanfeng Auto Wheel, Cl A   127,900    283,167 
           
TOTAL CHINA        193,349,695 
TOTAL COMMON STOCK
(Cost $224,719,158)
        193,349,695 
           
   Face Amount      
REPURCHASE AGREEMENTS(B) — 1.5%          
CF Secured LLC
3.680%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $648,702 (collateralized by various U.S. Government Obligations and U.S. Treasury Obligations, ranging in par value $695 - $134,365, 0.000% - 7.000%, 02/28/2027 - 09/20/2065, with a total market value of $658,741)
  $648,503    648,503 
 

Schedule of Investments   January 31, 2026 (Unaudited)
  Global X MSCI China Consumer Discretionary ETF  

 

   Face Amount   Value 
REPURCHASE AGREEMENTS(B) — continued          
Citadel Securities LLC
3.710%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $690,109 (collateralized by various U.S. Treasury Obligations, ranging in par value $43 - $66,302, 0.000% - 4.500%, 02/15/2026 - 11/15/2055, with a total market value of $700,445)
  $689,896   $689,896 
Citigroup Global Markets, Inc.
3.660%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $41,406 (collateralized by various U.S. Treasury Obligations, ranging in par value $40,883 - $40,883, 4.250% - 4.250%, 02/15/2028 - 02/15/2028, with a total market value of $41,428)
   41,393    41,393 
Citigroup Global Markets, Inc.
3.670%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $648,701 (collateralized by various U.S. Government Obligations, ranging in par value $3,874 - $23,011, 3.500% - 7.500%, 11/01/2049 - 01/20/2056, with a total market value of $658,308)
   648,503    648,503 
Clear Street LLC
3.720%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $123,633 (collateralized by various U.S. Government Obligations, ranging in par value $184 - $36,014, 2.500% - 7.000%, 11/01/2030 - 02/01/2056, with a total market value of $125,513)
   123,595    123,595 
Daiwa Capital Markets America, Inc.
3.660%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $135,379 (collateralized by various U.S. Treasury Obligations, ranging in par value $271 - $54,864, 1.125% - 4.375%, 02/28/2027 - 06/30/2031, with a total market value of $137,092)
   135,338    135,338 
 

Schedule of Investments   January 31, 2026 (Unaudited)
  Global X MSCI China Consumer Discretionary ETF  

 

   Face Amount   Value 
REPURCHASE AGREEMENTS(B) — continued          
RBC Dominion Securities, Inc.
3.670%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $648,701 (collateralized by various U.S. Government Obligations and U.S. Treasury Obligations, ranging in par value $1,228 - $2,072,058, 0.000% - 7.000%, 07/31/2030 - 05/01/2054, with a total market value of $658,126)
  $648,503   $648,503 
           
TOTAL REPURCHASE AGREEMENTS
(Cost $2,935,731)
        2,935,731 
TOTAL INVESTMENTS — 101.6%
(Cost $227,654,889)
       $196,285,426 

 

Percentages are based on Net Assets of $193,229,529.

 

* Non-income producing security.
(A) This security or a partial position of this security is on loan at January 31, 2026. The total market value of securities on loan at January 31, 2026 was $6,278,678.
(B) These securities were purchased with cash collateral held from securities on loan. The total value of such securities as of January 31, 2026 was $2,935,731. The total value of non-cash collateral held from securities on loan as of January 31, 2026 was $3,501,130.

 

The following is a summary of the level of inputs used as of January 31, 2026, in valuing the Fund’s investments carried at value:

 

Investments in Securities  Level 1   Level 2   Level 3   Total 
Common Stock  $193,349,695   $   $   $193,349,695 
Repurchase Agreements       2,935,731        2,935,731 
Total Investments in Securities  $193,349,695   $2,935,731   $   $196,285,426 

 

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.

 

See “Glossary” for abbreviations.

 

Schedule of Investments   January 31, 2026 (Unaudited)
  Global X MSCI Norway ETF  

 

   Shares   Value 
COMMON STOCK — 99.9%          
BRAZIL — 3.7%          
Materials — 3.7%          
Yara International   52,142   $2,407,461 
           
DENMARK — 0.7%          
Industrials — 0.7%          
Cadeler *   72,046    431,193 
           
FAROE ISLANDS — 1.2%          
Consumer Staples — 1.2%          
Bakkafrost P/F   15,803    764,217 
           
NORWAY — 89.3%          
Communication Services — 6.9%          
Telenor   176,123    2,972,370 
Vend Marketplaces, Cl B   53,444    1,482,104 
         4,454,474 
Consumer Discretionary — 0.7%          
Europris   49,550    456,834 
           
Consumer Staples — 12.5%          
Austevoll Seafood   28,843    278,543 
Grieg Seafood *   16,064    124,508 
Leroy Seafood Group   83,709    414,052 
Mowi   146,711    3,383,857 
Orkla   220,898    2,628,026 
Salmar   21,179    1,264,246 
         8,093,232 
Energy — 21.1%          
Aker BP   98,143    2,877,101 
Aker Solutions   93,370    341,418 
BLUENORD   7,540    352,294 
BW Offshore   29,105    142,507 
DNO   138,736    233,851 
DOF Group   46,148    542,293 
Equinor   257,034    6,881,695 
Frontline   45,388    1,297,942 
 

Schedule of Investments   January 31, 2026 (Unaudited)
  Global X MSCI Norway ETF  

 

   Shares   Value 
COMMON STOCK — continued          
Energy — continued          
Odfjell Drilling   37,475   $373,616 
TGS   61,313    645,128 
         13,687,845 
Financials — 24.7%          
DNB Bank   279,855    8,067,036 
Gjensidige Forsikring   62,960    1,795,849 
Protector Forsikring   16,813    916,049 
Sparebank 1 Nord Norge   29,785    455,632 
Sparebank 1 Oestlandet   15,031    306,725 
SpareBank 1 SMN   40,676    820,550 
SpareBank 1 Sor-Norge   64,886    1,315,423 
Storebrand   132,665    2,328,778 
         16,006,042 
Industrials — 13.5%          
Aker, Cl A   6,964    644,234 
AutoStore Holdings *   374,570    438,602 
Hoegh Autoliners   33,184    372,320 
Kongsberg Gruppen   138,734    4,777,402 
MPC Container Ships   119,317    231,759 
Norconsult Norge   34,389    162,647 
Norwegian Air Shuttle   164,902    279,674 
Odfjell, Cl A   5,789    82,260 
Stolt-Nielsen   7,404    233,326 
TOMRA Systems   69,735    930,619 
Wallenius Wilhelmsen, Cl B   33,452    389,267 
Wilh Wilhelmsen Holding, Cl A   3,474    247,909 
         8,790,019 
Information Technology — 2.7%          
Kitron   61,526    528,471 
LINK Mobility Group Holding *   78,296    273,655 
NORBIT   11,074    212,504 
Nordic Semiconductor *   56,015    756,277 
         1,770,907 
Materials — 6.8%          
Elkem   90,983    271,460 
 

Schedule of Investments   January 31, 2026 (Unaudited)
  Global X MSCI Norway ETF  

 

   Shares   Value 
COMMON STOCK — continued          
Materials — continued          
Elopak   42,561   $222,137 
Norsk Hydro   435,273    3,914,217 
         4,407,814 
Real Estate — 0.4%          
Entra   14,397    169,482 
Public Property Invest, Cl A   35,680    88,651 
         258,133 
TOTAL NORWAY        57,925,300 
SINGAPORE — 0.7%          
Energy — 0.7%          
BW LPG (A)   30,239    478,201 
           
SOUTH AFRICA — 0.7%          
Utilities — 0.7%          
Scatec *   39,693    476,777 
           
SWEDEN — 0.6%          
Information Technology — 0.6%          
Atea   24,877    399,108 
           
UNITED KINGDOM — 3.0%          
Energy — 3.0%          
Paratus Energy Services   26,670    129,640 
Subsea 7   70,673    1,808,230 
           
TOTAL UNITED KINGDOM        1,937,870 
TOTAL COMMON STOCK
(Cost $60,348,442)
        64,820,127 
 

Schedule of Investments   January 31, 2026 (Unaudited)
  Global X MSCI Norway ETF  

 

   Face Amount   Value 
REPURCHASE AGREEMENTS(B) — 0.2%          
Citadel Securities LLC
3.710%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $91,028 (collateralized by various U.S. Treasury Obligations, ranging in par value $6 - $8,745, 0.000% - 4.500%, 02/15/2026 - 11/15/2055, with a total market value of $92,391)
  $91,000   $91,000 
Citigroup Global Markets, Inc.
3.660%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $7,137 (collateralized by various U.S. Treasury Obligations, ranging in par value $7,047 - $7,047, 4.250% - 4.250%, 02/15/2028 - 02/15/2028, with a total market value of $7,141)
   7,135    7,135 
TOTAL REPURCHASE AGREEMENTS
(Cost $98,135)
        98,135 
TOTAL INVESTMENTS — 100.1%
(Cost $60,446,577)
       $64,918,262 

 

Percentages are based on Net Assets of $64,863,360.

 

* Non-income producing security.
(A) This security or a partial position of this security is on loan at January 31, 2026. The total market value of securities on loan at January 31, 2026 was $95,628.
(B) These securities were purchased with cash collateral held from securities on loan. The total value of such securities as of January 31, 2026 was $98,135. The total value of non-cash collateral held from securities on loan as of January 31, 2026 was $0.
 

Schedule of Investments   January 31, 2026 (Unaudited)
  Global X MSCI Norway ETF  

 

The following is a summary of the level of inputs used as of January 31, 2026, in valuing the Fund’s investments carried at value:

 

Investments in Securities  Level 1   Level 2   Level 3   Total 
Common Stock  $64,820,127   $   $   $64,820,127 
Repurchase Agreements       98,135        98,135 
Total Investments in Securities  $64,820,127   $98,135   $   $64,918,262 

 

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.

 

See “Glossary” for abbreviations.

 

Schedule of Investments   January 31, 2026 (Unaudited)
  Global X FTSE Southeast Asia ETF  

 

   Shares   Value 
COMMON STOCK — 100.0%          
CHINA — 0.8%          
Consumer Staples — 0.8%          
Wilmar International   281,832   $752,884 
           
INDONESIA — 13.6%          
Communication Services — 1.7%          
Telkom Indonesia Persero   6,991,275    1,499,469 
           
Financials — 9.5%          
Bank Central Asia   7,880,639    3,474,336 
Bank Mandiri Persero   6,961,368    1,999,034 
Bank Negara Indonesia Persero   1,933,392    517,184 
Bank Rakyat Indonesia Persero   10,609,484    2,408,230 
         8,398,784 
Industrials — 1.4%          
Astra International   3,238,155    1,225,039 
           
Materials — 1.0%          
Amman Mineral Internasional *   1,939,400    878,132 
           
TOTAL INDONESIA        12,001,424 
MALAYSIA — 16.7%          
Financials — 11.4%          
CIMB Group Holdings   1,337,645    2,911,465 
Hong Leong Bank   98,600    645,327 
Malayan Banking   1,211,939    3,627,823 
Public Bank   2,341,955    2,893,283 
         10,077,898 
Health Care — 1.2%          
IHH Healthcare   495,197    1,125,562 
           
Materials — 1.2%          
Press Metal Aluminium Holdings   546,026    1,047,173 
 

Schedule of Investments   January 31, 2026 (Unaudited)
  Global X FTSE Southeast Asia ETF  

 

   Shares   Value 
COMMON STOCK — continued          
Utilities — 2.9%          
Tenaga Nasional   720,244   $2,546,982 
           
TOTAL MALAYSIA        14,797,615 
PHILIPPINES — 3.8%          
Financials — 1.7%          
Bank of the Philippine Islands   301,850    635,684 
BDO Unibank   363,899    834,340 
         1,470,024 
Industrials — 2.1%          
International Container Terminal Services   174,590    1,903,632 
           
TOTAL PHILIPPINES        3,373,656 
SINGAPORE — 46.9%          
Communication Services — 4.7%          
Singapore Telecommunications   1,148,158    4,152,912 
           
Financials — 33.6%          
DBS Group Holdings   322,865    15,061,945 
Oversea-Chinese Banking   520,508    8,707,947 
United Overseas Bank   197,802    5,965,234 
         29,735,126 
Industrials — 5.6%          
Keppel   225,400    1,941,388 
Singapore Airlines (A)   230,347    1,152,643 
Singapore Technologies Engineering   238,800    1,844,161 
         4,938,192 
Real Estate — 3.0%          
CapitaLand Integrated Commercial Trust    949,199    1,787,696 
CapitaLand Investment   364,210    883,977 
         2,671,673 
TOTAL SINGAPORE        41,497,903 
THAILAND — 18.2%          
Communication Services — 2.8%          
Advanced Info Service NVDR   171,034    1,897,056 
 

Schedule of Investments   January 31, 2026 (Unaudited)
  Global X FTSE Southeast Asia ETF  

 

   Shares   Value 
COMMON STOCK — continued          
Communication Services — continued          
True NVDR   1,540,700   $568,000 
         2,465,056 
Consumer Staples — 2.0%          
CP ALL NVDR   861,217    1,190,623 
CP AXTRA NVDR   252,184    118,618 
Thai Beverage   1,153,500    436,312 
         1,745,553 
Energy — 3.3%          
PTT NVDR   1,969,115    2,127,758 
PTT Exploration & Production NVDR   211,385    822,967 
         2,950,725 
Financials — 3.2%          
Kasikornbank NVDR   281,265    1,680,528 
SCB X NVDR   270,307    1,164,043 
         2,844,571 
Health Care — 1.2%          
Bangkok Dusit Medical Services NVDR   1,728,036    1,103,878 
           
Industrials — 1.1%          
Airports of Thailand NVDR   600,159    958,462 
           
Information Technology — 3.4%          
Delta Electronics Thailand NVDR   459,510    2,993,788 
           
Utilities — 1.2%          
Gulf Development NVDR *   706,446    1,049,622 
           
TOTAL THAILAND        16,111,655 
TOTAL COMMON STOCK
(Cost $71,077,906)
        88,535,137 
 

Schedule of Investments   January 31, 2026 (Unaudited)
  Global X FTSE Southeast Asia ETF  

 

   Face Amount   Value 
REPURCHASE AGREEMENTS(B) — 1.0%          
CF Secured LLC
3.680%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $249,076 (collateralized by various U.S. Government Obligations and U.S. Treasury Obligations, ranging in par value $267 - $51,591, 0.000% - 7.000%, 02/28/2027 - 09/20/2065, with a total market value of $252,931)
  $249,000   $249,000 
Citadel Securities LLC
3.710%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $249,077 (collateralized by various U.S. Treasury Obligations, ranging in par value $16 - $23,930, 0.000% - 4.500%, 02/15/2026 - 11/15/2055, with a total market value of $252,807)
   249,000    249,000 
Citigroup Global Markets, Inc.
3.670%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $249,076 (collateralized by various U.S. Government Obligations, ranging in par value $1,487 - $8,835, 3.500% - 7.500%, 11/01/2049 - 01/20/2056, with a total market value of $252,765)
   249,000    249,000 
Clear Street LLC
3.720%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $96,030 (collateralized by various U.S. Government Obligations, ranging in par value $143 - $27,973, 2.500% - 7.000%, 11/01/2030 - 02/01/2056, with a total market value of $97,490)
   96,000    96,000 
 

Schedule of Investments   January 31, 2026 (Unaudited)
  Global X FTSE Southeast Asia ETF  

 

   Face Amount   Value 
REPURCHASE AGREEMENTS(B) — continued          
Daiwa Capital Markets America, Inc.
3.660%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $54,874 (collateralized by various U.S. Treasury Obligations, ranging in par value $110 - $22,238, 1.125% - 4.375%, 02/28/2027 - 06/30/2031, with a total market value of $55,568)
  $54,857   $54,857 
TOTAL REPURCHASE AGREEMENTS
(Cost $897,857)
        897,857 
TOTAL INVESTMENTS — 101.0%
(Cost $71,975,763)
       $89,432,994 

 

Percentages are based on Net Assets of $88,541,175.

 

* Non-income producing security.
Real Estate Investment Trust
(A) This security or a partial position of this security is on loan at January 31, 2026. The total market value of securities on loan at January 31, 2026 was $846,842.
(B) These securities were purchased with cash collateral held from securities on loan. The total value of such securities as of January 31, 2026 was $897,857. The total value of non-cash collateral held from securities on loan as of January 31, 2026 was $0.
 

Schedule of Investments   January 31, 2026 (Unaudited)
  Global X FTSE Southeast Asia ETF  

 

The following is a summary of the level of inputs used as of January 31, 2026, in valuing the Fund’s investments carried at value:

 

Investments in Securities  Level 1   Level 2   Level 3   Total 
Common Stock  $88,535,137   $   $   $88,535,137 
Repurchase Agreements       897,857        897,857 
Total Investments in Securities  $88,535,137   $897,857   $   $89,432,994 

 

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.

 

See “Glossary” for abbreviations.

 

Schedule of Investments   January 31, 2026 (Unaudited)
  Global X MSCI Argentina ETF  

 

   Shares   Value 
COMMON STOCK — 95.8%          
ARGENTINA — 55.5%          
Communication Services — 3.0%          
Telecom Argentina ADR   1,942,451   $26,223,089 
           
Consumer Staples — 1.4%          
Cresud SACIF y A ADR (A)   899,020    12,145,760 
           
Energy — 18.3%          
Transportadora de Gas del Sur ADR (A)   1,193,529    38,061,640 
Vista Energy ADR *   842,596    50,968,632 
YPF ADR *(A)   1,799,024    71,583,165 
         160,613,437 
Financials — 17.5%          
Banco BBVA Argentina ADR (A)   1,630,185    32,962,341 
Banco Macro ADR (A)   424,116    43,217,420 
Grupo Financiero Galicia ADR (A)   1,102,292    60,747,312 
Grupo Supervielle ADR (A)   1,324,528    16,172,487 
         153,099,560 
Industrials — 2.6%          
Corp America Airports *   766,950    22,732,398 
           
Materials — 1.7%          
Bioceres Crop Solutions *   1,039,079    870,541 
Loma Negra Cia Industrial Argentina ADR *(A)   1,238,895    14,284,459 
         15,155,000 
Real Estate — 1.4%          
IRSA Inversiones y Representaciones ADR   717,237    12,479,924 
           
Utilities — 9.6%          
Central Puerto ADR *   2,066,081    34,131,658 
Empresa Distribuidora Y Comercializadora Norte ADR *(A)   484,145    14,834,203 
Pampa Energia ADR *(A)   410,868    35,597,603 
         84,563,464 
TOTAL ARGENTINA        487,012,632 
 

Schedule of Investments   January 31, 2026 (Unaudited)
  Global X MSCI Argentina ETF  

 

   Shares   Value 
COMMON STOCK — continued          
BRAZIL — 24.8%          
Consumer Discretionary — 24.0%          
Arcos Dorados Holdings, Cl A   2,918,877   $23,876,414 
MercadoLibre *   86,990    186,836,252 
         210,712,666 
Consumer Staples — 0.8%          
Adecoagro (A)   831,051    7,363,112 
           
TOTAL BRAZIL        218,075,778 
CANADA — 9.5%          
Materials — 9.5%          
Fortuna Mining *   3,133,995    30,827,318 
Lithium Argentina *   2,672,482    17,985,804 
SSR Mining *   1,502,168    34,432,888 
           
TOTAL CANADA        83,246,010 
CHILE — 6.0%          
Consumer Staples — 6.0%          
Cencosud   9,190,360    31,140,770 
Cia Cervecerias Unidas   2,888,027    21,465,615 
           
TOTAL CHILE        52,606,385 
UNITED STATES — 0.0%          
Utilities — 0.0%          
Central Puerto (B)   2,165,327     
           
TOTAL COMMON STOCK
(Cost $762,965,678)
        840,940,805 
           
PREFERRED STOCK — 4.2%          
CHILE— 4.2%          
Consumer Staples — 4.2%          
Embotelladora Andina (C)   6,931,160    36,853,616 
TOTAL PREFERRED STOCK
(Cost $20,410,940)
        36,853,616 
 

Schedule of Investments   January 31, 2026 (Unaudited)
  Global X MSCI Argentina ETF  

 

   Face Amount   Value 
REPURCHASE AGREEMENTS(D) — 9.2%          
Bank of America Securities, Inc.
3.670%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $12,515,746 (collateralized by various U.S. Government Obligations, ranging in par value $26,197 - $6,821,373, 1.500% - 6.500%, 08/01/2033 - 02/01/2056, with a total market value of $12,722,865)
  $12,511,919   $12,511,919 
Cantor Fitzgerald Securities
3.690%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $17,867,470 (collateralized by various U.S. Government Obligations and U.S. Treasury Obligations, ranging in par value $9,177 - $2,762,081, 1.000% - 6.500%, 10/31/2029 - 12/15/2060, with a total market value of $18,143,586)
   17,861,977    17,861,977 
Citadel Securities LLC
3.710%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $19,007,978 (collateralized by various U.S. Treasury Obligations, ranging in par value $1,194 - $1,826,178, 0.000% - 4.500%, 02/15/2026 - 11/15/2055, with a total market value of $19,292,657)
   19,002,103    19,002,103 
Citigroup Global Markets, Inc.
3.660%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $4,853,607 (collateralized by various U.S. Treasury Obligations, ranging in par value $4,792,354 - $4,792,354, 4.250% - 4.250%, 02/15/2028 - 02/15/2028, with a total market value of $4,856,189)
   4,852,127    4,852,127 
Daiwa Capital Markets America, Inc.
3.670%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $3,299,033 (collateralized by various U.S. Government Obligations and U.S. Treasury Obligations, ranging in par value $432 - $1,374,751, 0.000% - 6.500%, 10/01/2026 - 02/01/2056, with a total market value of $3,350,618)
   3,298,024    3,298,024 
 

Schedule of Investments   January 31, 2026 (Unaudited)
  Global X MSCI Argentina ETF  

 

   Face Amount   Value 
REPURCHASE AGREEMENTS(D) — continued          
JP Morgan Securities LLC
3.670%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $5,473,561 (collateralized by various U.S. Government Obligations, ranging in par value $5,097 - $877,015, 1.500% - 7.000%, 04/01/2035 - 02/01/2056, with a total market value of $5,558,395)
  $5,471,888   $5,471,888 
Nomura Securities International, Inc.
3.670%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $17,867,440 (collateralized by various U.S. Government Obligations, ranging in par value $16,412 - $3,539,844, 2.500% - 6.500%, 08/01/2035 - 01/01/2056, with a total market value of $18,143,921)
   17,861,977    17,861,977 
TOTAL REPURCHASE AGREEMENTS
(Cost $80,860,015)
        80,860,015 
TOTAL INVESTMENTS — 109.2%
(Cost $864,236,633)
       $958,654,436 

 

Percentages are based on Net Assets of $878,132,124.

 

* Non-income producing security.
(A) This security or a partial position of this security is on loan at January 31, 2026. The total market value of securities on loan at January 31, 2026 was $87,267,277.
(B) Level 3 security in accordance with fair value hierarchy.
(C) There is currently no stated interest rate.
(D) These securities were purchased with cash collateral held from securities on loan. The total value of such securities as of January 31, 2026 was $80,860,015. The total value of non-cash collateral held from securities on loan as of January 31, 2026 was $9,599,863.
 

Schedule of Investments   January 31, 2026 (Unaudited)
  Global X MSCI Argentina ETF  

 

The following is a summary of the level of inputs used as of January 31, 2026, in valuing the Fund’s investments carried at value:

 

Investments in Securities  Level 1   Level 2   Level 3(1)   Total 
Common Stock  $840,940,805   $   $^  $840,940,805 
Preferred Stock   36,853,616            36,853,616 
Repurchase Agreements       80,860,015        80,860,015 
Total Investments in Securities  $877,794,421   $80,860,015   $   $958,654,436 

 

(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 end of the period in relation to Net Assets. Management has concluded that Level 3 investments are not material in relation to Net Assets.

 

^ This category includes securities with a value of $—.

 

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.

 

See “Glossary” for abbreviations.

 

Schedule of Investments   January 31, 2026 (Unaudited)
  Global X MSCI Greece ETF  

 

   Shares   Value 
COMMON STOCK — 100.0%          
BELGIUM — 2.5%          
Industrials — 1.6%          
Cenergy Holdings   243,375   $5,616,925 
           
Materials — 0.9%          
Viohalco   193,192    2,987,813 
           
TOTAL BELGIUM        8,604,738 
GREECE — 93.8%          
Communication Services — 3.7%          
Hellenic Telecommunications Organization   691,700    12,976,884 
           
Consumer Discretionary — 9.8%          
Autohellas Tourist and Trading   218,359    3,371,838 
Ballys Intralot *   4,025,050    4,912,919 
FF Group *(A)   452,712    5 
FF Group ADR *(A)   198,300    2 
JUMBO   413,024    12,303,554 
OPAP   658,229    13,312,110 
         33,900,428 
Consumer Staples — 1.1%          
Sarantis   231,484    3,734,235 
           
Energy — 6.7%          
HELLENiQ ENERGY Holdings   563,291    6,078,005 
Motor Oil Hellas Corinth Refineries   319,860    12,922,560 
Tsakos Energy Navigation   163,535    4,443,246 
         23,443,811 
Financials — 50.4%          
Alpha Bank   6,998,096    33,717,539 
Eurobank   8,454,363    41,588,892 
Hellenic Exchanges - Athens Stock Exchange   123,443    862,036 
National Bank of Greece   2,975,837    52,802,361 
Optima bank   945,847    9,744,504 
Piraeus Bank   3,597,028    36,416,175 
         175,131,507 
 

Schedule of Investments   January 31, 2026 (Unaudited)
  Global X MSCI Greece ETF  

 

   Shares   Value 
COMMON STOCK — continued          
Industrials — 14.1%          
Aegean Airlines   276,005   $4,912,126 
Aktor Holding Company Technical And Energy Projects *   416,628    5,392,601 
Athens International Airport   406,992    5,485,759 
Capital Clean Energy Carriers   113,349    2,481,209 
GEK TERNA   311,182    12,305,420 
Metlen Energy & Metals PLC *   274,555    15,031,313 
Piraeus Port Authority   67,725    3,206,661 
         48,815,089 
Real Estate — 1.1%          
LAMDA Development *   464,288    3,910,584 
           
Utilities — 6.9%          
Athens Water Supply & Sewage   401,483    3,438,909 
Holding ADMIE IPTO   1,009,736    3,687,798 
Public Power   708,469    16,822,957 
         23,949,664 
TOTAL GREECE        325,862,202 
UNITED STATES — 3.7%          
Materials — 3.7%          
Titan   192,058    12,954,970 
           
TOTAL COMMON STOCK
(Cost $230,615,755)
        347,421,910 
 

Schedule of Investments   January 31, 2026 (Unaudited)
  Global X MSCI Greece ETF  

 

   Face Amount   Value 
REPURCHASE AGREEMENT(B) — 0.0%          
Citadel Securities LLC
3.710%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $4 (collateralized by various U.S. Treasury Obligations, ranging in par value $0 - $0, 0.000% - 4.500%, 02/15/2026 - 11/15/2055, with a total market value of $4)
(Cost $4)
  $4   $4 
TOTAL INVESTMENTS — 100.0%
(Cost $230,615,759)
       $347,421,914 

 

Percentages are based on Net Assets of $347,431,354.

 

* Non-income producing security.
(A) Level 3 security in accordance with fair value hierarchy.
(B) These securities were purchased with cash collateral held from securities on loan. The total value of such securities as of January 31, 2026 was $4. The total value of non-cash collateral held from securities on loan as of January 31, 2026 was $0.

 

The following is a summary of the level of inputs used as of January 31, 2026, in valuing the Fund’s investments carried at value:

 

Investments in Securities  Level 1   Level 2   Level 3(1)   Total 
Common Stock  $347,421,903   $   $7   $347,421,910 
Repurchase Agreement       4        4 
Total Investments in Securities  $347,421,903   $4   $7   $347,421,914 

 

(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 end of the period in relation to Net Assets. Management has concluded that Level 3 investments are not material in relation to Net Assets.

 

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.

 

See “Glossary” for abbreviations.

 

Schedule of Investments   January 31, 2026 (Unaudited)
  Global X DAX Germany ETF  

 

   Shares   Value 
COMMON STOCK — 97.5%          
FRANCE — 6.5%          
Industrials — 6.5%          
Airbus   81,474   $18,751,291 
           
GERMANY — 90.5%          
Communication Services — 6.1%          
Deutsche Telekom   487,260    16,329,337 
Scout24   10,412    1,041,101 
         17,370,438 
Consumer Discretionary — 6.0%          
adidas   23,701    4,205,434 
Bayerische Motoren Werke   38,804    4,035,601 
Continental   14,987    1,188,148 
Mercedes-Benz Group   99,680    6,853,015 
Zalando *   32,951    954,136 
         17,236,334 
Consumer Staples — 0.5%          
Beiersdorf   12,453    1,488,144 
           
Financials — 20.2%          
Allianz   52,682    23,301,967 
Commerzbank   95,840    3,955,233 
Deutsche Bank   269,768    10,686,995 
Deutsche Boerse   26,069    6,615,096 
Hannover Rueck   8,326    2,365,330 
Muenchener Rueckversicherungs-Gesellschaft in Muenchen   18,085    11,024,238 
         57,948,859 
Health Care — 5.9%          
Bayer   136,035    7,211,354 
Fresenius & KGaA   57,093    3,206,549 
Fresenius Medical Care   29,096    1,312,224 
Merck KGaA   17,938    2,679,240 
Siemens Healthineers   51,640    2,590,662 
         17,000,029 
 

Schedule of Investments   January 31, 2026 (Unaudited)
  Global X DAX Germany ETF  

 

   Shares   Value 
COMMON STOCK — continued          
Industrials — 28.0%          
Brenntag   16,013   $979,167 
Daimler Truck Holding   74,368    3,623,823 
Deutsche Post   131,227    7,387,354 
GEA Group   20,227    1,453,414 
MTU Aero Engines   7,469    3,327,631 
Rheinmetall   6,365    13,489,790 
Siemens   104,126    31,748,904 
Siemens Energy *   107,063    18,411,046 
         80,421,129 
Information Technology — 13.8%          
Infineon Technologies   180,832    8,951,461 
SAP   150,289    30,494,768 
         39,446,229 
Materials — 4.6%          
BASF   123,589    6,757,418 
Heidelberg Materials   17,736    4,880,365 
Symrise, Cl A   18,428    1,557,845 
         13,195,628 
Real Estate — 1.0%          
Vonovia   100,863    2,953,007 
           
Utilities — 4.4%          
E.ON   310,878    6,607,147 
RWE   93,634    5,961,707 
         12,568,854 
TOTAL GERMANY        259,628,651 
UNITED STATES — 0.5%          
Health Care — 0.5%          
QIAGEN   28,696    1,523,252 
           
TOTAL COMMON STOCK
(Cost $254,309,356)
        279,903,194 
 

Schedule of Investments   January 31, 2026 (Unaudited)
  Global X DAX Germany ETF  

 

   Shares   Value 
PREFERRED STOCK — 2.2%          
GERMANY— 2.2%          
Consumer Discretionary — 1.5%          
Porsche Automobil Holding (A)   21,248   $916,067 
Volkswagen (A)   28,616    3,494,530 
         4,410,597 
Consumer Staples — 0.7%          
Henkel & KGaA (A)   21,263    1,875,924 
TOTAL GERMANY        6,286,521 
TOTAL PREFERRED STOCK
(Cost $6,250,152)
        6,286,521 
TOTAL INVESTMENTS — 99.7%
(Cost $260,559,508)
       $286,189,715 

 

Percentages are based on Net Assets of $286,961,789.

 

A list of the open futures contracts held by the Fund at January 31, 2026, is as follows:

 

Type of Contract  Number of
Contracts
  Expiration
Date
  Notional Amount  Value  Unrealized
Depreciation
Long Contracts Mini DAX Index  5  Mar-2026  $730,424  $732,114  $(11,688)
   
* Non-income producing security.
(A) There is currently no stated interest rate.
 

Schedule of Investments   January 31, 2026 (Unaudited)
  Global X DAX Germany ETF  

 

The following is a summary of the level of inputs used as of January 31, 2026, in valuing the Fund’s investments and other financial instruments carried at value:

 

Investments in Securities  Level 1   Level 2   Level 3   Total 
Common Stock  $279,903,194   $   $   $279,903,194 
Preferred Stock   6,286,521            6,286,521 
Total Investments in Securities  $286,189,715   $   $   $286,189,715 
                     
Other Financial Instruments  Level 1   Level 2   Level 3   Total 
Futures Contracts*                     
Unrealized Depreciation  $(11,688)  $   $   $(11,688)
Total Other Financial Instruments  $(11,688)  $   $   $(11,688)
   
* Futures contracts are valued at unrealized depreciation on the instrument.

 

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.

 

See “Glossary” for abbreviations.

 

Schedule of Investments   January 31, 2026 (Unaudited)
  Global X MSCI Vietnam ETF  

 

   Shares   Value 
COMMON STOCK — 100.1%          
VIETNAM — 100.1%          
Consumer Discretionary — 1.1%          
FPT DIGITAL RETAIL JSC *   54,450   $356,674 
           
Consumer Staples — 11.5%          
DABACO Vietnam Group JSC *   139,585    151,495 
HAGL JSC *   380,800    253,260 
KIDO Group   102,073    196,771 
Masan Group *   431,020    1,395,908 
Saigon Beer Alcohol Beverage   92,400    177,768 
Thanh Thanh Cong - Bien Hoa JSC *   249,658    230,051 
Vietnam Dairy Products JSC   439,200    1,195,494 
Vinh Hoan   75,780    189,033 
         3,789,780 
Energy — 2.0%          
PetroVietnam Drilling & Well Services JSC   190,552    227,748 
PetroVietnam Technical Services *   161,008    281,828 
Petrovietnam Transportation *   183,010    146,411 
         655,987 
Financials — 27.5%          
Bank for Foreign Trade of Vietnam JSC   499,649    1,358,108 
Bank for Investment and Development of Vietnam JSC   186,483    387,533 
FPT Securities JSC   108,248    137,308 
Ho Chi Minh City Securities   346,200    314,339 
MB Securities JSC   166,300    169,910 
Nam A Commercial JSB *   361,575    197,258 
Sai Gon-Ha Noi Securities JSC   296,401    213,699 
Saigon - Hanoi Commercial Joint Stock Bank   856,223    528,186 
Saigon Thuong Tin Commercial JSB *   347,100    843,093 
SSI Securities   969,602    1,164,479 
Techcom Securities JSC *   152,000    331,110 
Tien Phong Commercial Joint Stock Bank   295,315    195,837 
Vietcap Securities JSC   236,382    334,017 
Vietnam Export Import Commercial JSB *   365,647    293,933 
Vietnam Joint Stock Commercial Bank for Industry and Trade   205,160    306,510 
Vietnam Prosperity JSC Bank   722,200    779,643 
 

Schedule of Investments   January 31, 2026 (Unaudited)
  Global X MSCI Vietnam ETF  

 

   Shares   Value 
COMMON STOCK — continued          
Financials — continued          
VIX Securities JSC *   927,509   $808,178 
VNDirect Securities   709,450    506,027 
VPS Securities JSC *   136,900    242,268 
         9,111,436 
Industrials — 9.0%          
Binh Minh Plastics JSC   22,200    139,515 
Development Investment Construction JSC *   276,918    172,960 
Gelex Group JSC   282,515    399,749 
Gemadept   76,800    202,830 
Ha Do Group JSC *   137,681    145,713 
Ho Chi Minh City Infrastructure Investment JSC   183,700    130,673 
Hoang Huy Investment Financial Services JSC *   318,231    192,629 
IDICO JSC   132,306    244,340 
PC1 Group JSC *   159,973    149,260 
Tasco JSC *   359,440    217,574 
Vietjet Aviation JSC *   107,700    707,979 
Vietnam Construction and Import-Export JSC   222,181    164,042 
Viettel Post Joint Stock   26,500    113,614 
         2,980,878 
Information Technology — 6.8%          
CMC *   82,500    113,872 
Digiworld   84,086    158,855 
FPT   493,600    1,988,711 
         2,261,438 
Materials — 9.7%          
Duc Giang Chemicals JSC   119,180    315,216 
Hoa Phat Group JSC *   2,226,376    2,300,454 
Hoa Sen Group   232,330    144,215 
Nam Kim Steel JSC *   189,080    110,807 
PetroVietNam Ca Mau Fertilizer JSC   105,000    148,167 
Petrovietnam Fertilizer & Chemicals JSC   217,126    200,492 
         3,219,351 
Real Estate — 30.4%          
CEO Group JSC *   201,713    155,541 
 

Schedule of Investments   January 31, 2026 (Unaudited)
  Global X MSCI Vietnam ETF  

 

   Shares   Value 
COMMON STOCK — continued          
Real Estate — continued          
Dat Xanh Group JSC *   379,611   $225,393 
Khang Dien House Trading and Investment JSC *   352,719    373,974 
Kinh Bac City Development Holding *   294,100    395,732 
Kosy JSC *   75,400    113,811 
Novaland Investment Group *   620,691    311,099 
Phat Dat Real Estate Development *   331,214    226,028 
Sai Gon VRG Investment   85,099    200,140 
Van Phu Real estate development JSC *   89,964    186,955 
Vincom Retail JSC *   571,100    664,966 
Vingroup JSC *   1,120,100    6,067,550 
Vinhomes JSC *   278,300    1,137,364 
         10,058,553 
Utilities — 2.1%          
Binh Duong Water Environment JSC   63,200    112,818 
PetroVietnam Gas JSC   69,675    314,299 
PetroVietnam Power *   518,153    274,689 
         701,806 
TOTAL VIETNAM        33,135,903 
TOTAL COMMON STOCK
(Cost $25,919,283)
        33,135,903 
TOTAL INVESTMENTS — 100.1%
(Cost $25,919,283)
       $33,135,903 

 

Percentages are based on Net Assets of $33,117,312.

 

* Non-income producing security.

 

As of January 31, 2026, 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 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.

 

See “Glossary” for abbreviations.

 

January 31, 2026 (Unaudited)

Glossary: (abbreviations which may be used in the preceding Schedules of Investments)

 

Fund Abbreviations

ADR — American Depositary Receipt

Cl — Class

JSB — Joint-Stock Bank

JSC — Joint-Stock Company

NVDR — Non-Voting Depositary Receipt

 

GLX-QH-002-2900

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Lithium & Battery Tech ETF

 

   Shares   Value 
COMMON STOCK — 100.0%          
AUSTRALIA — 30.5%          
Materials — 30.5%          
Elevra Lithium *(A)   908,944   $4,266,296 
ESG Minerals *(B)   397,586     
European Lithium *(A)   7,715,089    1,270,129 
IGO *   4,192,092    24,433,924 
ioneer *(A)   12,265,488    1,331,851 
Liontown *   12,666,424    16,460,273 
Mineral Resources *   1,053,994    42,198,156 
PLS Group *   19,215,010    57,748,007 
Rio Tinto PLC ADR   4,041,414    367,889,916 
Vulcan Energy Resources *(A)   2,016,758    5,679,616 
           
TOTAL AUSTRALIA        521,278,168 
BRAZIL — 0.2%          
Materials — 0.2%          
Sigma Lithium *(A)   384,783    4,147,961 
           
CANADA — 1.1%          
Materials — 1.1%          
Lithium Americas *(A)   1,308,671    6,397,668 
Lithium Argentina *(A)   725,260    4,895,231 
PMET Resources *(A)   872,020    3,973,240 
Standard Lithium *   1,034,183    4,505,911 
           
TOTAL CANADA        19,772,050 
CHILE — 4.0%          
Materials — 4.0%          
Sociedad Quimica y Minera de Chile ADR *   884,649    67,976,429 
           
CHINA — 32.1%          
Consumer Discretionary — 3.0%          
BYD, Cl H   4,131,121    51,707,118 
           
Industrials — 11.2%          
Contemporary Amperex Technology, Cl A   1,101,309    55,451,232 
Eve Energy, Cl A   5,127,888    47,057,094 
Jiangxi Special Electric Motor, Cl A *   8,403,240    11,242,520 
 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Lithium & Battery Tech ETF

 

   Shares   Value 
COMMON STOCK — continued          
Industrials — continued          
Sunwoda Electronic, Cl A   8,215,391   $27,690,736 
Wuxi Lead Intelligent Equipment, Cl A   5,937,410    49,292,640 
         190,734,222 
Information Technology — 3.9%          
NAURA Technology Group, Cl A   979,040    66,932,686 
           
Materials — 14.0%          
Ganfeng Lithium Group, Cl A   6,430,100    63,456,456 
Guangzhou Tinci Materials Technology, Cl A   6,829,785    39,998,352 
Shanghai Putailai New Energy Technology, Cl A   5,986,008    23,862,052 
Sinomine Resource Group, Cl A   3,405,456    41,886,624 
Tianqi Lithium, Cl A *   6,003,973    47,115,896 
Yunnan Energy New Material, Cl A *   3,157,159    23,158,767 
         239,478,147 
TOTAL CHINA        548,852,173 
FRANCE — 0.3%          
Materials — 0.3%          
Eramet (A)   55,251    4,850,845 
           
JAPAN — 6.4%          
Consumer Discretionary — 3.7%          
Panasonic Holdings   4,587,989    62,963,650 
           
Information Technology — 2.7%          
TDK   3,664,696    47,061,862 
           
TOTAL JAPAN        110,025,512 
NETHERLANDS — 0.5%          
Materials — 0.5%          
AMG Critical Materials (A)   186,092    7,996,435 
           
SOUTH KOREA — 11.4%          
Industrials — 6.5%          
Ecopro *   300,868    48,493,384 
L&F *   153,827    13,497,534 
 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Lithium & Battery Tech ETF

 

   Shares   Value 
COMMON STOCK — continued          
Industrials — continued          
LG Energy Solution *   179,882   $49,738,110 
         111,729,028 
Information Technology — 4.9%          
Samsung SDI   305,558    82,789,787 
           
TOTAL SOUTH KOREA        194,518,815 
UNITED STATES — 13.5%          
Consumer Discretionary — 3.7%          
Lucid Group, Cl A *(A)   784,071    8,679,666 
Tesla *   125,042    53,819,327 
         62,498,993 
Industrials — 2.5%          
EnerSys   241,573    43,529,039 
           
Materials — 7.3%          
Albemarle   727,017    124,050,911 
           
TOTAL UNITED STATES        230,078,943 
TOTAL COMMON STOCK
(Cost $1,258,065,488)
        1,709,497,331 
           
   Face Amount      
REPURCHASE AGREEMENTS(C) — 1.0%          
CF Secured LLC
3.680%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $3,621,148 (collateralized by various U.S. Government Obligations and U.S. Treasury Obligations, ranging in par value $3,877 - $750,046, 0.000% - 7.000%, 02/28/2027 - 09/20/2065, with a total market value of $3,677,190)
  $3,620,038    3,620,038 
Citadel Securities LLC
3.710%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $3,852,296 (collateralized by various U.S. Treasury Obligations, ranging in par value $242 - $370,107, 0.000% - 4.500%, 02/15/2026 - 11/15/2055, with a total market value of $3,909,991)
   3,851,105    3,851,105 
 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Lithium & Battery Tech ETF

 

   Face Amount   Value 
REPURCHASE AGREEMENTS(C) — continued          
Citigroup Global Markets, Inc.
3.660%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $231,137 (collateralized by various U.S. Treasury Obligations, ranging in par value $228,221 - $228,221, 4.250% - 4.250%, 02/15/2028 - 02/15/2028, with a total market value of $231,260)
  $231,067   $231,067 
Citigroup Global Markets, Inc.
3.670%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $3,621,145 (collateralized by various U.S. Government Obligations, ranging in par value $21,625 - $128,448, 3.500% - 7.500%, 11/01/2049 - 01/20/2056, with a total market value of $3,674,769)
   3,620,038    3,620,038 
Clear Street LLC
3.720%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $691,995 (collateralized by various U.S. Government Obligations, ranging in par value $1,031 - $201,577, 2.500% - 7.000%, 11/01/2030 - 02/01/2056, with a total market value of $702,517)
   691,781    691,781 
Daiwa Capital Markets America, Inc.
3.660%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $753,844 (collateralized by various U.S. Treasury Obligations, ranging in par value $1,507 - $305,502, 1.125% - 4.375%, 02/28/2027 - 06/30/2031, with a total market value of $763,380)
   753,614    753,614 
 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Lithium & Battery Tech ETF

 

   Face Amount   Value 
REPURCHASE AGREEMENTS(C) — continued          
RBC Dominion Securities, Inc.
3.670%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $3,621,145 (collateralized by various U.S. Government Obligations and U.S. Treasury Obligations, ranging in par value $6,856 - $11,566,528, 0.000% - 7.000%, 07/31/2030 - 05/01/2054, with a total market value of $3,673,755)
  $3,620,038   $3,620,038 
TOTAL REPURCHASE AGREEMENTS
(Cost $16,387,681)
        16,387,681 
TOTAL INVESTMENTS — 101.0%
(Cost $1,274,453,169)
       $1,725,885,012 

 

Percentages are based on Net Assets of $1,709,063,372.

 

* Non-income producing security.
(A) This security or a partial position of this security is on loan at January 31, 2026. The total market value of securities on loan at January 31, 2026 was $21,411,447.
(B) Level 3 security in accordance with fair value hierarchy.
(C) These securities were purchased with cash collateral held from securities on loan. The total value of such securities as of January 31, 2026 was $16,387,681. The total value of non-cash collateral held from securities on loan as of January 31, 2026 was $6,960,966.

 

The following is a summary of the level of inputs used as of January 31, 2026, in valuing the Fund’s investments carried at value:

 

Investments in Securities  Level 1   Level 2   Level 3(1)  Total 
Common Stock  $1,709,497,331   $   $^  $1,709,497,331 
Repurchase Agreements       16,387,681        16,387,681 
Total Investments in Securities  $1,709,497,331   $16,387,681   $   $1,725,885,012 

 

^ Includes Securities in which the fair value is $0 or has been rounded to $0.

(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 end of the period in relation to Net Assets. Management has concluded that Level 3 investments are not material in relation to Net Assets.

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Lithium & Battery Tech ETF

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

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.

 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X SuperDividend® ETF  

 

   Shares   Value 
COMMON STOCK — 94.8%          
AUSTRALIA — 1.1%          
Industrials — 1.1%          
McMillan Shakespeare   1,085,090   $12,960,723 
           
BRAZIL — 8.1%          
Consumer Discretionary — 2.3%          
Direcional Engenharia   5,577,500    14,861,118 
Vulcabras    3,740,329    12,873,667 
         27,734,785 
Consumer Staples — 1.1%          
MBRF Global Foods   3,737,900    13,329,372 
           
Financials — 2.4%          
BB Seguridade Participacoes    1,380,700    9,839,256 
Caixa Seguridade Participacoes    5,834,600    19,290,605 
         29,129,861 
Health Care — 1.0%          
Odontoprev   5,465,400    11,733,456 
           
Materials — 1.3%          
Vale   975,000    15,702,648 
           
TOTAL BRAZIL        97,630,122 
CANADA — 3.1%          
Energy — 2.4%          
Cardinal Energy (A)   2,105,145    13,789,193 
Parex Resources (A)   982,531    14,656,520 
         28,445,713 
Real Estate — 0.7%          
Allied Properties Real Estate Investment Trust    805,245    8,354,830 
           
TOTAL CANADA        36,800,543 
CHINA — 5.2%          
Consumer Staples — 0.7%          
Sun Art Retail Group   44,558,400    8,786,501 
 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X SuperDividend® ETF  

 

   Shares   Value 
COMMON STOCK — continued          
Financials — 2.0%          
Chongqing Rural Commercial Bank, Cl H   15,097,900   $11,270,696 
Far East Horizon   13,077,400    13,077,903 
         24,348,599 
Industrials — 0.9%          
Greentown Management Holdings (A)   24,740,000    10,422,244 
           
Real Estate — 1.6%          
C&D International Investment Group   5,134,132    10,564,490 
Sunac Services Holdings (A)   45,963,700    8,475,067 
         19,039,557 
TOTAL CHINA        62,596,901 
FRANCE — 1.9%          
Communication Services — 1.1%          
Metropole Television   872,580    12,539,873 
           
Real Estate — 0.8%          
ICADE    395,427    9,756,544 
           
TOTAL FRANCE        22,296,417 
GREECE — 0.9%          
Consumer Discretionary — 0.9%          
OPAP    537,870    10,877,953 
           
HONG KONG — 5.8%          
Communication Services — 1.0%          
PCCW   16,619,100    12,406,283 
           
Information Technology — 0.9%          
VTech Holdings   1,353,100    10,560,130 
           
Real Estate — 3.9%          
Hang Lung Group   6,956,044    14,990,361 
Hysan Development   6,226,000    17,092,262 
 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X SuperDividend® ETF  

 

   Shares   Value 
COMMON STOCK — continued          
Real Estate — continued          
Kerry Properties   4,855,600   $14,747,664 
         46,830,287 
TOTAL HONG KONG        69,796,700 
INDONESIA — 2.1%          
Energy — 2.1%          
Alamtri Resources   68,830,600    9,062,593 
Bukit Asam   56,893,700    8,406,099 
Indo Tambangraya Megah    6,019,000    7,871,138 
           
TOTAL INDONESIA        25,339,830 
IRELAND — 1.0%          
Utilities — 1.0%          
Greencoat Renewables PLC (A)   15,317,066    12,208,754 
           
ISRAEL — 2.6%          
Consumer Discretionary — 1.9%          
Delta Israel Brands (A)   464,817    22,109,792 
           
Energy — 0.7%          
Energean PLC (A)   759,677    8,834,908 
           
TOTAL ISRAEL        30,944,700 
LUXEMBOURG — 1.6%          
Communication Services — 1.6%          
SES, Cl A (A)   2,304,061    18,967,977 
           
MEXICO — 1.2%          
Financials — 1.2%          
Banco del Bajio    4,885,500    14,459,075 
           
NEW ZEALAND — 0.8%          
Communication Services — 0.8%          
Spark New Zealand (A)   7,036,826    9,619,081 
 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X SuperDividend® ETF  

 

   Shares   Value 
COMMON STOCK — continued          
NORWAY — 6.4%          
Energy — 5.4%          
Aker BP   622,098   $18,237,052 
DNO   9,309,141    15,691,334 
FLEX LNG (A)   383,372    10,236,033 
SFL, Cl B (A)   1,008,844    8,938,358 
Var Energi   3,056,865    11,104,524 
         64,207,301 
Industrials — 1.0%          
Wallenius Wilhelmsen, Cl B   1,078,149    12,545,954 
           
TOTAL NORWAY        76,753,255 
RUSSIA — 0.0%          
Materials — 0.0%          
Magnitogorsk Iron & Steel Works PJSC *(B)   6,332,020     
PhosAgro PJSC GDR *(B)   119     
Severstal PAO *(B)   312,897     
          
Utilities — 0.0%          
Unipro PJSC *(B)   209,143,887     
           
TOTAL RUSSIA         
SINGAPORE — 2.7%          
Real Estate — 0.9%          
ESR-REIT    5,283,500    11,366,395 
           
Utilities — 1.8%          
Kenon Holdings   295,744    21,187,458 
           
TOTAL SINGAPORE        32,553,853 
SOUTH AFRICA — 5.6%          
Energy — 2.0%          
Exxaro Resources   1,074,517    12,354,182 
Thungela Resources (A)   1,909,224    11,905,939 
         24,260,121 
 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X SuperDividend® ETF  

 

   Shares   Value 
COMMON STOCK — continued          
Materials — 1.0%          
Kumba Iron Ore (A)   521,012   $11,695,359 
           
Real Estate — 2.6%          
Growthpoint Properties    14,155,320    15,622,707 
Redefine Properties    39,157,924    15,235,881 
         30,858,588 
TOTAL SOUTH AFRICA        66,814,068 
SPAIN — 0.7%          
Communication Services — 0.7%          
Atresmedia de Medios de Comunicacion   1,352,055    8,444,513 
           
THAILAND — 1.1%          
Real Estate — 1.1%          
Sansiri NVDR   296,402,700    12,905,505 
           
TURKEY — 0.6%          
Industrials — 0.6%          
Turk Traktor ve Ziraat Makineleri (A)   520,154    7,086,094 
           
UNITED KINGDOM — 9.7%          
Consumer Discretionary — 1.3%          
Taylor Wimpey PLC   10,847,609    15,890,416 
           
Energy — 2.2%          
Harbour Energy PLC   3,819,324    12,190,726 
Ithaca Energy PLC   5,744,516    14,473,030 
         26,663,756 
Financials — 6.2%          
Aberdeen Group PLC   4,870,781    14,530,866 
Ashmore Group PLC   4,544,239    14,753,982 
Legal & General Group PLC    3,919,347    14,257,940 
M&G PLC   3,560,767    15,118,100 
Phoenix Group Holdings PLC   1,468,202    14,899,008 
         73,559,896 
TOTAL UNITED KINGDOM        116,114,068 
 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X SuperDividend® ETF  

 

   Shares   Value 
COMMON STOCK — continued          
UNITED STATES — 32.6%          
Consumer Discretionary — 0.9%          
Bloomin’ Brands   1,811,985   $10,871,910 
           
Consumer Staples — 1.4%          
JBS NV *   1,033,830    16,257,170 
           
Energy — 1.3%          
Nordic American Tankers (A)   3,635,373    15,123,152 
           
Financials — 20.2%          
Adamas Trust    1,560,574    12,484,592 
AGNC Investment    920,177    10,490,018 
Annaly Capital Management    452,051    10,401,693 
Apollo Commercial Real Estate Finance    950,209    10,271,759 
Arbor Realty Trust    697,486    5,370,642 
ARMOUR Residential REIT    500,411    8,707,151 
Blackstone Mortgage Trust, Cl A    467,667    9,002,590 
BrightSpire Capital    1,607,615    9,613,538 
Chimera Investment    688,805    8,506,742 
Dynex Capital    690,617    9,585,764 
Ellington Financial    738,833    9,494,004 
Franklin BSP Realty Trust    719,328    7,380,305 
Invesco Mortgage Capital    1,079,719    9,274,786 
KKR Real Estate Finance Trust    855,516    7,083,672 
Ladder Capital, Cl A    1,155,342    12,674,102 
MFA Financial    892,979    8,608,318 
Orchid Island Capital, Cl A    1,084,296    8,457,509 
PennyMac Mortgage Investment Trust    690,643    8,170,307 
Ready Capital    1,470,116    3,131,347 
Redwood Trust    1,490,469    8,167,770 
Rithm Capital    791,661    8,660,771 
Starwood Property Trust    480,483    8,615,060 
TFS Financial (A)   897,301    12,629,512 
TPG RE Finance Trust    1,105,702    9,984,489 
Two Harbors Investment    716,332    8,216,328 
Western Union (A)   1,777,948    16,659,373 
         241,642,142 
 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X SuperDividend® ETF  

 

   Shares   Value 
COMMON STOCK — continued          
Materials — 1.3%          
Ardagh Metal Packaging    3,649,196   $16,019,970 
           
Real Estate — 7.5%          
Alexander’s    57,079    13,978,647 
Armada Hoffler Properties REIT    1,977,976    13,786,492 
Brandywine Realty Trust    1,966,670    5,565,676 
Easterly Government Properties    568,162    13,289,309 
Global Medical REIT    234,507    8,099,872 
Global Net Lease    1,349,819    12,769,288 
Innovative Industrial Properties    157,540    7,612,333 
Park Hotels & Resorts    1,362,403    14,891,065 
         89,992,682 
TOTAL UNITED STATES        389,907,026 
TOTAL COMMON STOCK
(Cost $1,040,732,572)
        1,135,077,158 
           
PREFERRED STOCK — 4.6%          
BRAZIL—4.6%          
Energy — 0.9%          
Petroleo Brasileiro (C)   1,474,200    10,632,272 
Financials — 1.7%          
Banco Bradesco (C)   4,956,700    20,175,011 
Materials — 1.1%          
Bradespar (C)   3,002,700    13,655,545 
Utilities — 0.9%          
Cia Energetica de Minas Gerais (C)   4,740,000    10,393,406 
TOTAL BRAZIL        54,856,234 
TOTAL PREFERRED STOCK
(Cost $44,235,048)
        54,856,234 
 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X SuperDividend® ETF  

 

   Face Amount   Value 
REPURCHASE AGREEMENTS(D) — 3.5%          
Bank of America Securities, Inc.
3.670%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $9,228,077 (collateralized by various U.S. Government Obligations, ranging in par value $19,316 - $5,029,517, 1.500% - 6.500%, 08/01/2033 - 02/01/2056, with a total market value of $9,380,790)
  $9,225,256   $9,225,256 
Citadel Securities LLC
3.710%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $9,817,136 (collateralized by various U.S. Treasury Obligations, ranging in par value $617 - $943,174, 0.000% - 4.500%, 02/15/2026 - 11/15/2055, with a total market value of $9,964,166)
   9,814,102    9,814,102 
Citigroup Global Markets, Inc.
3.660%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $2,507,109 (collateralized by various U.S. Treasury Obligations, ranging in par value $2,475,470 - $2,475,470, 4.250% - 4.250%, 02/15/2028 - 02/15/2028, with a total market value of $2,508,443)
   2,506,345    2,506,345 
Clear Street LLC
3.720%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $9,228,116 (collateralized by various U.S. Government Obligations, ranging in par value $13,744 - $2,688,133, 2.500% - 7.000%, 11/01/2030 - 02/01/2056, with a total market value of $9,368,421)
   9,225,256    9,225,256 
JP Morgan Securities LLC
3.670%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $2,630,597 (collateralized by various U.S. Government Obligations, ranging in par value $2,450 - $421,494, 1.500% - 7.000%, 04/01/2035 - 02/01/2056, with a total market value of $2,671,368)
   2,629,793    2,629,793 
 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X SuperDividend® ETF  

 

   Face Amount   Value 
REPURCHASE AGREEMENTS(D) — continued          
Nomura Securities International, Inc.
3.670%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $8,363,943 (collateralized by various U.S. Government Obligations, ranging in par value $7,682 - $1,657,039, 2.500% - 6.500%, 08/01/2035 - 01/01/2056, with a total market value of $8,493,367)
  $8,361,386   $8,361,386 
TOTAL REPURCHASE AGREEMENTS
(Cost $41,762,138)
        41,762,138 
TOTAL INVESTMENTS — 102.9%
(Cost $1,126,729,758)
       $1,231,695,530 

 

Percentages are based on Net Assets of $1,196,464,954.

 

A list of the open futures contracts held by the Fund at January 31, 2026, is as follows:

 

Type of Contract  Number of
Contracts
  Expiration
Date
  Notional Amount   Value   Unrealized
Appreciation
 
Long Contracts                     
MSCI EAFE Index  28  Mar-2026  $4,010,089   $4,251,520   $241,431 
S&P Mid Cap 400 Index E-Mini   6  Mar-2026   2,004,383    2,068,500    64,117 
         $6,014,472   $6,320,020   $305,548 

 

* Non-income producing security.
Real Estate Investment Trust
(A) This security or a partial position of this security is on loan at January 31, 2026. The total market value of securities on loan at January 31, 2026 was $56,852,110.
(B) Level 3 security in accordance with fair value hierarchy.
(C) There is currently no stated interest rate.
(D) These securities were purchased with cash collateral held from securities on loan. The total value of such securities as of January 31, 2026 was $41,762,138. The total value of non-cash collateral held from securities on loan as of January 31, 2026 was $17,927,114.
 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X SuperDividend® ETF  

 

The following is a summary of the level of inputs used as of January 31, 2026, in valuing the Fund’s investments and other financial instruments carried at value:

 

Investments in Securities  Level 1    Level 2    Level 3(1)  Total  
Common Stock  $1,135,077,158   $   $^  $1,135,077,158 
Preferred Stock   54,856,234            54,856,234 
Repurchase Agreements       41,762,138        41,762,138 
Total Investments in Securities  $1,189,933,392   $41,762,138   $   $1,231,695,530 
                     
Other Financial Instruments  Level 1    Level 2    Level 3  Total  
Futures Contracts*                    
Unrealized Appreciation   $305,548   $   $   $305,548 
Total Other Financial Instruments  $305,548   $   $   $305,548 

 

* Futures contracts are valued at the unrealized appreciation (depreciation) on the instrument.
(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 end of the period in relation to Net Assets. Management has concluded that Level 3 investments are not material in relation to Net Assets.
^ Includes Securities in which the fair value is $0 or has been rounded to $0.

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

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.

 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Social Media ETF

 

   Shares   Value 
COMMON STOCK — 100.0%          
CHINA — 39.7%          
Communication Services — 39.2%          
Baidu ADR *(A)   52,280   $8,008,250 
Bilibili ADR *(A)   129,778    4,417,643 
DouYu International Holdings ADR   5,863    37,347 
Hello Group ADR   53,603    365,573 
HUYA ADR (A)   33,378    141,523 
Inkeverse Group *   398,600    44,915 
JOYY ADR   11,735    755,147 
Kuaishou Technology, Cl B   1,177,888    12,088,521 
Meitu   1,584,200    1,566,004 
NetEase ADR   42,333    5,453,760 
Newborn Town *   254,600    374,906 
Tencent Holdings   169,027    13,115,787 
Tencent Music Entertainment Group ADR   254,287    4,266,936 
Weibo ADR (A)   38,005    402,093 
         51,038,405 
Consumer Staples — 0.5%          
East Buy Holding *(A)   185,700    634,400 
           
TOTAL CHINA        51,672,805 
GERMANY — 0.9%          
Communication Services — 0.9%          
United Internet   35,548    1,162,971 
           
JAPAN — 5.1%          
Communication Services — 5.1%          
Anycolor   12,788    365,170 
DeNA (A)   32,666    535,963 
giftee   8,256    67,970 
Gree   25,207    66,179 
Kakaku.com   54,615    747,035 
MIXI   15,440    271,947 
Nexon   190,969    4,559,438 
           
TOTAL JAPAN        6,613,702 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Social Media ETF

 

   Shares   Value 
COMMON STOCK — continued          
SINGAPORE — 0.2%          
Communication Services — 0.2%          
Grindr *(A)   16,959   $191,976 
           
SOUTH KOREA — 13.6%          
Communication Services — 13.6%          
Com2uSCorp   4,002    102,594 
Kakao   137,460    5,863,585 
NAVER   60,498    11,558,253 
SOOP *   3,353    172,146 
           
TOTAL SOUTH KOREA        17,696,578 
UNITED ARAB EMIRATES — 0.2%          
Communication Services — 0.2%          
Yalla Group ADR *   39,661    279,610 
           
UNITED KINGDOM — 0.3%          
Communication Services — 0.3%          
Trustpilot Group PLC *   164,253    415,180 
           
UNITED STATES — 40.0%          
Communication Services — 37.9%          
Alphabet, Cl A   24,770    8,372,260 
Angi, Cl A *(A)   15,714    203,968 
Bumble, Cl A *(A)   24,212    81,110 
IAC *(A)   33,066    1,221,789 
Match Group   111,886    3,485,249 
Meta Platforms, Cl A   18,421    13,198,647 
Nextdoor Holdings *   83,427    163,517 
Pinterest, Cl A *   171,211    3,788,899 
Reddit, Cl A *   48,704    8,779,870 
Rumble *(A)   104,201    592,904 
Snap, Cl A *   492,533    3,413,254 
Spotify Technology *   9,347    4,676,771 
Trump Media & Technology Group *   45,663    583,573 
Yelp, Cl A *   28,546    781,589 
         49,343,400 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Social Media ETF

 

   Shares   Value 
COMMON STOCK — continued          
Consumer Discretionary — 0.1%          
Groupon, Cl A *(A)   9,672   $136,859 
           
Industrials — 0.2%          
Fiverr International *   13,799    231,133 
           
Information Technology — 1.8%          
Life360, CDI *   98,229    1,886,889 
Sprinklr, Cl A *   47,577    303,541 
Sprout Social, Cl A *   21,994    199,046 
         2,389,476 
TOTAL UNITED STATES        52,100,868 
TOTAL COMMON STOCK
(Cost $144,754,988)
        130,133,690 
           
   Face Amount      
U.S. TREASURY OBLIGATION — 15.3%          
U.S. Treasury Bills
3.640%, 03/03/2026(B)
  $20,000,000    19,941,597 
TOTAL U.S. TREASURY OBLIGATION
(Cost $19,943,533)
        19,941,597 
           
REPURCHASE AGREEMENTS(C) — 7.6%          
CF Secured LLC
3.680%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $2,187,407 (collateralized by various U.S. Government Obligations and U.S. Treasury Obligations, ranging in par value $2,342 - $453,076, 0.000% - 7.000%, 02/28/2027 - 09/20/2065, with a total market value of $2,221,259)
   2,186,736    2,186,736 
Citadel Securities LLC
3.710%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $2,327,034 (collateralized by various U.S. Treasury Obligations, ranging in par value $146 - $223,568, 0.000% - 4.500%, 02/15/2026 - 11/15/2055, with a total market value of $2,361,886)
   2,326,315    2,326,315 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Social Media ETF

 

   Face Amount   Value 
REPURCHASE AGREEMENTS(C) — continued          
Citigroup Global Markets, Inc.
3.660%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $139,622 (collateralized by various U.S. Treasury Obligations, ranging in par value $137,860 - $137,860, 4.250% - 4.250%, 02/15/2028 - 02/15/2028, with a total market value of $139,696)
  $139,579   $139,579 
Citigroup Global Markets, Inc.
3.670%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $2,187,405 (collateralized by various U.S. Government Obligations, ranging in par value $13,063 - $77,591, 3.500% - 7.500%, 11/01/2049 - 01/20/2056, with a total market value of $2,219,797)
   2,186,736    2,186,736 
Clear Street LLC
3.720%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $417,606 (collateralized by various U.S. Government Obligations, ranging in par value $622 - $121,648, 2.500% - 7.000%, 11/01/2030 - 02/01/2056, with a total market value of $423,956)
   417,477    417,477 
Daiwa Capital Markets America, Inc.
3.670%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $455,774 (collateralized by various U.S. Treasury Obligations, ranging in par value $911 - $184,707, 1.125% - 4.375%, 02/28/2027 - 06/30/2031, with a total market value of $461,540)
   455,635    455,635 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Social Media ETF

 

   Face Amount   Value 
REPURCHASE AGREEMENTS(C) — continued          
RBC Dominion Securities, Inc.
3.670%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $2,187,405 (collateralized by various U.S. Government Obligations and U.S. Treasury Obligations, ranging in par value $4,142 - $6,986,928, 0.000% - 7.000%, 07/31/2030 - 05/01/2054, with a total market value of $2,219,184)
  $2,186,736   $2,186,736 
TOTAL REPURCHASE AGREEMENTS
(Cost $9,899,214)
        9,899,214 
TOTAL INVESTMENTS — 122.9%
(Cost $174,597,735)
       $159,974,501 

 

Percentages are based on Net Assets of $130,127,032.

 

* Non-income producing security.
(A) This security or a partial position of this security is on loan at January 31, 2026. The total market value of securities on loan at January 31, 2026 was $12,027,151.
(B) Interest rate represents the security’s effective yield at the time of purchase.
(C) These securities were purchased with cash collateral held from securities on loan. The total value of such securities as of January 31, 2026 was $9,899,214. The total value of non-cash collateral held from securities on loan as of January 31, 2026 was $2,666,574.

 

The following is a summary of the level of inputs used as of January 31, 2026, in valuing the Fund’s investments carried at value:

 

Investments in Securities  Level 1   Level 2   Level 3   Total 
Common Stock  $130,133,690   $   $   $130,133,690 
U.S. Treasury Obligation       19,941,597        19,941,597 
Repurchase Agreements       9,899,214        9,899,214 
Total Investments in Securities  $130,133,690   $29,840,811   $   $159,974,501 

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

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.

 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Guru® Index ETF

 

   Shares   Value 
COMMON STOCK — 100.0%          
CANADA — 3.9%          
Consumer Discretionary — 1.3%          
Restaurant Brands International   10,666   $714,515 
           
Information Technology — 1.2%          
Celestica *   2,346    659,203 
           
Materials — 1.4%          
Triple Flag Precious Metals   23,990    808,943 
           
TOTAL CANADA        2,182,661 
CHINA — 1.4%          
Consumer Discretionary — 1.4%          
Alibaba Group Holding ADR   4,603    780,485 
           
IRELAND — 1.4%          
Industrials — 1.4%          
AerCap Holdings   5,460    784,383 
           
NETHERLANDS — 1.0%          
Health Care — 1.0%          
Newamsterdam Pharma *   18,826    585,865 
           
SINGAPORE — 1.0%          
Consumer Discretionary — 1.0%          
Sea ADR *   4,981    580,237 
           
SWITZERLAND — 1.1%          
Consumer Discretionary — 1.1%          
Sportradar Group, Cl A *   33,285    602,791 
           
UNITED STATES — 90.2%          
Communication Services — 7.3%          
Alphabet, Cl A   2,547    860,886 
Meta Platforms, Cl A   1,206    864,099 
TKO Group Holdings, Cl A   3,929    795,937 
Warner Bros Discovery *   31,924    879,187 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Guru® Index ETF

 

   Shares   Value 
COMMON STOCK — continued          
Communication Services — continued          
Warner Music Group, Cl A   23,849   $714,993 
         4,115,102 
Consumer Discretionary — 9.8%          
Amazon.com *   3,117    745,898 
Asbury Automotive Group *   3,349    785,374 
Expedia Group   2,974    787,634 
Home Depot   2,028    759,668 
Lithia Motors, Cl A   2,545    823,155 
Tesla *   1,776    764,408 
United Parks & Resorts *   23,207    873,744 
         5,539,881 
Consumer Staples — 3.6%          
Albertsons, Cl A   40,063    667,049 
Maplebear *   17,920    665,907 
Post Holdings *   6,857    701,540 
         2,034,496 
Energy — 2.8%          
Expand Energy   6,205    697,504 
Targa Resources   4,313    866,827 
         1,564,331 
Financials — 6.6%          
Blackrock   709    793,328 
Fidelity National Information Services   11,355    627,364 
Janus Henderson Group PLC   17,350    835,055 
LPL Financial Holdings   2,009    732,281 
Mastercard, Cl A   1,352    728,444 
         3,716,472 
Health Care — 22.1%          
Arcutis Biotherapeutics *   27,739    703,738 
Boston Scientific *   7,133    667,149 
Caris Life Sciences *   30,618    709,113 
Corcept Therapeutics *   9,664    385,304 
Denali Therapeutics *   41,793    908,580 
Dianthus Therapeutics *   17,556    937,315 
Eli Lilly   710    736,376 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Guru® Index ETF

 

   Shares   Value 
COMMON STOCK — continued          
Health Care — continued          
Henry Schein *   10,188   $768,990 
Incyte *   6,969    697,388 
Kymera Therapeutics *   11,325    823,214 
Madrigal Pharmaceuticals *   1,312    641,975 
Maze Therapeutics *   21,650    943,507 
Nuvalent, Cl A *   6,722    691,627 
PTC Therapeutics *   9,603    725,315 
Rhythm Pharmaceuticals *   7,210    739,169 
Tenet Healthcare *   3,773    714,153 
United Therapeutics *   1,538    722,076 
         12,514,989 
Industrials — 13.6%          
Avis Budget Group *   5,608    644,864 
Delta Air Lines   13,019    857,822 
Fortive   14,370    758,880 
HEICO, Cl A   2,995    762,497 
Howmet Aerospace   3,625    754,290 
Modine Manufacturing *   5,650    1,043,329 
Paycom Software   4,424    596,134 
Quanta Services   1,700    806,871 
Uber Technologies *   7,881    630,874 
United Airlines Holdings *   8,070    825,722 
         7,681,283 
Information Technology — 12.9%          
Apple   2,714    704,229 
AppLovin, Cl A *   1,346    636,806 
Arista Networks *   5,705    808,626 
Broadcom   2,119    702,025 
CyberArk Software *   1,505    648,399 
Dynatrace *   16,078    612,411 
Guidewire Software *   3,350    471,546 
Microsoft   1,430    615,315 
NVIDIA   3,891    743,687 
Qorvo *   8,893    694,632 
Salesforce   3,063    650,244 
         7,287,920 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Guru® Index ETF

 

   Shares   Value 
COMMON STOCK — continued          
Materials — 2.8%          
Linde PLC   1,737   $793,757 
Sherwin-Williams   2,222    788,010 
         1,581,767 
Real Estate — 2.6%          
Iron Mountain    8,186    754,176 
Welltower    3,680    693,165 
         1,447,341 
Utilities — 6.1%          
Eversource Energy   9,806    677,889 
PG&E   44,454    685,481 
Southwest Gas Holdings   9,117    755,070 
Talen Energy *   1,970    686,269 
Vistra   4,148    656,836 
         3,461,545 
TOTAL UNITED STATES        50,945,127 
TOTAL COMMON STOCK
(Cost $51,240,936)
        56,461,549 
TOTAL INVESTMENTS — 100.0%
(Cost $51,240,936)
       $56,461,549 

 

Percentages are based on Net Assets of $56,484,783.

 

* Non-income producing security.
Real Estate Investment Trust

 

As of January 31, 2026, 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.

 

See “Glossary” for abbreviations.

 

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.

 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X SuperIncome™ Preferred ETF

 

   Shares   Value 
PREFERRED STOCK — 99.6%          
UNITED STATES — 99.6%          
Communication Services — 1.9%          
Telephone and Data Systems, 6.000%   126,530   $2,566,028 
Consumer Discretionary — 1.9%          
Ford Motor, 6.500%   109,855    2,504,694 
Financials — 67.5%          
AGNC Investment, 8.750%    55,010    1,427,509 
Allstate, 7.375%   110,040    2,940,269 
Annaly Capital Management, 8.875%    50,380    1,327,513 
Apollo Global Management, 7.625%, H15T5Y + 3.226% (A)   42,523    1,120,906 
Apollo Global Management, 6.750%   51,033    3,540,159 
Ares Management, 6.750%   121,266    5,800,153 
Athene Holding, 7.750%, H15T5Y + 3.962% (A)   91,233    2,359,285 
Athene Holding, 6.350%, US0003M + 4.253% (A)   157,449    3,901,586 
Banc of California, 7.750%, H15T5Y + 4.820% (A)   94,111    2,371,597 
Bank of America, 7.250%   2,817    3,509,982 
Bank of America, 4.750%   24,999    496,230 
Bank of America, 4.250%   47,327    836,268 
Bank of New York Mellon, 6.150%, H15T5Y + 2.161% (A)   91,681    2,361,703 
Citizens Financial Group, 6.500%, H15T5Y + 2.629% (A)   73,322    1,873,377 
Comerica, 6.875%, H15T5Y + 3.125%   73,325    1,888,119 
Corebridge Financial, 6.375%   109,859    2,626,729 
F&G Annuities & Life, 7.300%   68,719    1,554,424 
Flagstar Bank, 6.375%, US0003M + 3.821% (A)    94,420    2,145,222 
Jackson Financial, 8.000%, H15T5Y + 3.728% (A)   100,861    2,633,481 
KeyCorp, 6.200%, H15T5Y + 3.132% (A)   110,035    2,786,086 
KeyCorp, 6.125%, TSFR3M + 4.154% (A)   91,677    2,307,510 
KKR, 6.250%   118,144    5,781,967 
Lincoln National, 9.000%   91,685    2,458,075 
M&T Bank, 7.500%   137,577    3,696,694 
Morgan Stanley, 6.500%   63,500    1,616,710 
Morgan Stanley, 5.850%   63,498    1,563,321 
Morgan Stanley, 4.250%   82,704    1,476,266 
Pinnacle Financial Partners, 8.397%, H15T5Y + 4.127% (A)   64,149    1,667,233 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X SuperIncome™ Preferred ETF

 

   Shares   Value 
PREFERRED STOCK — continued          
Financials — continued          
Regions Financial, 6.950%, H15T5Y + 2.771% (A)   91,553   $2,330,024 
Regions Financial, 5.700%, TSFR3M + 3.410% (A)   91,677    2,265,339 
Rithm Capital, 7.000%, H15T5Y + 6.223% ‡ (A)   85,252    2,103,167 
Shift4 Payments, 6.000%   45,856    3,445,620 
Synchrony Financial, 8.250%, H15T5Y + 4.044% (A)   91,681    2,381,872 
UMB Financial, 7.750%, H15T5Y + 3.743% (A)    55,013    1,490,302 
Wells Fargo, 7.500%   4,011    4,949,414 
Wintrust Financial, 7.875%, H15T5Y + 3.878% (A)   77,916    2,070,228 
         89,104,340 
Health Care — 2.9%          
Bruker, 6.375%   10,833    3,757,426 
Information Technology — 11.9%          
Hewlett Packard Enterprise, 7.625%   102,334    6,198,371 
Microchip Technology, 7.500%   73,705    4,926,442 
Strategy, 10.000%   16,191    1,619,100 
Strategy, 10.000%   18,405    1,340,620 
Strategy, 8.000%   19,684    1,672,943 
         15,757,476 
Materials — 3.9%          
Albemarle, 7.250%   74,032    5,133,379 
Utilities — 9.6%          
PG&E, 6.000%   147,705    5,902,292 
SCE Trust VII, 7.500%   100,691    2,537,413 
SCE Trust VIII, 6.950%   64,139    1,566,274 
Southern, 6.500%   103,612    2,672,154 
         12,678,133 
TOTAL UNITED STATES        131,501,476 
TOTAL PREFERRED STOCK
(Cost $128,449,857)
        131,501,476 
TOTAL INVESTMENTS — 99.6%
(Cost $128,449,857)
       $131,501,476 

 

Percentages are based on Net Assets of $132,020,747.

 

Real Estate Investment Trust
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X SuperIncome™ Preferred ETF

 

(A) Variable or floating rate security. The rate shown is the effective interest rate as of period end. The rates on certain securities are not based on published reference rates and spreads and are either determined by the issuer or agent based on current market conditions; or by adjusting periodically based on prevailing interest rates.

 

As of January 31, 2026, 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.

 

See “Glossary” for abbreviations.

 

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.

 
Schedules of Investments January 31, 2026 (Unaudited)
Global X SuperDividend® U.S. ETF

 

   Shares   Value 
COMMON STOCK — 84.9%          
GREECE — 1.9%          
Energy — 1.9%          
Tsakos Energy Navigation    492,005   $13,367,776 
           
NORWAY — 4.1%          
Energy — 4.1%          
FLEX LNG (A)   598,263    15,973,622 
SFL, Cl B (A)   1,453,409    12,877,204 
           
TOTAL NORWAY        28,850,826 
PANAMA — 2.4%          
Industrials — 2.4%          
Copa Holdings, Cl A    120,025    16,371,410 
           
UNITED KINGDOM — 3.4%          
Industrials — 3.4%          
Global Ship Lease, Cl A    625,852    23,494,484 
           
UNITED STATES — 73.1%          
Communication Services — 4.3%          
AT&T    545,862    14,307,043 
Verizon Communications    345,451    15,379,478 
         29,686,521 
Consumer Discretionary — 1.3%          
Carter’s   250,798    8,680,119 
           
Consumer Staples — 11.3%          
Altria Group    269,985    16,736,370 
B&G Foods (A)   2,355,626    10,294,086 
Conagra Brands    411,741    7,621,326 
Kraft Heinz   481,357    11,427,415 
Philip Morris International   95,715    17,175,100 
Universal   269,989    15,278,677 
         78,532,974 
Energy — 3.1%          
Chord Energy    126,950    12,725,468 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X SuperDividend® U.S. ETF

 

   Shares   Value 
COMMON STOCK — continued          
Energy — continued          
Vitesse Energy (A)   413,299   $8,662,747 
         21,388,215 
Financials — 5.7%          
Orchid Island Capital, Cl A    1,612,910    12,580,698 
TFS Financial    1,039,122    14,625,642 
Western Union   1,310,114    12,275,768 
         39,482,108 
Health Care — 2.1%          
Pfizer    556,933    14,725,308 
           
Industrials — 1.9%          
Ennis   688,145    13,411,946 
           
Materials — 6.1%          
Ardagh Metal Packaging    5,418,813    23,788,589 
Dow   354,054    9,754,188 
LyondellBasell Industries, Cl A   179,793    8,809,857 
         42,352,634 
Real Estate — 19.4%          
Alexander’s    70,495    17,264,225 
CBL & Associates Properties    445,063    15,933,255 
Community Healthcare Trust    712,714    12,315,698 
Easterly Government Properties    529,584    12,386,970 
Gaming and Leisure Properties    290,201    12,986,495 
LTC Properties    409,429    14,931,876 
National Health Investors    208,220    17,099,026 
Omega Healthcare Investors    394,945    17,330,187 
Universal Health Realty Income Trust    365,078    14,504,549 
         134,752,281 
Utilities — 17.9%          
AES    806,439    11,814,331 
Avista   383,679    15,842,106 
Clearway Energy, Cl C   408,030    14,750,285 
Dominion Energy   256,045    15,406,228 
Evergy    212,317    16,291,083 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X SuperDividend® U.S. ETF

 

   Shares   Value 
COMMON STOCK — continued          
Utilities — continued          
Northwest Natural Holding   345,356   $16,079,775 
Northwestern Energy Group   268,187    18,199,170 
Spire   190,591    16,103,034 
         124,486,012 
TOTAL UNITED STATES        507,498,118 
TOTAL COMMON STOCK
(Cost $571,918,555)
        589,582,614 
           
MASTER LIMITED PARTNERSHIPS — 14.5%          
UNITED STATES — 14.5%          
Energy — 10.8%          
CrossAmerica Partners   621,541    14,015,750 
Delek Logistics Partners   301,430    14,978,057 
Global Partners   236,791    11,181,271 
MPLX   260,582    14,566,534 
USA Compression Partners   495,216    12,806,286 
Western Midstream Partners   183,349    7,601,649 
         75,149,547 
Materials — 1.8%          
Westlake Chemical Partners   595,118    12,771,232 
Utilities — 1.9%          
Suburban Propane Partners   641,024    12,929,454 
TOTAL UNITED STATES        100,850,233 
TOTAL MASTER LIMITED PARTNERSHIPS
(Cost $51,448,528)
        100,850,233 
           
   Face Amount      
REPURCHASE AGREEMENTS(B) — 1.0%          
CF Secured LLC
3.680%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $1,497,015 (collateralized by various U.S. Government Obligations and U.S. Treasury Obligations, ranging in par value $1,603 - $310,076, 0.000% - 7.000%, 02/28/2027 - 09/20/2065, with a total market value of $1,520,183)
  $1,496,556    1,496,556 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X SuperDividend® U.S. ETF

 

   Face Amount   Value 
REPURCHASE AGREEMENTS(B) — continued          
Citadel Securities LLC
3.710%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $1,592,573 (collateralized by various U.S. Treasury Obligations, ranging in par value $100 - $153,005, 0.000% - 4.500%, 02/15/2026 - 11/15/2055, with a total market value of $1,616,425)
  $1,592,081   $1,592,081 
Citigroup Global Markets, Inc.
3.660%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $95,554 (collateralized by various U.S. Treasury Obligations, ranging in par value $94,348 - $94,348, 4.250% - 4.250%, 02/15/2028 - 02/15/2028, with a total market value of $95,605)
   95,525    95,525 
Citigroup Global Markets, Inc.
3.670%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $1,497,014 (collateralized by various U.S. Government Obligations, ranging in par value $8,940 - $53,102, 3.500% - 7.500%, 11/01/2049 - 01/20/2056, with a total market value of $1,519,182)
   1,496,556    1,496,556 
Clear Street LLC
3.720%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $285,339 (collateralized by various U.S. Government Obligations, ranging in par value $425 - $83,119, 2.500% - 7.000%, 11/01/2030 - 02/01/2056, with a total market value of $289,678)
   285,251    285,251 
Daiwa Capital Markets America, Inc.
3.660%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $312,385 (collateralized by various U.S. Treasury Obligations, ranging in par value $625 - $126,597, 1.125% - 4.375%, 02/28/2027 - 06/30/2031, with a total market value of $316,337)
   312,290    312,290 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X SuperDividend® U.S. ETF

 

   Face Amount   Value 
REPURCHASE AGREEMENTS(B) — continued          
RBC Dominion Securities, Inc.
3.670%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $1,497,014 (collateralized by various U.S. Government Obligations and U.S. Treasury Obligations, ranging in par value $2,834 - $4,781,706, 0.000% - 7.000%, 07/31/2030 - 05/01/2054, with a total market value of $1,518,763)
  $1,496,556   $1,496,556 
TOTAL REPURCHASE AGREEMENTS
(Cost $6,774,815)
        6,774,815 
TOTAL INVESTMENTS — 100.4%
(Cost $630,141,898)
       $697,207,662 

 

Percentages are based on Net Assets of $694,397,791.

 

Real Estate Investment Trust
(A) This security or a partial position of this security is on loan at January 31, 2026. The total market value of securities on loan at January 31, 2026 was $11,079,087.
(B) These securities were purchased with cash collateral held from securities on loan. The total value of such securities as of January 31, 2026 was $6,774,815. The total value of non-cash collateral held from securities on loan as of January 31, 2026 was $4,379,412.
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X SuperDividend® U.S. ETF

 

The following is a summary of the level of inputs used as of January 31, 2026, in valuing the Fund’s investments carried at value:

 

Investments in Securities  Level 1   Level 2   Level 3   Total 
Common Stock  $589,582,614   $   $   $589,582,614 
Master Limited Partnerships   100,850,233            100,850,233 
Repurchase Agreements       6,774,815        6,774,815 
Total Investments in Securities  $690,432,847   $6,774,815   $   $697,207,662 

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

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.

 
Schedules of Investments January 31, 2026 (Unaudited)
Global X MSCI SuperDividend® Emerging Markets ETF

 

   Shares   Value 
COMMON STOCK — 91.9%          
BRAZIL — 15.2%          
Communication Services — 2.2%          
TIM    219,200   $1,026,594 
           
Consumer Discretionary — 2.8%          
Vibra Energia   238,117    1,308,027 
           
Consumer Staples — 2.0%          
MBRF Global Foods   269,200    959,968 
           
Financials — 6.0%          
Banco Bradesco   317,300    1,110,282 
Banco do Brasil    171,600    826,609 
Caixa Seguridade Participacoes    282,100    932,691 
         2,869,582 
Utilities — 2.2%          
CPFL Energia    106,600    1,047,767 
           
TOTAL BRAZIL        7,211,938 
CHILE — 1.5%          
Utilities — 1.5%          
Enel Americas    7,474,473    714,427 
           
CHINA — 23.9%          
Consumer Discretionary — 2.2%          
Chow Tai Fook Jewellery Group (A)   565,700    1,043,072 
           
Energy — 2.4%          
PetroChina, Cl H   947,400    1,125,763 
           
Financials — 6.8%          
Bank of China, Cl H   1,283,400    767,440 
Bank of Communications, Cl H    847,380    729,144 
China CITIC Bank, Cl H    924,700    861,981 
China Construction Bank, Cl H   871,800    882,997 
         3,241,562 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X MSCI SuperDividend® Emerging Markets ETF

 

   Shares   Value 
COMMON STOCK — continued          
Industrials — 5.3%          
COSCO SHIPPING Holdings, Cl H (A)   411,500   $721,865 
Jiangsu Expressway, Cl H (A)   613,000    808,469 
Yutong Bus, Cl A    227,900    1,013,064 
         2,543,398 
Materials — 3.8%          
China Hongqiao Group    394,500    1,824,569 
           
Real Estate — 1.7%          
Youngor Fashion, Cl A    743,600    786,250 
           
Utilities — 1.7%          
China Gas Holdings    829,500    822,097 
           
TOTAL CHINA        11,386,711 
COLOMBIA — 2.6%          
Utilities — 2.6%          
Interconexion Electrica ESP    151,107    1,247,716 
           
CZECH REPUBLIC — 4.5%          
Financials — 4.5%          
Komercni Banka   16,191    985,441 
Moneta Money Bank   113,810    1,146,134 
           
TOTAL CZECH REPUBLIC        2,131,575 
HONG KONG — 1.5%          
Industrials — 1.5%          
Orient Overseas International (A)   42,500    696,025 
           
HUNGARY — 2.3%          
Energy — 2.3%          
MOL Hungarian Oil & Gas    87,643    1,076,120 
           
INDIA — 4.1%          
Energy — 1.6%          
Coal India   161,971    776,070 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X MSCI SuperDividend® Emerging Markets ETF

 

   Shares   Value 
COMMON STOCK — continued          
Materials — 2.5%          
Vedanta    156,284   $1,157,933 
           
TOTAL INDIA        1,934,003 
INDONESIA — 6.5%          
Communication Services — 2.1%          
Telkom Indonesia Persero   4,597,600    986,080 
           
Financials — 4.4%          
Bank Mandiri Persero    2,346,400    673,795 
Bank Negara Indonesia Persero   2,847,100    761,602 
Bank Rakyat Indonesia Persero   2,991,300    678,990 
         2,114,387 
TOTAL INDONESIA        3,100,467 
KUWAIT — 1.7%          
Communication Services — 1.7%          
Mobile Telecommunications KSCP   492,917    819,119 
           
MEXICO — 1.7%          
Industrials — 1.7%          
Grupo Aeroportuario del Sureste, Cl B    23,885    832,485 
           
PHILIPPINES — 1.6%          
Communication Services — 1.6%          
PLDT   33,950    772,633 
           
POLAND — 4.0%          
Financials — 4.0%          
Bank Polska Kasa Opieki    16,010    981,511 
Powszechny Zaklad Ubezpieczen   46,564    922,761 
           
TOTAL POLAND        1,904,272 
ROMANIA — 1.9%          
Real Estate — 1.9%          
NEPI Rockcastle   100,668    926,616 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X MSCI SuperDividend® Emerging Markets ETF

 

   Shares   Value 
COMMON STOCK — continued          
RUSSIA — 0.0%          
Materials — 0.0%          
Alrosa PJSC *(B)   1,194,381   $ 
PhosAgro PJSC GDR *(B)   42     
Severstal PAO *(B)   71,665     
           
TOTAL RUSSIA         
SAUDI ARABIA — 1.6%          
Energy — 1.6%          
Saudi Arabian Oil (A)   110,489    760,022 
           
SOUTH AFRICA — 2.8%          
Financials — 2.8%          
Absa Group    82,802    1,315,074 
           
TAIWAN — 7.0%          
Industrials — 2.8%          
Evergreen Marine Taiwan   115,000    679,695 
Yang Ming Marine Transport   371,000    629,533 
         1,309,228 
Information Technology — 4.2%          
Catcher Technology    114,000    726,311 
Innolux   1,869,700    1,295,184 
         2,021,495 
TOTAL TAIWAN        3,330,723 
THAILAND — 4.0%          
Energy — 2.1%          
PTT Exploration & Production NVDR    253,600    987,319 
           
Financials — 1.9%          
SCB X NVDR    208,300    897,018 
           
TOTAL THAILAND        1,884,337 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X MSCI SuperDividend® Emerging Markets ETF

 

   Shares   Value 
COMMON STOCK — continued          
UNITED ARAB EMIRATES — 1.8%          
Real Estate — 1.8%          
Emaar Properties PJSC   207,999   $849,519 
           
UNITED STATES — 1.7%          
Consumer Staples — 1.7%          
JBS NV, Cl A *   51,761    815,236 
           
TOTAL COMMON STOCK
(Cost $36,989,298)
        43,709,018 
           
PREFERRED STOCK — 7.8%          
BRAZIL—1.9%          
Utilities — 1.9%          
Cia Energetica de Minas Gerais (C)   408,885    896,563 
           
TOTAL BRAZIL        896,563 
COLOMBIA—3.2%          
Financials — 3.2%          
Grupo Cibest (C)   73,626    1,514,839 
           
TOTAL COLOMBIA        1,514,839 
RUSSIA—0.0%          
Energy — 0.0%          
Surgutneftegas PJSC *(B)(C)   3,166,303     
           
TOTAL RUSSIA         
SOUTH KOREA— 2.7%          
Consumer Discretionary — 2.7%          
Hyundai Motor (C)   7,187    1,323,159 
TOTAL SOUTH KOREA        1,323,159 
TOTAL PREFERRED STOCK
(Cost $3,739,620)
        3,734,561 
           
   Face Amount      
REPURCHASE AGREEMENTS(D) — 6.3%          
Bank of America Securities, Inc.
3.670%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $124,634 (collateralized by various U.S. Government Obligations, ranging in par value $261 - $67,928, 1.500% - 6.500%, 08/01/2033 - 02/01/2056, with a total market value of $126,697)
  $124,596    124,596 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X MSCI SuperDividend® Emerging Markets ETF

 

   Face Amount   Value 
REPURCHASE AGREEMENTS(D) — continued          
CF Secured LLC
3.680%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $657,070 (collateralized by various U.S. Government Obligations and U.S. Treasury Obligations, ranging in par value $704 - $136,099, 0.000% - 7.000%, 02/28/2027 - 09/20/2065, with a total market value of $667,239)
  $656,869   $656,869 
Citadel Securities LLC
3.710%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $699,013 (collateralized by various U.S. Treasury Obligations, ranging in par value $44 - $67,157, 0.000% - 4.500%, 02/15/2026 - 11/15/2055, with a total market value of $709,482)
   698,797    698,797 
Clear Street LLC
3.720%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $657,073 (collateralized by various U.S. Government Obligations, ranging in par value $979 - $191,404, 2.500% - 7.000%, 11/01/2030 - 02/01/2056, with a total market value of $667,063)
   656,869    656,869 
Daiwa Capital Markets America, Inc.
3.660%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $179,659 (collateralized by various U.S. Treasury Obligations, ranging in par value $359 - $72,808, 1.125% - 4.375%, 02/28/2027 - 06/30/2031, with a total market value of $181,931)
   179,604    179,604 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X MSCI SuperDividend® Emerging Markets ETF

 

   Face Amount   Value 
REPURCHASE AGREEMENTS(D) — continued          
RBC Dominion Securities, Inc.
3.670%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $657,070 (collateralized by various U.S. Government Obligations and U.S. Treasury Obligations, ranging in par value $1,244 - $2,098,788, 0.000% - 7.000%, 07/31/2030 - 05/01/2054, with a total market value of $666,616)
  $656,869   $656,869 
TOTAL REPURCHASE AGREEMENTS
(Cost $2,973,604)
        2,973,604 
TOTAL INVESTMENTS — 106.0%
(Cost $43,702,522)
       $50,417,183 

 

Percentages are based on Net Assets of $47,545,700.

 

A list of the open futures contracts held by the Fund at January 31, 2026, is as follows:

 

Type of Contract  Number of
Contracts
  Expiration
Date
  Notional Amount   Value   Unrealized
Appreciation
 
Long Contracts                     
MSCI Emerging Markets Index  1  Mar-2026  $89,544   $98,000  $8,456 

 

* Non-income producing security.
(A) This security or a partial position of this security is on loan at January 31, 2026. The total market value of securities on loan at January 31, 2026 was $2,815,061.
(B) Level 3 security in accordance with fair value hierarchy.
(C) There is currently no stated interest rate.
(D) These securities were purchased with cash collateral held from securities on loan. The total value of such securities as of January 31, 2026 was $2,973,604. The total value of non-cash collateral held from securities on loan as of January 31, 2026 was $0.
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X MSCI SuperDividend® Emerging Markets ETF

 

The following is a summary of the level of inputs used as of January 31, 2026, in valuing the Fund’s investments and other financial instruments carried at value:

 

Investments in Securities  Level 1   Level 2   Level 3(1)  Total 
Common Stock  $42,129,877   $1,579,141   $^  $43,709,018 
Preferred Stock   3,734,561        ^   3,734,561 
Repurchase Agreements       2,973,604        2,973,604 
Total Investments in Securities  $45,864,438   $4,552,745   $   $50,417,183 
                     
Other Financial Instruments   Level 1    Level 2    Level 3   Total 
Futures Contracts*                    
Unrealized Appreciation  $8,456   $   $   $8,456 
Total Other Financial Instruments  $8,456   $   $   $8,456 

 

* Futures contracts are valued at the unrealized appreciation (depreciation) on the instrument.
(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 end of the period in relation to Net Assets. Management has concluded that Level 3 investments are not material in relation to Net Assets.
^ Includes Securities in which the fair value is $0 or has been rounded to $0.

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

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.

 
Schedules of Investments January 31, 2026 (Unaudited)
Global X SuperDividend® REIT ETF

 

   Shares   Value 
COMMON STOCK — 99.2%          
BELGIUM — 0.7%          
Real Estate — 0.7%          
Cofinimmo    14,330   $1,493,383 
           
CANADA — 2.7%          
Real Estate — 2.7%          
SmartCentres Real Estate Investment Trust    309,140    6,093,082 
           
FRANCE — 0.7%          
Real Estate — 0.7%          
Gecina    16,359    1,507,298 
           
HONG KONG — 2.6%          
Real Estate — 2.6%          
Link REIT    1,279,900    5,886,783 
           
SINGAPORE — 15.2%          
Real Estate — 15.2%          
CapitaLand Ascendas REIT    2,742,800    6,159,953 
CapitaLand Integrated Commercial Trust    3,629,400    6,835,513 
Frasers Logistics & Commercial Trust    8,041,846    6,400,523 
Mapletree Industrial Trust    897,000    1,491,466 
Mapletree Logistics Trust    5,616,100    5,974,574 
Mapletree Pan Asia Commercial Trust    5,897,800    6,785,491 
           
TOTAL SINGAPORE        33,647,520 
SOUTH AFRICA — 3.9%          
Real Estate — 3.9%          
Growthpoint Properties    7,908,494    8,728,314 
           
UNITED KINGDOM — 4.2%          
Real Estate — 4.2%          
LondonMetric Property PLC    2,877,545    7,893,476 
Primary Health Properties    1,047,479    1,489,150 
           
TOTAL UNITED KINGDOM        9,382,626 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X SuperDividend® REIT ETF

 

   Shares   Value 
COMMON STOCK — continued          
UNITED STATES — 69.2%          
Financials — 35.7%          
AGNC Investment    668,995   $7,626,543 
Annaly Capital Management    332,349    7,647,350 
Apollo Commercial Real Estate Finance    739,074    7,989,390 
ARMOUR Residential REIT    365,168    6,353,923 
Blackstone Mortgage Trust, Cl A    77,830    1,498,227 
Dynex Capital    518,247    7,193,268 
Ellington Financial    527,143    6,773,788 
Franklin BSP Realty Trust    146,878    1,506,968 
Ladder Capital, Cl A    609,940    6,691,042 
Orchid Island Capital, Cl A    845,582    6,595,540 
PennyMac Mortgage Investment Trust    416,978    4,932,850 
Rithm Capital    591,758    6,473,833 
Starwood Property Trust    355,744    6,378,490 
TPG RE Finance Trust    165,218    1,491,919 
         79,153,131 
Real Estate — 33.5%          
Apple Hospitality REIT    120,238    1,399,570 
Broadstone Net Lease, Cl A    408,227    7,556,282 
CTO Realty Growth    270,825    4,812,560 
EPR Properties    137,809    7,474,760 
Gaming and Leisure Properties    142,076    6,357,901 
Getty Realty    223,335    6,668,783 
Healthcare Realty Trust, Cl A    86,687    1,455,475 
Kilroy Realty    41,628    1,435,333 
LTC Properties    193,725    7,065,151 
NNN REIT    132,476    5,520,275 
Omega Healthcare Investors    175,449    7,698,702 
Realty Income    96,826    5,921,878 
Sabra Health Care REIT    78,727    1,474,557 
Sila Realty Trust    62,107    1,512,306 
VICI Properties, Cl A    51,914    1,457,745 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X SuperDividend® REIT ETF

 

   Shares   Value 
COMMON STOCK — continued          
Real Estate — continued          
WP Carey    95,203   $6,640,409 
         74,451,687 
TOTAL UNITED STATES        153,604,818 
TOTAL COMMON STOCK
(Cost $205,418,298)
        220,343,824 
TOTAL INVESTMENTS — 99.2%
(Cost $205,418,298)
       $220,343,824 

 

Percentages are based on Net Assets of $222,048,069.

 

A list of the open futures contracts held by the Fund at January 31, 2026, is as follows:

 

Type of Contract  Number of
Contracts
   Expiration
Date
  Notional Amount    Value    Unrealized
Appreciation
 
Long Contracts                           
Dow Jones U.S. Real Estate Index   30   Mar-2026  $1,077,327   $1,097,100   $19,773 

 

Real Estate Investment Trust

 

The following is a summary of the level of inputs used as of January 31, 2026, in valuing the Fund’s investments and other financial instruments carried at value:

 

Investments in Securities  Level 1   Level 2   Level 3   Total 
Common Stock  $220,343,824   $   $   $220,343,824 
Total Investments in Securities  $220,343,824   $   $   $220,343,824 
                     
Other Financial Instruments  Level 1   Level 2   Level 3   Total 
Futures Contracts*                    
Unrealized Appreciation   $19,773   $   $   $19,773 
Total Other Financial Instruments  $19,773   $   $   $19,773 

 

* Futures contracts are valued at the unrealized appreciation (depreciation) on the instrument.

 

Amounts designated as “—” are $0 or have been rounded to $0. See “Glossary” for abbreviations.

 

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.

 
Schedules of Investments January 31, 2026 (Unaudited)
Global X Renewable Energy Producers ETF

 

   Shares   Value 
COMMON STOCK — 95.0%          
AUSTRIA — 6.1%          
Utilities — 6.1%          
Verbund   23,404   $1,724,854 
           
BRAZIL — 10.4%          
Utilities — 10.4%          
Axia Energia   161,555    1,677,712 
Engie Brasil Energia    200,178    1,252,938 
           
TOTAL BRAZIL        2,930,650 
CANADA — 4.4%          
Utilities — 4.4%          
Boralex, Cl A (A)   22,842    425,921 
Northland Power (A)   58,131    805,759 
           
TOTAL CANADA        1,231,680 
CHINA — 3.9%          
Utilities — 3.9%          
China Datang Renewable Power, Cl H   556,100    148,821 
China Longyuan Power Group, Cl H   738,400    671,299 
Xinyi Energy Holdings (A)   1,895,500    293,680 
           
TOTAL CHINA        1,113,800 
DENMARK — 6.2%          
Utilities — 6.2%          
Orsted *   78,340    1,767,180 
           
GERMANY — 1.5%          
Energy — 1.5%          
Verbio *(A)   14,143    419,623 
           
INDIA — 1.0%          
Utilities — 1.0%          
ReNew Energy Global PLC, Cl A *   54,695    296,447 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X Renewable Energy Producers ETF

 

   Shares   Value 
COMMON STOCK — continued          
INDONESIA — 7.5%          
Utilities — 7.5%          
Barito Renewables Energy   2,965,100   $1,505,956 
Pertamina Geothermal Energy   9,308,900    618,375 
           
TOTAL INDONESIA        2,124,331 
ISRAEL — 7.6%          
Utilities — 7.6%          
Energix-Renewable Energies   128,330    820,956 
Enlight Renewable Energy *   23,182    1,320,978 
           
TOTAL ISRAEL        2,141,934 
ITALY — 3.1%          
Utilities — 3.1%          
ERG   33,366    889,940 
           
JAPAN — 0.4%          
Industrials — 0.4%          
West Holdings   10,238    105,592 
           
NEW ZEALAND — 14.7%          
Utilities — 14.7%          
Contact Energy   220,681    1,248,030 
Mercury NZ   314,545    1,204,300 
Meridian Energy   497,394    1,699,798 
           
TOTAL NEW ZEALAND        4,152,128 
RUSSIA — 0.0%          
Utilities — 0.0%          
RusHydro PJSC *(B)   271,804,543     
           
SOUTH AFRICA — 1.5%          
Utilities — 1.5%          
Scatec *   35,306    424,082 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X Renewable Energy Producers ETF

 

   Shares   Value 
COMMON STOCK — continued          
SOUTH KOREA — 0.4%          
Utilities — 0.4%          
SK Eternix *   7,520   $106,055 
           
SPAIN — 10.6%          
Utilities — 10.6%          
EDP Renovaveis    109,536    1,667,968 
Grenergy Renovables *   6,344    725,283 
Solaria Energia y Medio Ambiente *   27,735    613,379 
           
TOTAL SPAIN        3,006,630 
THAILAND — 0.5%          
Utilities — 0.5%          
Energy Absolute NVDR *   1,655,530    144,165 
           
TURKEY — 0.8%          
Utilities — 0.8%          
Akfen Yenilenebilir Enerji *   266,184    114,448 
IC Enterra Yenilenebilir Enerji *   410,296    104,715 
           
TOTAL TURKEY        219,163 
UNITED KINGDOM — 3.3%          
Utilities — 3.3%          
Drax Group PLC   75,306    931,082 
           
UNITED STATES — 11.1%          
Industrials — 3.5%          
Sunrun *   51,626    980,894 
           
Utilities — 7.6%          
Clearway Energy, Cl C   18,877    682,404 
Ormat Technologies   10,172    1,270,890 
XPLR Infrastructure *   20,906    203,624 
         2,156,918 
TOTAL UNITED STATES        3,137,812 
TOTAL COMMON STOCK
(Cost $41,002,955)
        26,867,148 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X Renewable Energy Producers ETF

 

   Shares   Value 
MASTER LIMITED PARTNERSHIP — 4.7%          
CANADA— 4.7%          
Utilities — 4.7%          
Brookfield Renewable Partners, Cl A   44,509   $1,335,122 
TOTAL MASTER LIMITED PARTNERSHIP
(Cost $1,098,486)
        1,335,122 
           
PREFERRED STOCK — 0.0%          
BRAZIL— 0.0%          
Utilities — 0.0%          
Axia Energia *(C)       4 
TOTAL PREFERRED STOCK
(Cost $1)
        4 
          
   Face Amount      
REPURCHASE AGREEMENTS(D) — 3.2%          
CF Secured LLC
3.680%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $249,076 (collateralized by various U.S. Government Obligations and U.S. Treasury Obligations, ranging in par value $267 - $51,591, 0.000% - 7.000%, 02/28/2027 - 09/20/2065, with a total market value of $252,931)
  $249,000    249,000 
Citadel Securities LLC
3.710%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $249,077 (collateralized by various U.S. Treasury Obligations, ranging in par value $16 - $23,930, 0.000% - 4.500%, 02/15/2026 - 11/15/2055, with a total market value of $252,807)
          
    249,000    249,000 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X Renewable Energy Producers ETF

 

  Face Amount   Value 
REPURCHASE AGREEMENTS(D) — continued          

Citigroup Global Markets, Inc.
3.670%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $249,076 (collateralized by various U.S. Government Obligations, ranging in par value $1,487 - $8,835, 3.500% - 7.500%, 11/01/2049 - 01/20/2056, with a total market value of $252,765)

  $249,000   $249,000 

Clear Street LLC
3.720%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $110,034 (collateralized by various U.S. Government Obligations, ranging in par value $164 - $32,053, 2.500% - 7.000%, 11/01/2030 - 02/01/2056, with a total market value of $111,707)

   110,000    110,000 

Daiwa Capital Markets America, Inc.
3.660%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $56,260 (collateralized by various U.S. Treasury Obligations, ranging in par value $112 - $22,800, 1.125% - 4.375%, 02/28/2027 - 06/30/2031, with a total market value of $56,972)

   56,243    56,243 
TOTAL REPURCHASE AGREEMENTS
(Cost $913,243)
        913,243 
TOTAL INVESTMENTS — 102.9%
(Cost $43,014,685)
       $29,115,517 

 

Percentages are based on Net Assets of $28,283,157.

 

* Non-income producing security.
(A) This security or a partial position of this security is on loan at January 31, 2026. The total market value of securities on loan at January 31, 2026 was $951,964.
(B) Level 3 security in accordance with fair value hierarchy.
(C) There is currently no stated interest rate.
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X Renewable Energy Producers ETF

 

(D) These securities were purchased with cash collateral held from securities on loan. The total value of such securities as of January 31, 2026 was $913,243. The total value of non-cash collateral held from securities on loan as of January 31, 2026 was $86.043.

 

The following is a summary of the level of inputs used as of January 31, 2026, in valuing the Fund’s investments carried at value:

 

Investments in Securities  Level 1   Level 2   Level 3(1)  Total 
Common Stock  $26,867,148   $   $^  $26,867,148 
Master Limited Partnership   1,335,122            1,335,122 
Preferred Stock   4            4 
Repurchase Agreements       913,243        913,243 
Total Investments in Securities  $28,202,274   $913,243   $   $29,115,517 

 

(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 end of the period in relation to Net Assets. Management has concluded that Level 3 investments are not material in relation to Net Assets.

 

^ Includes Securities in which the fair value is $0 or has been rounded to $0. Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

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.

 

 

Schedules of Investments  January 31, 2026 (Unaudited)
 Global X S&P 500® Catholic Values ETF

 

   Shares   Value 
COMMON STOCK — 99.9%          
NETHERLANDS — 0.1%           
Information Technology — 0.1%          
NXP Semiconductors   4,992   $1,128,891 
           
SWITZERLAND — 0.1%          
Information Technology — 0.1%          
TE Connectivity PLC   5,828    1,298,362 
           
UNITED STATES — 99.7%          
Communication Services — 11.1%          
Alphabet, Cl A   110,811    37,454,118 
Alphabet, Cl C   88,570    29,983,602 
AT&T   135,028    3,539,084 
Charter Communications, Cl A *   1,673    344,839 
Comcast, Cl A   69,220    2,059,295 
Electronic Arts   4,273    871,350 
Fox, Cl A   3,969    288,864 
Fox, Cl B   2,826    185,301 
Live Nation Entertainment *   3,005    437,077 
Match Group   4,493    139,957 
Meta Platforms, Cl A   41,484    29,723,286 
Netflix *   80,708    6,738,311 
News, Cl A   7,129    192,697 
News, Cl B   2,354    73,209 
Omnicom Group   6,081    468,480 
Take-Two Interactive Software *   3,303    727,651 
TKO Group Holdings, Cl A   1,263    255,858 
T-Mobile US   9,163    1,807,035 
Trade Desk, Cl A *   8,384    254,287 
Verizon Communications   80,313    3,575,535 
Walt Disney   34,001    3,835,313 
Warner Bros Discovery *   47,197    1,299,805 
         124,254,954 
Consumer Discretionary — 10.4%          
Airbnb, Cl A *   8,095    1,047,250 
Amazon.com *   185,182    44,314,053 
APTIV PLC *   4,113    311,560 
AutoZone *   314    1,163,147 
 

 

Schedules of Investments  January 31, 2026 (Unaudited)
Global X S&P 500® Catholic Values ETF

 

   Shares   Value 
COMMON STOCK — continued          
Consumer Discretionary — continued          
Best Buy   3,722   $242,302 
Booking Holdings   609    3,046,121 
Carnival *   20,665    620,363 
Carvana, Cl A *   2,692    1,079,788 
Chipotle Mexican Grill, Cl A *   25,173    978,474 
Darden Restaurants   2,218    442,158 
Deckers Outdoor *   2,774    331,049 
Domino’s Pizza   587    240,864 
DoorDash, Cl A *   7,113    1,455,462 
DR Horton   5,214    776,052 
eBay   8,600    784,492 
Expedia Group   2,231    590,858 
Ford Motor   74,493    1,033,963 
Garmin   3,109    626,899 
General Motors   17,755    1,491,420 
Genuine Parts   2,648    368,045 
Hasbro   2,539    226,758 
Hilton Worldwide Holdings   4,421    1,319,713 
Home Depot   18,947    7,097,357 
Lennar, Cl A   4,106    448,991 
Lowe’s   10,676    2,851,133 
Lululemon Athletica *   2,059    359,295 
Marriott International, Cl A   4,238    1,336,241 
McDonald’s   13,555    4,269,825 
NIKE, Cl B   22,641    1,399,440 
Norwegian Cruise Line Holdings *   8,661    190,196 
NVR *   54    412,329 
O’Reilly Automotive *   16,068    1,581,252 
Pool   619    157,282 
PulteGroup   3,713    464,459 
Ralph Lauren, Cl A   743    262,584 
Ross Stores   6,195    1,168,687 
Royal Caribbean Cruises   4,832    1,568,709 
Starbucks   21,640    1,989,798 
Tapestry   3,897    494,568 
Tesla *   53,491    23,023,061 
TJX   21,188    3,174,174 
Tractor Supply   10,053    511,497 
Ulta Beauty *   858    555,435 
 

 

Schedules of Investments  January 31, 2026 (Unaudited)
Global X S&P 500® Catholic Values ETF

 

   Shares   Value 
COMMON STOCK — continued          
Consumer Discretionary — continued          
Williams-Sonoma   2,321   $474,993 
Yum! Brands   5,286    821,973 
         117,104,070 
Consumer Staples — 5.0%          
Archer-Daniels-Midland   12,165    818,826 
Brown-Forman, Cl B   4,454    121,906 
Bunge Global   3,431    390,722 
Clorox   3,085    347,957 
Colgate-Palmolive   20,403    1,842,187 
Conagra Brands   12,109    224,138 
Constellation Brands, Cl A   3,572    559,732 
Costco Wholesale   11,215    10,544,904 
Dollar General   5,570    798,905 
Dollar Tree *   4,807    565,255 
Estee Lauder, Cl A   6,228    717,964 
General Mills   13,503    624,649 
Hershey   3,753    730,897 
Hormel Foods   7,374    181,474 
J M Smucker   2,701    283,227 
Keurig Dr Pepper   34,397    943,854 
Kimberly-Clark   8,398    839,716 
Kraft Heinz   21,573    512,143 
Kroger   15,428    969,650 
Lamb Weston Holdings   3,532    162,225 
McCormick   6,413    396,516 
Molson Coors Beverage, Cl B   4,284    205,803 
Mondelez International, Cl A   32,662    1,909,747 
Monster Beverage *   18,050    1,457,718 
PepsiCo   34,616    5,318,056 
Procter & Gamble   59,153    8,977,651 
Sysco   12,122    1,016,430 
Target   11,508    1,213,749 
The Campbell’s Company   4,977    139,256 
Tyson Foods, Cl A   7,162    467,893 
Walmart   111,000    13,224,540 
         56,507,690 
 

 

Schedules of Investments  January 31, 2026 (Unaudited)
Global X S&P 500® Catholic Values ETF

 

   Shares   Value 
COMMON STOCK — continued          
Energy — 3.2%          
APA   6,750   $178,268 
Baker Hughes, Cl A   18,781    1,052,487 
Chevron   36,024    6,372,646 
ConocoPhillips   23,513    2,450,760 
Coterra Energy   14,493    418,123 
Devon Energy   11,940    480,107 
Diamondback Energy   3,549    581,859 
EOG Resources   10,330    1,158,303 
EQT   11,879    685,775 
Expand Energy   4,529    509,105 
Exxon Mobil   80,264    11,349,330 
Halliburton   16,019    536,957 
Kinder Morgan   37,264    1,136,179 
Marathon Petroleum   5,718    1,007,454 
Occidental Petroleum   13,686    621,208 
ONEOK   11,977    948,459 
Phillips 66   7,672    1,101,392 
SLB   28,431    1,375,492 
Targa Resources   4,085    821,003 
Texas Pacific Land   1,104    384,589 
Valero Energy   5,801    1,052,475 
Williams   23,239    1,563,055 
         35,785,026 
Financials — 13.0%          
Aflac   10,246    1,136,794 
Allstate   5,680    1,130,263 
American Express   11,670    4,109,824 
American International Group   11,719    877,519 
Ameriprise Financial   2,012    1,060,706 
Aon PLC, Cl A   4,662    1,630,022 
Apollo Global Management   10,077    1,355,760 
Arch Capital Group *   7,842    753,146 
Arthur J Gallagher   5,574    1,389,988 
Assurant   1,090    259,562 
Bank of America   145,871    7,760,337 
Bank of New York Mellon   15,139    1,815,469 
Blackrock   3,129    3,501,163 
Blackstone   16,035    2,283,705 
 

 

Schedules of Investments  January 31, 2026 (Unaudited)
Global X S&P 500® Catholic Values ETF

 

   Shares   Value 
COMMON STOCK — continued          
Financials — continued          
Block, Cl A *   11,893   $718,694 
Brown & Brown   6,378    459,854 
Capital One Financial   13,801    3,021,453 
CBOE Global Markets   2,276    603,277 
Charles Schwab   36,268    3,768,971 
Chubb   7,948    2,460,383 
Cincinnati Financial   3,393    545,900 
Citigroup   38,853    4,495,681 
Citizens Financial Group   9,326    587,351 
CME Group, Cl A   7,832    2,263,918 
Coinbase Global, Cl A *   4,958    965,521 
Corpay *   1,518    477,608 
Erie Indemnity, Cl A   547    154,806 
Everest Group   915    303,121 
FactSet Research Systems   818    208,066 
Fidelity National Information Services   11,240    621,010 
Fifth Third Bancorp   14,356    720,958 
Fiserv *   11,682    744,494 
Franklin Resources   6,674    177,662 
Global Payments   5,142    368,887 
Globe Life   1,725    241,879 
Goldman Sachs Group   6,514    6,093,261 
Hartford Financial Services Group   6,045    816,438 
Huntington Bancshares   34,133    596,645 
Interactive Brokers Group, Cl A   9,668    723,940 
Intercontinental Exchange   12,378    2,151,049 
Invesco   9,662    263,676 
Jack Henry & Associates   1,570    281,360 
JPMorgan Chase   59,110    18,081,158 
KeyCorp   20,171    434,080 
KKR   14,902    1,702,702 
Loews   3,682    388,709 
M&T Bank   3,332    738,271 
Marsh & McLennan   10,639    2,002,153 
Mastercard, Cl A   17,801    9,591,001 
MetLife   12,018    947,980 
Moody’s   3,326    1,714,753 
Morgan Stanley   26,221    4,793,199 
MSCI, Cl A   1,629    992,419 
 

 

Schedules of Investments  January 31, 2026 (Unaudited)
Global X S&P 500® Catholic Values ETF

 

   Shares   Value 
COMMON STOCK — continued          
Financials — continued          
Nasdaq   9,791   $948,650 
Northern Trust   4,106    613,560 
PayPal Holdings   20,315    1,070,397 
PNC Financial Services Group   8,511    1,900,506 
Principal Financial Group   4,338    410,895 
Progressive   12,727    2,647,216 
Prudential Financial   7,603    844,769 
Raymond James Financial   3,830    635,244 
Regions Financial   19,038    542,583 
Robinhood Markets, Cl A *   17,078    1,698,919 
S&P Global   6,731    3,552,554 
State Street   6,070    794,320 
Synchrony Financial   7,823    568,184 
T Rowe Price Group   4,744    501,346 
Travelers   4,848    1,379,304 
Truist Financial   27,780    1,428,448 
US Bancorp   33,751    1,893,769 
Visa, Cl A   36,641    11,792,173 
W R Berkley   6,520    447,142 
Wells Fargo   68,163    6,168,070 
Willis Towers Watson PLC   2,084    661,607 
         145,786,202 
Health Care — 9.4%          
Align Technology *   3,531    575,659 
Amgen   28,455    9,728,195 
Baxter International   27,164    545,181 
Biogen *   7,755    1,395,047 
Boston Scientific *   78,340    7,327,140 
Cardinal Health   12,553    2,697,389 
Cencora   10,250    3,682,005 
Cigna Group   14,111    3,867,966 
CVS Health   67,087    4,999,323 
DaVita *   1,861    203,482 
Dexcom *   20,608    1,505,208 
Edwards Lifesciences *   30,669    2,495,230 
Elevance Health   11,748    4,061,754 
GE HealthCare Technologies   24,074    1,901,124 
Gilead Sciences   65,569    9,307,520 
 

 

Schedules of Investments  January 31, 2026 (Unaudited)
Global X S&P 500® Catholic Values ETF

 

   Shares   Value 
COMMON STOCK — continued          
Health Care — continued          
Henry Schein *   5,289   $399,214 
Hologic *   11,765    881,551 
Humana   6,359    1,241,277 
IDEXX Laboratories *   4,218    2,828,000 
Incyte *   8,710    871,610 
Insulet *   3,720    951,613 
Intuitive Surgical *   18,735    9,446,562 
IQVIA Holdings *   9,003    2,072,040 
Labcorp Holdings   4,378    1,188,715 
McKesson   6,524    5,422,814 
Medtronic PLC   67,778    6,978,423 
Mettler-Toledo International *   1,082    1,485,846 
Molina Healthcare *   2,716    487,766 
Quest Diagnostics   5,875    1,098,801 
ResMed   7,717    1,993,378 
Solventum *   7,794    599,904 
STERIS PLC   5,188    1,362,369 
Stryker   18,194    6,723,775 
West Pharmaceutical Services   3,804    879,180 
Zimmer Biomet Holdings   10,476    912,145 
Zoetis, Cl A   23,286    2,906,559 
         105,023,765 
Industrials — 8.4%          
3M   12,896    1,975,151 
A O Smith   2,751    202,171 
Allegion PLC   2,093    346,161 
AMETEK   5,585    1,250,928 
Automatic Data Processing   9,812    2,421,798 
Axon Enterprise *   1,910    923,638 
Broadridge Financial Solutions   2,832    558,215 
Builders FirstSource *   2,684    307,050 
Carrier Global   19,209    1,144,472 
Caterpillar   11,352    7,462,351 
CH Robinson Worldwide   2,865    558,532 
Cintas   8,288    1,586,240 
Comfort Systems USA   858    979,922 
Copart *   21,607    876,812 
CSX   45,194    1,706,525 
 

 

Schedules of Investments  January 31, 2026 (Unaudited)
Global X S&P 500® Catholic Values ETF

 

   Shares   Value 
COMMON STOCK — continued          
Industrials — continued          
Cummins   3,344   $1,935,574 
Dayforce *   3,885    269,114 
Deere   6,106    3,223,968 
Delta Air Lines   15,744    1,037,372 
Dover   3,323    669,551 
Eaton PLC   9,425    3,312,133 
EMCOR Group   1,088    784,154 
Emerson Electric   13,632    2,003,359 
Equifax   2,968    597,755 
Expeditors International of Washington   3,248    521,434 
Fastenal   27,863    1,208,140 
FedEx   5,269    1,697,935 
Fortive   7,711    407,218 
GE Aerospace   25,597    7,852,904 
GE Vernova   6,585    4,783,146 
Generac Holdings *   1,423    239,121 
Howmet Aerospace   9,754    2,029,612 
Hubbell, Cl B   1,290    629,443 
IDEX   1,813    359,971 
Illinois Tool Works   6,409    1,674,415 
Ingersoll Rand   8,720    750,705 
Jacobs Solutions   2,899    392,119 
JB Hunt Transport Services   1,822    369,356 
Johnson Controls International PLC   14,830    1,768,626 
Lennox International   779    385,667 
Masco   5,043    333,292 
Nordson   1,296    355,791 
Norfolk Southern   5,445    1,585,802 
Old Dominion Freight Line   4,462    772,818 
Otis Worldwide   9,457    807,817 
PACCAR   12,740    1,565,873 
Paychex   7,862    810,808 
Paycom Software   1,187    159,948 
Pentair PLC   3,972    418,530 
Quanta Services   3,622    1,719,110 
Republic Services, Cl A   4,887    1,051,145 
Rockwell Automation   2,724    1,148,575 
Rollins   7,119    450,917 
Snap-On   1,263    462,397 
 

 

Schedules of Investments  January 31, 2026 (Unaudited)
Global X S&P 500® Catholic Values ETF

 

   Shares   Value 
COMMON STOCK — continued          
Industrials — continued          
Southwest Airlines   12,546   $596,186 
Stanley Black & Decker   3,761    295,840 
Trane Technologies PLC   5,381    2,263,141 
Uber Technologies *   50,418    4,035,961 
Union Pacific   14,398    3,384,970 
United Airlines Holdings *   7,858    804,031 
United Parcel Service, Cl B   17,930    1,904,525 
United Rentals   1,543    1,206,719 
Veralto   6,020    595,860 
Verisk Analytics, Cl A   3,388    736,754 
Wabtec   4,148    954,621 
Waste Management   8,998    1,999,716 
WW Grainger   1,064    1,149,056 
Xylem   5,904    813,984 
         93,586,945 
Information Technology — 33.2%          
Accenture PLC, Cl A   12,291    3,240,399 
Adobe *   8,296    2,432,802 
Akamai Technologies *   2,850    276,877 
Amphenol, Cl A   24,264    3,495,957 
Analog Devices   9,749    3,030,769 
Apple   292,909    76,004,027 
Applied Materials   15,794    5,090,722 
AppLovin, Cl A *   5,366    2,538,708 
Arista Networks *   20,467    2,900,993 
Autodesk *   4,221    1,067,364 
Broadcom   93,614    31,014,318 
Cadence Design Systems *   5,396    1,599,159 
CDW   2,582    326,339 
Cisco Systems   78,115    6,117,967 
Cognizant Technology Solutions, Cl A   9,566    784,986 
CrowdStrike Holdings, Cl A *   4,978    2,197,314 
Datadog, Cl A *   6,453    834,502 
Dell Technologies, Cl C   5,970    683,207 
EPAM Systems *   1,097    228,834 
F5 *   1,145    315,573 
Fair Isaac *   466    681,837 
First Solar *   2,132    480,809 
 

 

Schedules of Investments  January 31, 2026 (Unaudited)
Global X S&P 500® Catholic Values ETF

 

   Shares   Value 
COMMON STOCK — continued          
Information Technology — continued          
Fortinet *   12,526   $1,017,863 
Gartner *   1,428    299,323 
Gen Digital   11,122    266,817 
GoDaddy, Cl A *   2,679    269,293 
HP   18,531    360,243 
Intel *   88,880    4,130,254 
Intuit   5,525    2,756,533 
Jabil   2,122    503,317 
Keysight Technologies *   3,412    738,118 
KLA   2,605    3,719,784 
Lam Research   24,892    5,811,286 
Microchip Technology   10,713    813,331 
Micron Technology   22,255    9,233,154 
Microsoft   147,324    63,392,044 
Monolithic Power Systems   953    1,071,315 
Motorola Solutions   3,297    1,327,174 
NetApp   3,958    381,353 
NVIDIA   481,690    92,065,410 
ON Semiconductor *   7,977    477,742 
Oracle   33,343    5,487,591 
Palantir Technologies, Cl A *   45,285    6,638,328 
Palo Alto Networks *   13,557    2,399,182 
PTC *   2,377    371,121 
QUALCOMM   21,232    3,218,559 
Roper Technologies   2,138    793,690 
Salesforce   18,871    4,006,125 
Seagate Technology Holdings   4,316    1,759,590 
ServiceNow *   20,561    2,405,843 
Skyworks Solutions   2,945    164,213 
Super Micro Computer *   9,936    289,237 
Synopsys *   3,685    1,713,949 
Teradyne   3,101    747,496 
Texas Instruments   18,007    3,881,409 
Trimble *   4,722    319,207 
Tyler Technologies *   857    316,576 
VeriSign   1,651    403,224 
Western Digital   6,777    1,695,809 
Workday, Cl A *   4,299    755,033 
 

 

Schedules of Investments  January 31, 2026 (Unaudited)
Global X S&P 500® Catholic Values ETF

 

   Shares   Value 
COMMON STOCK — continued          
Information Technology — continued          
Zebra Technologies, Cl A *   1,007   $236,625 
         371,580,624 
Materials — 1.8%          
Air Products & Chemicals   3,942    1,074,195 
Albemarle   2,089    356,446 
Amcor PLC   8,175    361,744 
Avery Dennison   1,369    253,963 
Ball   4,751    270,189 
CF Industries Holdings   2,762    257,501 
Corteva   11,968    871,270 
CRH PLC   11,872    1,453,252 
Dow   12,584    346,689 
DuPont de Nemours   7,425    326,106 
Ecolab   4,511    1,272,057 
Freeport-McMoRan   25,431    1,531,709 
International Flavors & Fragrances   4,531    316,309 
International Paper   9,352    377,073 
Linde PLC   8,268    3,778,228 
LyondellBasell Industries, Cl A   4,556    223,244 
Martin Marietta Materials   1,070    697,587 
Mosaic   5,619    154,523 
Newmont   19,322    2,170,827 
Nucor   4,053    720,299 
Packaging Corp of America   1,581    351,852 
PPG Industries   3,975    459,629 
Sherwin-Williams   4,082    1,447,640 
Smurfit WestRock PLC   9,249    385,036 
Steel Dynamics   2,433    436,894 
Vulcan Materials   2,343    704,165 
         20,598,427 
Real Estate — 1.9%          
American Tower    9,690    1,737,223 
AvalonBay Communities    2,926    519,863 
BXP    3,048    197,114 
Camden Property Trust    2,207    240,673 
CBRE Group, Cl A *   6,075    1,034,755 
CoStar Group *   8,780    539,970 
 

 

Schedules of Investments  January 31, 2026 (Unaudited)
Global X S&P 500® Catholic Values ETF

 

   Shares   Value 
COMMON STOCK — continued          
Real Estate — continued          
Crown Castle    9,020   $783,026 
Digital Realty Trust    6,686    1,109,542 
Equinix    2,038    1,673,055 
Equity Residential    7,165    446,523 
Essex Property Trust    1,334    335,995 
Extra Space Storage    4,392    605,964 
Federal Realty Investment Trust    1,623    164,183 
Host Hotels & Resorts    13,243    245,393 
Invitation Homes    11,680    312,206 
Iron Mountain    6,125    564,296 
Kimco Realty    14,016    295,457 
Mid-America Apartment Communities    2,426    325,812 
ProLogis    19,228    2,510,408 
Public Storage    3,265    901,760 
Realty Income    19,044    1,164,731 
Regency Centers    3,413    248,705 
SBA Communications, Cl A    2,210    406,883 
Simon Property Group    6,759    1,293,064 
UDR    6,231    231,482 
Welltower    14,215    2,677,537 
Weyerhaeuser    14,924    384,741 
         20,950,361 
Utilities — 2.3%          
AES   13,552    198,537 
Alliant Energy   4,896    322,695 
Ameren   5,150    531,892 
American Electric Power   10,192    1,220,747 
American Water Works   3,716    479,847 
Atmos Energy   3,052    507,670 
CenterPoint Energy   12,423    493,069 
CMS Energy   5,788    413,784 
Consolidated Edison   6,868    732,335 
Constellation Energy   5,939    1,666,958 
Dominion Energy   16,251    977,823 
DTE Energy   3,953    531,204 
Duke Energy   14,800    1,795,980 
Edison International   7,318    455,765 
Entergy   8,496    814,681 
 

 

Schedules of Investments  January 31, 2026 (Unaudited)
Global X S&P 500® Catholic Values ETF

 

   Shares   Value 
COMMON STOCK — continued          
Utilities — continued          
Evergy   4,379   $336,001 
Eversource Energy   7,137    493,381 
Exelon   19,224    860,851 
FirstEnergy   9,891    468,240 
NextEra Energy   39,631    3,483,565 
NiSource   9,085    402,375 
NRG Energy   3,650    557,099 
PG&E   41,829    645,003 
Pinnacle West Capital   2,281    213,410 
PPL   14,073    510,146 
Public Service Enterprise Group   9,499    782,338 
Sempra   12,419    1,080,577 
Southern   20,961    1,872,027 
Vistra   6,067    960,709 
WEC Energy Group   6,195    685,601 
Xcel Energy   11,254    855,979 
         25,350,289 
TOTAL UNITED STATES        1,116,528,353 
TOTAL COMMON STOCK
(Cost $754,967,174)
        1,118,955,606 
TOTAL INVESTMENTS — 99.9%
(Cost $754,967,174)
       $1,118,955,606 

 

Percentages are based on Net Assets of $1,120,309,953.

 

* Non-income producing security.
Real Estate Investment Trust

 

As of January 31, 2026, 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.

 

See “Glossary” for abbreviations.

 

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.

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X MSCI SuperDividend® EAFE ETF

 

   Shares   Value 
COMMON STOCK — 99.6%          
AUSTRALIA — 2.0%          
Utilities — 2.0%          
APA Group   129,196   $801,903 
           
AUSTRIA — 1.9%          
Energy — 1.9%          
OMV   12,517    745,290 
           
BELGIUM — 1.9%          
Financials — 1.9%          
Ageas   10,388    740,870 
           
CHINA — 2.1%          
Industrials — 2.1%          
SITC International Holdings   218,000    813,414 
           
FRANCE — 16.4%          
Communication Services — 2.1%          
Orange   44,895    834,257 
           
Consumer Discretionary — 1.4%          
FDJ United   21,110    561,038 
           
Consumer Staples — 1.9%          
Carrefour   45,995    757,300 
           
Financials — 3.5%          
AXA   14,326    654,962 
Credit Agricole   33,787    734,360 
         1,389,322 
Real Estate — 5.1%          
Covivio    11,879    759,590 
Gecina    6,104    562,415 
Klepierre    17,722    683,935 
         2,005,940 
 

Schedules of Investments January 31, 2026 (Unaudited)
Global X MSCI SuperDividend® EAFE ETF

 

   Shares   Value 
COMMON STOCK — continued          
Utilities — 2.4%          
Engie   31,727   $947,379 
           
TOTAL FRANCE        6,495,236 
GERMANY — 1.4%          
Materials — 1.4%          
Evonik Industries   35,778    557,582 
           
HONG KONG — 15.6%          
Communication Services — 1.8%          
HKT Trust & HKT   475,820    712,843 
           
Consumer Staples — 2.3%          
WH Group   773,000    908,632 
           
Real Estate — 7.4%          
Henderson Land Development   216,733    863,635 
Hongkong Land Holdings   129,800    1,102,002 
Sino Land   649,700    979,995 
         2,945,632 
Utilities — 4.1%          
CK Infrastructure Holdings   100,700    828,454 
Power Assets Holdings   100,173    777,942 
         1,606,396 
TOTAL HONG KONG        6,173,503 
ITALY — 12.2%          
Energy — 2.4%          
Eni   45,480    932,021 
           
Financials — 7.8%          
Banca Monte dei Paschi di Siena   57,650    599,009 
Banco BPM   60,262    904,740 
Generali   17,966    735,029 
Poste Italiane   31,998    845,078 
         3,083,856 
 

Schedules of Investments January 31, 2026 (Unaudited)
Global X MSCI SuperDividend® EAFE ETF

 

   Shares   Value 
COMMON STOCK — continued          
Utilities — 2.0%          
Snam   114,948   $792,868 
           
TOTAL ITALY        4,808,745 
JAPAN — 5.3%          
Communication Services — 1.5%          
SoftBank   444,574    602,334 
           
Financials — 2.2%          
Japan Post Holdings   73,903    888,455 
           
Industrials — 1.6%          
Mitsui OSK Lines   19,542    613,015 
           
TOTAL JAPAN        2,103,804 
NETHERLANDS — 2.2%          
Financials — 2.2%          
NN Group   10,916    867,223 
           
NORWAY — 7.8%          
Communication Services — 1.9%          
Telenor   43,704    737,578 
           
Energy — 4.1%          
Aker BP   29,170    855,130 
Equinor   28,583    765,267 
         1,620,397 
Financials — 1.8%          
DNB Bank   25,147    724,881 
           
TOTAL NORWAY        3,082,856 
PORTUGAL — 2.2%          
Utilities — 2.2%          
EDP   170,202    874,113 
 

Schedules of Investments January 31, 2026 (Unaudited)
Global X MSCI SuperDividend® EAFE ETF

 

   Shares   Value 
COMMON STOCK — continued          
SPAIN — 8.0%          
Communication Services — 1.4%          
Telefonica   131,374   $533,729 
           
Energy — 2.5%          
Repsol   50,847    1,001,418 
           
Financials — 2.6%          
CaixaBank   78,225    1,038,093 
           
Utilities — 1.5%          
Naturgy Energy Group   18,544    584,174 
           
TOTAL SPAIN        3,157,414 
SWEDEN — 4.2%          
Financials — 2.0%          
Svenska Handelsbanken, Cl A   49,119    780,156 
           
Industrials — 2.2%          
Volvo, Cl B   23,668    866,269 
           
TOTAL SWEDEN        1,646,425 
SWITZERLAND — 1.7%          
Financials — 1.7%          
Zurich Insurance Group   960    684,423 
           
UNITED KINGDOM — 12.5%          
Consumer Staples — 4.2%          
British American Tobacco PLC   15,281    917,619 
Imperial Brands PLC   17,951    755,256 
         1,672,875 
Financials — 8.3%          
Aviva PLC   82,730    721,800 
Legal & General Group PLC   207,285    754,069 
M&G PLC   226,869    963,227 
 

Schedules of Investments January 31, 2026 (Unaudited)
Global X MSCI SuperDividend® EAFE ETF

 

   Shares   Value 
COMMON STOCK — continued          
Financials — continued          
Phoenix Group Holdings PLC   80,957   $821,535 
         3,260,631 
TOTAL UNITED KINGDOM        4,933,506 
UNITED STATES — 2.2%          
Industrials — 2.2%          
AP Moller - Maersk, Cl A   357    879,817 
           
TOTAL COMMON STOCK
(Cost $32,994,266)
        39,366,124 
TOTAL INVESTMENTS — 99.6%
(Cost $32,994,266)
       $39,366,124 

 

Percentages are based on Net Assets of $39,506,561.

 

A list of the open futures contracts held by the Fund at January 31, 2026, is as follows:

 

Type of Contract  Number of
Contracts
  Expiration
Date
  Notional Amount   Value   Unrealized
Appreciation
 
Long Contracts                     
MSCI EAFE Index  1  Mar-2026  $144,869   $151,840   $6,971 

 

Real Estate Investment Trust

 

The following is a summary of the level of inputs used as of January 31, 2026, in valuing the Fund’s investments and other financial instruments carried at value:

 

Investments in Securities  Level 1   Level 2   Level 3   Total 
Common Stock  $39,366,124   $   $   $39,366,124 
Total Investments in Securities  $39,366,124   $   $   $39,366,124 
                     
Other Financial Instruments  Level 1   Level 2   Level 3   Total 
Futures Contracts*                    
Unrealized Appreciation  $6,971   $   $   $6,971 
Total Other Financial Instruments  $6,971   $   $   $6,971 

 

* Futures contracts are valued at the unrealized appreciation (depreciation) on the instrument.
 

Schedules of Investments January 31, 2026 (Unaudited)
Global X MSCI SuperDividend® EAFE ETF

 

See “Glossary” for abbreviations.

 

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.

 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X E-commerce ETF

 

   Shares   Value 
COMMON STOCK — 100.3%          
AUSTRALIA — 1.1%          
Consumer Discretionary — 1.1%          
Temple & Webster Group *   25,983   $219,339 
Web Travel Group *   87,563    283,401 
           
TOTAL AUSTRALIA        502,740 
BRAZIL — 4.6%          
Consumer Discretionary — 4.3%          
MercadoLibre *   904    1,941,602 
           
Information Technology — 0.3%          
VTEX, Cl A *   39,585    124,297 
           
TOTAL BRAZIL        2,065,899 
CANADA — 7.8%          
Industrials — 4.3%          
RB Global   17,088    1,940,684 
           
Information Technology — 3.5%          
Shopify, Cl A *   12,035    1,579,353 
           
TOTAL CANADA        3,520,037 
CHINA — 26.8%          
Communication Services — 3.9%          
NetEase ADR   13,669    1,760,977 
           
Consumer Discretionary — 19.7%          
Alibaba Group Holding ADR   11,183    1,896,190 
JD.com ADR   63,696    1,814,062 
PDD Holdings ADR *   17,618    1,780,299 
Trip.com Group ADR   30,185    1,852,453 
Vipshop Holdings ADR   87,040    1,489,254 
         8,832,258 
Consumer Staples — 3.2%          
Alibaba Health Information Technology *   1,691,500    1,412,165 
           
TOTAL CHINA        12,005,400 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X E-commerce ETF

 

   Shares   Value 
COMMON STOCK — continued          
GERMANY — 1.1%          
Consumer Discretionary — 1.1%          
Jumia Technologies ADR *   35,022   $468,244 
           
ISRAEL — 2.5%          
Consumer Discretionary — 2.5%          
Global-e Online *   30,418    1,111,778 
           
JAPAN — 4.7%          
Consumer Discretionary — 4.0%          
Rakuten Group *   298,926    1,792,471 
           
Information Technology — 0.7%          
AnyMind Group (A)   38,145    165,923 
BASE   69,146    147,472 
         313,395 
TOTAL JAPAN        2,105,866 
POLAND — 3.3%          
Consumer Discretionary — 3.3%          
Allegro.eu *   179,058    1,479,513 
           
SINGAPORE — 3.9%          
Consumer Discretionary — 3.9%          
Sea ADR *   15,170    1,767,153 
           
UNITED STATES — 44.5%          
Communication Services — 1.2%          
Shutterstock   7,612    151,098 
TripAdvisor *   31,079    413,040 
         564,138 
Consumer Discretionary — 33.3%          
Amazon.com *   8,029    1,921,340 
Bed Bath & Beyond *(A)   20,895    123,490 
Booking Holdings   366    1,830,673 
Carvana, Cl A *   4,137    1,659,392 
Domino’s Pizza   4,664    1,913,779 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X E-commerce ETF

 

   Shares   Value 
COMMON STOCK — continued          
Consumer Discretionary — continued          
eBay   20,123   $1,835,620 
Etsy *   27,945    1,479,967 
Expedia Group   6,524    1,727,816 
GigaCloud Technology, Cl A *   6,817    272,203 
Groupon, Cl A *(A)   8,835    125,015 
Lands’ End *   9,507    168,844 
Williams-Sonoma   9,170    1,876,641 
         14,934,780 
Financials — 0.4%          
LendingTree *   3,188    180,632 
           
Industrials — 1.3%          
ACV Auctions, Cl A *   46,879    366,125 
Liquidity Services *   6,622    211,904 
         578,029 
Information Technology — 4.2%          
Commerce.Com *   35,715    111,431 
GoDaddy, Cl A *   17,570    1,766,136 
         1,877,567 
Real Estate — 4.1%          
CoStar Group *   29,749    1,829,564 
           
TOTAL UNITED STATES        19,964,710 
TOTAL COMMON STOCK
(Cost $47,735,214)
        44,991,340 
           
   Face Amount      
REPURCHASE AGREEMENTS(B) — 0.8%          
Citadel Securities LLC
3.710%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $249,077 (collateralized by various U.S. Treasury Obligations, ranging in par value $16 - $23,930, 0.000% - 4.500%, 02/15/2026 - 11/15/2055, with a total market value of $252,807)
  $249,000    249,000 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X E-commerce ETF

 

   Face Amount   Value 
REPURCHASE AGREEMENTS(B) — continued          
Citigroup Global Markets, Inc.
3.660%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $23,953 (collateralized by various U.S. Treasury Obligations, ranging in par value $23,651 - $23,651, 4.250% - 4.250%, 02/15/2028 - 02/15/2028, with a total market value of $23,966)
  $23,946   $23,946 
Nomura Securities International, Inc.
3.670%, dated 01/30/2026, to be repurchased on 02/02/2026, repurchase price $104,032 (collateralized by various U.S. Government Obligations, ranging in par value $96 - $20,610, 2.500% - 6.500%, 08/01/2035 - 01/01/2056, with a total market value of $105,642)
   104,000    104,000 
TOTAL REPURCHASE AGREEMENTS
(Cost $376,946)
        376,946 
TOTAL INVESTMENTS — 101.1%
(Cost $48,112,160)
       $45,368,286 

 

Percentages are based on Net Assets of $44,895,669.

 

* Non-income producing security.
(A) This security or a partial position of this security is on loan at January 31, 2026. The total market value of securities on loan at January 31, 2026 was $351,704.
(B) These securities were purchased with cash collateral held from securities on loan. The total value of such securities as of January 31, 2026 was $376,946. The total value of non-cash collateral held from securities on loan as of January 31, 2026 was $0.
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X E-commerce ETF

 

The following is a summary of the level of inputs used as of January 31, 2026, in valuing the Fund’s investments carried at value:

 

Investments in Securities  Level 1   Level 2   Level 3   Total 
Common Stock  $44,991,340   $   $   $44,991,340 
Repurchase Agreements       376,946        376,946 
Total Investments in Securities  $44,991,340   $376,946   $   $45,368,286 

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

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.

 
Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P Catholic Values Developed ex-U.S. ETF

 

   Shares   Value 
COMMON STOCK — 99.6%          
AUSTRALIA — 9.8%          
Communication Services — 0.1%          
REA Group   80   $10,635 
Telstra Group   6,361    21,746 
         32,381 
Consumer Discretionary — 0.6%          
Aristocrat Leisure   1,194    44,800 
Wesfarmers   2,196    128,242 
         173,042 
Consumer Staples — 0.4%          
Coles Group   3,889    57,976 
Woolworths Group   3,553    77,011 
         134,987 
Energy — 0.3%          
Santos   5,556    27,285 
Woodside Energy Group   3,265    58,028 
         85,313 
Financials — 2.9%          
ANZ Group Holdings   5,125    131,765 
Commonwealth Bank of Australia   2,863    299,567 
Insurance Australia Group   4,051    21,568 
Macquarie Group   609    90,523 
National Australia Bank   5,262    159,875 
QBE Insurance Group   2,587    35,775 
Suncorp Group   1,855    22,092 
Westpac Banking   5,875    159,773 
         920,938 
Health Care — 2.1%          
Cochlear   466    87,850 
CSL   3,437    436,821 
Pro Medicus   394    50,820 
Sigma Healthcare   41,055    88,872 
         664,363 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P Catholic Values Developed ex-U.S. ETF

 

   Shares   Value 
COMMON STOCK — continued          
Industrials — 0.5%          
Brambles   3,342   $52,444 
Computershare   1,333    30,546 
Transurban Group   7,638    74,643 
         157,633 
Information Technology — 0.1%          
WiseTech Global   370    15,034 
           
Materials — 2.4%          
BHP Group   8,915    315,830 
Fortescue   2,921    42,972 
Glencore PLC   16,780    114,959 
Northern Star Resources   2,514    50,969 
Rio Tinto   652    69,222 
Rio Tinto PLC   1,879    173,737 
         767,689 
Real Estate — 0.3%          
Goodman Group    3,512    75,606 
Scentre Group    8,923    25,504 
         101,110 
Utilities — 0.1%          
Origin Energy   3,055    25,254 
           
TOTAL AUSTRALIA        3,077,744 
AUSTRIA — 0.3%          
Energy — 0.0%          
OMV   254    15,124 
           
Financials — 0.3%          
Erste Group Bank   551    71,777 
Raiffeisen Bank International   218    11,069 
         82,846 
Industrials — 0.0%          
Strabag   41    4,268 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P Catholic Values Developed ex-U.S. ETF

 

   Shares   Value 
COMMON STOCK — continued          
Utilities — 0.0%          
Verbund   148   $10,907 
           
TOTAL AUSTRIA        113,145 
BELGIUM — 1.7%          
Consumer Staples — 0.7%          
Anheuser-Busch InBev   2,863    204,631 
           
Financials — 0.2%          
KBC Group   430    60,824 
           
Health Care — 0.8%          
UCB   856    260,085 
           
TOTAL BELGIUM        525,540 
BRAZIL — 0.0%          
Materials — 0.0%          
Yara International   289    13,343 
           
CHINA — 0.7%          
Consumer Discretionary — 0.5%          
Chow Tai Fook Jewellery Group   4,200    7,744 
Prosus   2,570    148,147 
         155,891 
Consumer Staples — 0.1%          
Budweiser Brewing APAC   4,700    4,634 
Wilmar International   7,812    20,869 
         25,503 
Financials — 0.1%          
BOC Hong Kong Holdings   6,200    32,740 
           
TOTAL CHINA        214,134 
DENMARK — 1.0%          
Financials — 0.2%          
Danske Bank   1,133    58,029 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P Catholic Values Developed ex-U.S. ETF

 

   Shares   Value 
COMMON STOCK — continued          
Health Care — 0.2%          
Coloplast, Cl B   851   $72,666 
           
Industrials — 0.5%          
DSV   482    135,834 
           
Materials — 0.1%          
Novonesis, Cl B   605    37,174 
           
TOTAL DENMARK        303,703 
FINLAND — 1.2%          
Consumer Discretionary — 0.0%          
Amer Sports *   312    11,428 
           
Financials — 0.5%          
Nordea Bank Abp   5,941    115,367 
Sampo, Cl A   4,300    48,086 
         163,453 
Industrials — 0.4%          
Kone, Cl B   956    68,944 
Wartsila Abp   1,191    48,457 
         117,401 
Information Technology — 0.2%          
Nokia   9,134    58,939 
           
Utilities — 0.1%          
Fortum   780    18,480 
           
TOTAL FINLAND        369,701 
FRANCE — 8.9%          
Consumer Discretionary — 1.6%          
Christian Dior   7    4,264 
Hermes International SCA   67    161,725 
LVMH Moet Hennessy Louis Vuitton   492    320,106 
         486,095 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P Catholic Values Developed ex-U.S. ETF

 

   Shares   Value 
COMMON STOCK — continued          
Consumer Staples — 1.4%          
Danone   1,875   $146,863 
L’Oreal   665    306,163 
         453,026 
Energy — 0.8%          
TotalEnergies   3,473    252,652 
           
Financials — 1.2%          
AXA   2,882    131,760 
BNP Paribas   1,726    187,265 
Credit Agricole   1,918    41,688 
         360,713 
Health Care — 2.0%          
EssilorLuxottica   2,070    635,101 
           
Industrials — 0.9%          
Compagnie De Saint   1,126    111,478 
Vinci   1,233    177,708 
         289,186 
Information Technology — 0.1%          
Dassault Systemes   1,148    31,712 
           
Materials — 0.6%          
Air Liquide   1,015    190,713 
           
Utilities — 0.3%          
Engie   3,120    93,164 
           
TOTAL FRANCE        2,792,362 
GERMANY — 8.9%          
Communication Services — 0.6%          
Deutsche Telekom   5,490    183,984 
           
Consumer Discretionary — 0.5%          
Bayerische Motoren Werke   510    53,040 
Mercedes-Benz Group   1,397    96,044 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P Catholic Values Developed ex-U.S. ETF

 

   Shares   Value 
COMMON STOCK — continued          
Consumer Discretionary — continued          
Volkswagen   57   $6,977 
         156,061 
Financials — 2.3%          
Allianz   660    291,927 
Commerzbank   1,698    70,075 
Deutsche Bank   3,347    132,593 
Deutsche Boerse   324    82,216 
Hannover Rueck   103    29,261 
Muenchener Rueckversicherungs-Gesellschaft in Muenchen   224    136,546 
         742,618 
Health Care — 0.3%          
Siemens Healthineers   2,087    104,700 
           
Industrials — 3.1%          
DHL Group   2,355    132,573 
Siemens   1,798    548,226 
Siemens Energy *   1,767    303,861 
         984,660 
Information Technology — 1.5%          
Infineon Technologies   2,285    113,111 
SAP   1,777    360,567 
         473,678 
Materials — 0.3%          
BASF   1,572    85,952 
           
Utilities — 0.3%          
E.ON   3,949    83,929 
           
TOTAL GERMANY        2,815,582 
HONG KONG — 2.0%          
Financials — 1.3%          
AIA Group   17,965    207,836 
Futu Holdings ADR *   104    16,907 
Hong Kong Exchanges & Clearing   2,014    111,458 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P Catholic Values Developed ex-U.S. ETF

 

   Shares   Value 
COMMON STOCK — continued          
Financials — continued          
Prudential PLC   4,395   $72,644 
         408,845 
Industrials — 0.2%          
MTR   3,800    16,826 
Techtronic Industries   3,383    46,133 
         62,959 
Real Estate — 0.2%          
CK Asset Holdings   3,500    20,544 
Henderson Land Development   2,550    10,161 
Sun Hung Kai Properties   2,540    40,882 
         71,587 
Utilities — 0.3%          
CK Infrastructure Holdings   1,250    10,284 
CLP Holdings   2,766    26,191 
Hong Kong & China Gas   19,510    18,412 
Power Assets Holdings   2,400    18,638 
         73,525 
TOTAL HONG KONG        616,916 
INDONESIA — 0.1%          
Industrials — 0.1%          
Jardine Matheson Holdings   495    36,021 
           
IRELAND — 0.2%          
Financials — 0.1%          
AIB Group PLC   3,659    41,135 
           
Industrials — 0.1%          
Kingspan Group PLC   373    32,615 
           
TOTAL IRELAND        73,750 
ISRAEL — 1.1%          
Communication Services — 0.0%          
Bezeq The Israeli Telecommunication   4,434    11,454 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P Catholic Values Developed ex-U.S. ETF

 

   Shares   Value 
COMMON STOCK — continued          
Consumer Discretionary — 0.0%          
Global-e Online *   222   $8,114 
           
Financials — 0.7%          
Bank Hapoalim   2,255    56,090 
Bank Leumi Le-Israel   2,549    61,638 
First International Bank of Israel   89    7,609 
Harel Insurance Investments & Financial Services   190    8,773 
Israel Discount Bank, Cl A   2,095    24,845 
Menora Mivtachim Holdings   36    4,654 
Mizrahi Tefahot Bank   262    20,635 
Phoenix Financial   392    19,154 
         203,398 
Information Technology — 0.3%          
Camtek *   50    7,737 
Check Point Software Technologies *   146    26,208 
Nice *   108    11,571 
Nova *   54    26,909 
Tower Semiconductor *   194    26,453 
Wix.com *   96    8,337 
         107,215 
Real Estate — 0.1%          
Azrieli Group   63    8,511 
Melisron   42    5,545 
         14,056 
TOTAL ISRAEL        344,237 
ITALY — 3.0%          
Consumer Discretionary — 0.2%          
Ferrari   237    79,171 
           
Energy — 0.2%          
Eni   3,567    73,099 
           
Financials — 1.8%          
Banca Monte dei Paschi di Siena   3,706    38,507 
Generali   1,810    74,051 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P Catholic Values Developed ex-U.S. ETF

 

   Shares   Value 
COMMON STOCK — continued          
Financials — continued          
Intesa Sanpaolo   26,218   $186,082 
Poste Italiane   767    20,257 
UniCredit   2,665    232,868 
         551,765 
Industrials — 0.3%          
Prysmian   727    86,877 
           
Utilities — 0.5%          
Enel   13,753    152,291 
           
TOTAL ITALY        943,203 
JAPAN — 26.1%          
Communication Services — 1.7%          
Capcom   584    14,901 
KDDI   4,454    75,258 
Konami Group   169    24,617 
LY   3,994    10,268 
Nexon   618    14,755 
Nintendo   1,843    120,131 
NTT   47,950    48,149 
SoftBank   46,098    62,456 
SoftBank Group   6,233    171,846 
         542,381 
Consumer Discretionary — 4.3%          
Aisin   1,041    18,649 
Asics   1,394    33,571 
Bandai Namco Holdings   1,214    31,558 
Bridgestone   2,268    51,238 
Denso   3,768    52,346 
Fast Retailing   412    157,044 
Honda Motor   7,825    78,879 
Isuzu Motors   1,050    16,915 
Nitori Holdings   834    14,354 
Oriental Land   2,371    41,646 
Pan Pacific International Holdings   5,135    30,488 
Panasonic Holdings   4,782    65,626 
Rakuten Group *   2,965    17,779 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P Catholic Values Developed ex-U.S. ETF

 

   Shares   Value 
COMMON STOCK — continued          
Consumer Discretionary — continued          
Ryohin Keikaku   1,122   $22,410 
Sanrio   380    11,713 
Sekisui House   1,234    27,502 
Shimano   158    18,057 
Subaru   1,092    23,552 
Sumitomo Electric Industries   1,571    68,478 
Suzuki Motor   3,773    51,522 
Toyota Motor   22,840    518,808 
         1,352,135 
Consumer Staples — 1.2%          
Aeon   8,097    111,015 
Asahi Group Holdings   4,371    45,691 
Kao   1,388    55,660 
Kirin Holdings   2,319    35,959 
Seven & i Holdings   6,964    99,815 
Suntory Beverage & Food   390    12,320 
Unicharm   3,715    22,623 
         383,083 
Energy — 0.2%          
ENEOS Holdings   4,613    38,830 
Inpex   1,621    36,180 
         75,010 
Financials — 4.6%          
Dai-ichi Life Holdings   6,304    55,271 
Daiwa Securities Group   2,365    23,051 
Japan Exchange Group   1,770    19,357 
Japan Post Bank   3,056    54,281 
Mitsubishi HC Capital   1,696    14,832 
Mitsubishi UFJ Financial Group   20,634    375,133 
Mizuho Financial Group   4,297    188,944 
MS&AD Insurance Group Holdings   2,250    57,351 
Nomura Holdings   5,028    46,056 
ORIX   2,013    61,254 
Resona Holdings   3,929    45,579 
SBI Holdings   890    20,101 
Sompo Holdings   1,593    54,897 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P Catholic Values Developed ex-U.S. ETF

 

   Shares   Value 
COMMON STOCK — continued          
Financials — continued          
Sumitomo Mitsui Financial Group   6,558   $232,629 
Sumitomo Mitsui Trust Group   1,243    41,240 
T&D Holdings   896    22,089 
Tokio Marine Holdings   3,274    121,549 
         1,433,614 
Health Care — 2.8%          
Hoya   2,441    409,365 
Kyowa Kirin   1,679    27,259 
Olympus   8,053    96,108 
Otsuka Holdings   3,615    216,558 
Shionogi   5,688    117,034 
         866,324 
Industrials — 6.2%          
Central Japan Railway   2,319    64,747 
East Japan Railway   2,766    69,805 
FANUC   2,304    93,633 
Fujikura   674    85,506 
IHI   2,599    60,114 
ITOCHU   17,200    219,767 
Kajima   1,129    46,109 
Kawasaki Kisen Kaisha   1,600    23,119 
Komatsu   2,304    88,555 
Kubota   2,526    38,800 
Marubeni   4,079    135,253 
Mitsubishi Electric   5,175    162,033 
Mitsui   7,109    232,036 
Mitsui OSK Lines   856    26,852 
NIDEC CORP   2,561    36,624 
Nippon Yusen   1,018    33,471 
Obayashi   1,606    36,303 
Recruit Holdings   3,831    201,161 
Secom   980    35,951 
SMC   148    57,709 
Sumitomo   2,989    121,083 
Toyota Industries   511    65,440 
         1,934,071 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P Catholic Values Developed ex-U.S. ETF

 

   Shares   Value 
COMMON STOCK — continued          
Information Technology — 3.6%          
Advantest   1,341   $221,718 
Canon   1,597    48,502 
Disco   165    70,798 
Fujitsu   3,013    83,655 
Keyence   348    127,325 
Kyocera   2,488    37,225 
Lasertec   152    35,857 
Murata Manufacturing   3,212    65,298 
NEC   2,343    79,133 
Nomura Research Institute   712    21,698 
Obic   573    15,961 
Oracle Japan   69    4,679 
Renesas Electronics   3,233    53,988 
TDK   3,396    43,611 
Tokyo Electron   825    220,931 
         1,130,379 
Materials — 0.7%          
Asahi Kasei   2,396    23,291 
Nippon Paint Holdings   1,882    12,499 
Nippon Sanso Holdings   392    11,913 
Nippon Steel   9,522    39,870 
Nitto Denko   1,158    25,718 
Shin-Etsu Chemical   3,518    116,970 
         230,261 
Real Estate — 0.6%          
Daiwa House Industry   1,088    37,099 
Mitsubishi Estate   2,157    55,093 
Mitsui Fudosan   4,770    54,654 
Sumitomo Realty & Development   1,628    45,328 
         192,174 
Utilities — 0.2%          
Osaka Gas   744    27,945 
Tokyo Gas   522    23,166 
         51,111 
TOTAL JAPAN        8,190,543 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P Catholic Values Developed ex-U.S. ETF

 

   Shares   Value 
COMMON STOCK — continued        
NETHERLANDS — 5.8%        
Communication Services — 0.1%        
Universal Music Group   1,679   $41,307 
           
Consumer Staples — 0.5%          
Heineken   801    66,075 
Koninklijke Ahold Delhaize   2,609    102,301 
         168,376 
Financials — 0.7%          
Adyen *   54    80,520 
ING Groep   4,860    143,502 
         224,022 
Health Care — 1.2%          
Argenx *   433    362,542 
           
Industrials — 0.2%          
Wolters Kluwer   570    53,489 
           
Information Technology — 3.1%          
ASML Holding   677    979,040 
           
TOTAL NETHERLANDS        1,828,776 
NEW ZEALAND — 0.5%          
Financials — 0.0%          
Infratil   1,708    11,446 
           
Health Care — 0.3%          
Fisher & Paykel Healthcare   4,177    98,305 
           
Industrials — 0.1%          
Auckland International Airport   4,157    20,769 
           
Information Technology — 0.1%          
Xero *   289    18,980 
           
Utilities — 0.0%          
Mercury NZ   1,293    4,951 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P Catholic Values Developed ex-U.S. ETF

 

   Shares   Value 
COMMON STOCK — continued        
Utilities — continued        
Meridian Energy   2,408   $8,229 
         13,180 
TOTAL NEW ZEALAND        162,680 
NORWAY — 0.8%          
Communication Services — 0.1%          
Telenor   1,006    16,978 
Vend Marketplaces, Cl B   298    8,264 
         25,242 
Consumer Staples — 0.2%          
Mowi   1,298    29,938 
Orkla   2,180    25,936 
         55,874 
Energy — 0.2%          
Aker BP   518    15,185 
Equinor   1,444    38,661 
Var Energi   1,655    6,012 
         59,858 
Financials — 0.1%          
DNB Bank   1,443    41,596 
Gjensidige Forsikring   316    9,013 
         50,609 
Industrials — 0.1%          
Kongsberg Gruppen   1,078    37,122 
           
Materials — 0.1%          
Norsk Hydro   2,279    20,494 
           
TOTAL NORWAY        249,199 
PORTUGAL — 0.2%          
Consumer Staples — 0.1%          
Jeronimo Martins   822    19,470 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P Catholic Values Developed ex-U.S. ETF

 

   Shares   Value 
COMMON STOCK — continued          
Energy — 0.0%          
Galp Energia   741   $14,748 
           
Utilities — 0.1%          
EDP   5,341    27,430 
           
TOTAL PORTUGAL        61,648 
SINGAPORE — 1.9%          
Communication Services — 0.1%          
Singapore Telecommunications   11,290    40,836 
           
Consumer Discretionary — 0.3%          
Sea ADR *   719    83,756 
           
Financials — 1.1%          
DBS Group Holdings   3,368    157,120 
Oversea-Chinese Banking   6,579    110,065 
United Overseas Bank   2,459    74,158 
         341,343 
Industrials — 0.2%          
Grab Holdings, Cl A *   7,001    30,104 
Singapore Airlines   3,463    17,329 
Singapore Technologies Engineering   3,728    28,790 
         76,223 
Information Technology — 0.1%          
STMicroelectronics   1,128    31,978 
           
Real Estate — 0.1%          
CapitaLand Integrated Commercial Trust    9,861    18,572 
           
TOTAL SINGAPORE        592,708 
SOUTH AFRICA — 0.3%          
Materials — 0.3%          
Anglo American PLC   2,076    97,087 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P Catholic Values Developed ex-U.S. ETF

 

   Shares   Value 
COMMON STOCK — continued          
SPAIN — 3.7%          
Consumer Discretionary — 0.6%          
Amadeus IT Group   872   $58,737 
Industria de Diseno Textil   2,172    142,116 
         200,853 
Financials — 2.1%          
Banco Bilbao Vizcaya Argentaria   9,861    251,634 
Banco Santander   25,468    326,614 
CaixaBank   6,572    87,214 
         665,462 
Industrials — 0.2%          
Aena SME   1,802    56,231 
           
Utilities — 0.8%          
Iberdrola   11,045    248,669 
           
TOTAL SPAIN        1,171,215 
SWEDEN — 4.0%          
Consumer Discretionary — 0.1%          
H & M Hennes & Mauritz, Cl B   923    18,596 
           
Consumer Staples — 0.2%          
Essity, Cl B   1,710    50,843 
           
Financials — 1.1%          
EQT   635    24,246 
Industrivarden, Cl A   228    11,462 
Industrivarden, Cl C   267    13,446 
Investor, Cl B   3,130    121,349 
L E Lundbergforetagen, Cl B   129    7,723 
Skandinaviska Enskilda Banken, Cl A   2,601    56,223 
Skandinaviska Enskilda Banken, Cl C   26    577 
Svenska Handelsbanken, Cl A   2,665    42,328 
Svenska Handelsbanken, Cl B   62    1,638 
Swedbank, Cl A   1,555    60,902 
         339,894 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P Catholic Values Developed ex-U.S. ETF

 

   Shares   Value 
COMMON STOCK — continued          
Industrials — 2.3%          
Alfa Laval   710   $41,498 
Assa Abloy, Cl B   2,433    98,917 
Atlas Copco, Cl A   6,176    128,198 
Atlas Copco, Cl B   3,828    69,254 
Epiroc, Cl A   1,536    43,327 
Epiroc, Cl B   957    24,022 
Investment Latour, Cl B   347    8,706 
Saab, Cl B   770    60,306 
Sandvik   2,615    103,894 
Volvo, Cl A   468    17,129 
Volvo, Cl B   3,897    142,633 
         737,884 
Information Technology — 0.3%          
Hexagon, Cl B   3,663    41,627 
Telefonaktiebolaget LM Ericsson, Cl B   5,115    55,852 
         97,479 
TOTAL SWEDEN        1,244,696 
SWITZERLAND — 3.6%          
Consumer Discretionary — 0.6%          
Cie Financiere Richemont, Cl A   1,037    201,394 
           
Financials — 1.4%          
UBS Group   5,202    245,830 
Zurich Insurance Group   251    178,948 
         424,778 
Industrials — 1.2%          
ABB   3,783    327,478 
Schindler Holding   51    18,842 
Schindler Holding   99    38,338 
         384,658 
Materials — 0.4%          
Givaudan   14    54,324 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P Catholic Values Developed ex-U.S. ETF

 

   Shares   Value 
COMMON STOCK — continued          
Materials — continued          
Sika   281   $54,116 
         108,440 
TOTAL SWITZERLAND        1,119,270 
UNITED KINGDOM — 7.9%          
Consumer Discretionary — 0.3%          
Compass Group PLC   3,284    98,557 
           
Consumer Staples — 2.3%          
Coca-Cola Europacific Partners PLC   606    55,570 
Diageo PLC   6,476    148,897 
Tesco PLC   18,801    109,700 
Unilever PLC   6,314    428,064 
         742,231 
Financials — 3.8%          
3i Group PLC   1,706    78,449 
Barclays PLC   23,935    159,691 
HSBC Holdings PLC   29,386    518,337 
Lloyds Banking Group PLC   101,383    151,574 
London Stock Exchange Group PLC   795    88,606 
NatWest Group PLC   13,780    125,787 
Standard Chartered PLC   3,201    81,790 
         1,204,234 
Industrials — 0.9%          
Ashtead Group PLC   1,030    66,247 
CK Hutchison Holdings   6,620    53,615 
RELX PLC   4,457    157,734 
         277,596 
Information Technology — 0.1%          
ARM Holdings PLC ADR *   240    25,286 
           
Utilities — 0.5%          
National Grid PLC   8,832    149,618 
           
TOTAL UNITED KINGDOM        2,497,522 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P Catholic Values Developed ex-U.S. ETF

 

   Shares   Value 
COMMON STOCK — continued          
UNITED STATES — 5.9%          
Communication Services — 0.4%          
Spotify Technology *   250   $125,088 
           
Consumer Discretionary — 0.1%          
Stellantis   3,922    38,661 
           
Energy — 1.7%          
BP PLC   26,903    171,224 
Shell PLC   9,859    378,001 
         549,225 
Financials — 0.3%          
Swiss Re   513    82,241 
           
Health Care — 0.9%          
Alcon   3,540    286,951 
           
Industrials — 1.9%          
AP Moller - Maersk, Cl A   6    14,787 
AP Moller - Maersk, Cl B   11    27,389 
Experian PLC   2,251    85,193 
Ferrovial   1,189    80,655 
Schneider Electric   1,323    381,359 
         589,383 
Information Technology — 0.2%          
CyberArk Software *   88    37,913 
JFrog *   178    9,755 
Monday.com *   75    8,606 
         56,274 
Materials — 0.4%          
Holcim   889    91,827 
James Hardie Industries PLC *   1,006    23,348 
         115,175 
TOTAL UNITED STATES        1,842,998 
TOTAL COMMON STOCK
(Cost $26,491,145)
        31,297,723 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P Catholic Values Developed ex-U.S. ETF

 

   Shares   Value 
PREFERRED STOCK — 0.2%          
GERMANY—0.2%          
Consumer Discretionary — 0.2%          
Bayerische Motoren Werke (A)   104   $10,814 
Dr Ing hc F Porsche (A)   211    10,344 
Volkswagen (A)   398    48,603 
TOTAL GERMANY        69,761 
TOTAL PREFERRED STOCK
(Cost $77,955)
        69,761 
TOTAL INVESTMENTS — 99.8%
(Cost $26,569,100)
       $31,367,484 

 

Percentages are based on Net Assets of $31,424,247.

 

* Non-income producing security.
Real Estate Investment Trust
(A) There is currently no stated interest rate.

 

As of January 31, 2026, 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.

 

See “Glossary” for abbreviations.

 

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.

 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X NASDAQ 100® Tail Risk ETF  

 

   Shares   Value 
COMMON STOCK — 99.2%          
BRAZIL — 0.6%          
Consumer Discretionary — 0.6%          
MercadoLibre *   8   $17,182 
           
CANADA — 1.1%          
Industrials — 0.3%          
Thomson Reuters   71    7,855 
           
Information Technology — 0.8%          
Shopify, Cl A *   197    25,852 
           
TOTAL CANADA        33,707 
CHINA — 0.3%          
Consumer Discretionary — 0.3%          
PDD Holdings ADR *   107    10,812 
           
NETHERLANDS — 0.9%          
Information Technology — 0.9%          
ASML Holding   14    19,922 
NXP Semiconductors   41    9,272 
           
TOTAL NETHERLANDS        29,194 
UNITED KINGDOM — 0.3%          
Consumer Staples — 0.2%          
Coca-Cola Europacific Partners PLC   75    6,877 
           
Information Technology — 0.1%          
ARM Holdings PLC ADR *   21    2,213 
           
TOTAL UNITED KINGDOM        9,090 
UNITED STATES — 96.0%          
Communication Services — 15.8%          
Alphabet, Cl A   340    114,920 
Alphabet, Cl C   316    106,975 
Charter Communications, Cl A *   21    4,329 
Comcast, Cl A   583    17,344 
Electronic Arts   41    8,361 
Meta Platforms, Cl A   171    122,521 
 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X NASDAQ 100® Tail Risk ETF  

 

   Shares   Value 
COMMON STOCK — continued          
Communication Services — continued          
Netflix *   682   $56,940 
Take-Two Interactive Software *   30    6,609 
T-Mobile US   180    35,498 
Warner Bros Discovery *   396    10,906 
         484,403 
Consumer Discretionary — 11.8%          
Airbnb, Cl A *   68    8,797 
Amazon.com *   625    149,563 
Booking Holdings   5    25,009 
DoorDash, Cl A *   66    13,505 
Marriott International, Cl A   43    13,558 
O’Reilly Automotive *   135    13,285 
Ross Stores   53    9,999 
Starbucks   182    16,735 
Tesla *   259    111,476 
         361,927 
Consumer Staples — 7.5%          
Costco Wholesale   71    66,758 
Keurig Dr Pepper   223    6,119 
Kraft Heinz   194    4,606 
Mondelez International, Cl A   207    12,103 
Monster Beverage *   157    12,679 
PepsiCo   220    33,799 
Walmart   788    93,882 
         229,946 
Energy — 0.5%          
Baker Hughes, Cl A   162    9,078 
Diamondback Energy   46    7,542 
         16,620 
Financials — 0.3%          
PayPal Holdings   154    8,114 
           
Health Care — 4.9%          
Alnylam Pharmaceuticals *   21    7,099 
Amgen   87    29,744 
 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X NASDAQ 100® Tail Risk ETF  

 

   Shares   Value 
COMMON STOCK — continued          
Health Care — continued          
Dexcom *   64   $4,675 
GE HealthCare Technologies   75    5,923 
Gilead Sciences   199    28,248 
IDEXX Laboratories *   12    8,045 
Insmed *   35    5,490 
Intuitive Surgical *   57    28,740 
Regeneron Pharmaceuticals   17    12,605 
Vertex Pharmaceuticals *   41    19,266 
         149,835 
Industrials — 3.9%          
Automatic Data Processing   65    16,043 
Axon Enterprise *   12    5,803 
Cintas   64    12,249 
Copart *   160    6,493 
CSX   298    11,252 
Fastenal   189    8,195 
Ferrovial   121    8,227 
Honeywell International   102    23,207 
Old Dominion Freight Line   34    5,889 
PACCAR   83    10,201 
Paychex   59    6,085 
Verisk Analytics, Cl A   23    5,002 
         118,646 
Information Technology — 48.7%          
Adobe *   67    19,648 
Advanced Micro Devices *   262    62,023 
Analog Devices   79    24,560 
Apple   863    223,931 
Applied Materials   128    41,257 
AppLovin, Cl A *   49    23,182 
Atlassian, Cl A *   28    3,309 
Autodesk *   33    8,345 
Broadcom   276    91,439 
Cadence Design Systems *   43    12,744 
Cisco Systems   637    49,890 
Cognizant Technology Solutions, Cl A   77    6,319 
CrowdStrike Holdings, Cl A *   40    17,656 
 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X NASDAQ 100® Tail Risk ETF  

 

   Shares   Value 
COMMON STOCK — continued          
Information Technology — continued          
Datadog, Cl A *   53   $6,854 
Fortinet *   119    9,670 
Intel *   768    35,689 
Intuit   44    21,953 
KLA   21    29,987 
Lam Research   202    47,159 
Marvell Technology   138    10,891 
Microchip Technology   89    6,757 
Micron Technology   181    75,093 
Microsoft   434    186,746 
Monolithic Power Systems   8    8,993 
NVIDIA   1,420    271,405 
Palantir Technologies, Cl A *   368    53,945 
Palo Alto Networks *   112    19,821 
QUALCOMM   172    26,073 
Roper Technologies   18    6,682 
Seagate Technology Holdings   34    13,861 
Strategy, Cl A *   44    6,587 
Synopsys *   30    13,953 
Texas Instruments   146    31,470 
Western Digital   55    13,763 
Workday, Cl A *   32    5,620 
Zscaler *   25    5,000 
         1,492,275 
Materials — 1.1%          
Linde PLC   76    34,730 
           
Real Estate — 0.1%          
CoStar Group *   70    4,305 
           
Utilities — 1.4%          
American Electric Power   86    10,301 
Constellation Energy   57    15,999 
Exelon   166    7,433 
 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X NASDAQ 100® Tail Risk ETF  

 

   Shares   Value 
COMMON STOCK — continued          
Utilities — continued          
Xcel Energy   98   $7,454 
         41,187 
TOTAL UNITED STATES        2,941,988 
TOTAL COMMON STOCK
(Cost $2,291,781)
        3,041,973 
           
PURCHASED OPTIONS — 0.6%
(Cost $32,755)
        18,118 
TOTAL INVESTMENTS — 99.8%
(Cost $2,324,536)
       $3,060,091 

 

Percentages are based on Net Assets of $3,065,755.

 

A list of exchange-traded option contracts held by the Fund at January 31, 2026, is as follows:

 

Description  Number of
Contracts
   Notional
Amount
   Exercise
Price
   Expiration
Date
   Value 
PURCHASED OPTIONS — 0.6%                     
Put Options                         
Nasdaq-100 Index   1   $2,555,239   $22,800.00    3/21/2026   $15,145 
Nasdaq-100 Micro Index   19    485,488    228.00    3/21/2026    2,973 
Total Purchased Options       $3,040,727             $18,118 

 

* Non-income producing security.

 

As of January 31, 2026, 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.

 

See “Glossary” for abbreviations.

 

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.

 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X NASDAQ 100® Collar 95-110 ETF  

 

   Shares   Value
COMMON STOCK(A) — 99.0%          
BRAZIL — 0.6%          
Consumer Discretionary — 0.6%          
MercadoLibre *   11   $23,626 
           
CANADA — 1.1%          
Industrials — 0.3%          
Thomson Reuters   93    10,289 
           
Information Technology — 0.8%          
Shopify, Cl A *   257    33,726 
           
TOTAL CANADA        44,015 
CHINA — 0.4%          
Consumer Discretionary — 0.4%          
PDD Holdings ADR *   140    14,147 
           
NETHERLANDS — 0.9%          
Information Technology — 0.9%          
ASML Holding   18    25,614 
NXP Semiconductors   53    11,985 
           
TOTAL NETHERLANDS        37,599 
UNITED KINGDOM — 0.3%          
Consumer Staples — 0.2%          
Coca-Cola Europacific Partners PLC   95    8,711 
           
Information Technology — 0.1%          
ARM Holdings PLC ADR *   30    3,161 
           
TOTAL UNITED KINGDOM        11,872 
UNITED STATES — 95.7%          
Communication Services — 15.8%          
Alphabet, Cl A   444    150,072 
Alphabet, Cl C   412    139,474 
Charter Communications, Cl A *   28    5,771 
Comcast, Cl A   761    22,640 
Electronic Arts   52    10,604 
Meta Platforms, Cl A   224    160,496 
 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X NASDAQ 100® Collar 95-110 ETF  

 

   Shares   Value
COMMON STOCK — continued          
Communication Services — continued          
Netflix *   891   $74,390 
Take-Two Interactive Software *   40    8,812 
T-Mobile US   235    46,344 
Warner Bros Discovery *   518    14,266 
         632,869 
Consumer Discretionary — 11.8%          
Airbnb, Cl A *   89    11,514 
Amazon.com *   815    195,029 
Booking Holdings   7    35,013 
DoorDash, Cl A *   85    17,393 
Marriott International, Cl A   56    17,657 
O’Reilly Automotive *   177    17,419 
Ross Stores   68    12,828 
Starbucks   238    21,884 
Tesla *   337    145,048 
         473,785 
Consumer Staples — 7.5%          
Costco Wholesale   93    87,443 
Keurig Dr Pepper   282    7,738 
Kraft Heinz   255    6,054 
Mondelez International, Cl A   270    15,787 
Monster Beverage *   204    16,475 
PepsiCo   287    44,092 
Walmart   1,029    122,595 
         300,184 
Energy — 0.5%          
Baker Hughes, Cl A   206    11,544 
Diamondback Energy   61    10,001 
         21,545 
Financials — 0.3%          
PayPal Holdings   195    10,275 
           
Health Care — 4.9%          
Alnylam Pharmaceuticals *   28    9,466 
Amgen   113    38,632 
 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X NASDAQ 100® Collar 95-110 ETF  

 

   Shares   Value
COMMON STOCK — continued          
Health Care — continued          
Dexcom *   80   $5,843 
GE HealthCare Technologies   95    7,502 
Gilead Sciences   260    36,907 
IDEXX Laboratories *   17    11,398 
Insmed *   45    7,059 
Intuitive Surgical *   74    37,312 
Regeneron Pharmaceuticals   22    16,312 
Vertex Pharmaceuticals *   53    24,905 
         195,336 
Industrials — 3.8%          
Automatic Data Processing   85    20,980 
Axon Enterprise *   17    8,221 
Cintas   84    16,077 
Copart *   201    8,156 
CSX   389    14,689 
Fastenal   239    10,363 
Ferrovial   153    10,402 
Honeywell International   133    30,260 
Old Dominion Freight Line   43    7,447 
PACCAR   110    13,520 
Paychex   75    7,735 
Verisk Analytics, Cl A   30    6,524 
         154,374 
Information Technology — 48.6%          
Adobe *   89    26,099 
Advanced Micro Devices *   342    80,962 
Analog Devices   103    32,021 
Apple   1,127    292,434 
Applied Materials   167    53,827 
AppLovin, Cl A *   65    30,752 
Atlassian, Cl A *   34    4,018 
Autodesk *   45    11,379 
Broadcom   360    119,268 
Cadence Design Systems *   58    17,189 
Cisco Systems   831    65,084 
Cognizant Technology Solutions, Cl A   103    8,452 
Crowdstrike Holdings, Cl A *   53    23,395 
 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X NASDAQ 100® Collar 95-110 ETF  

 

   Shares   Value
COMMON STOCK — continued          
Information Technology — continued          
Datadog, Cl A *   70   $9,052 
Fortinet *   155    12,595 
Intel *   1,002    46,563 
Intuit   58    28,937 
KLA   27    38,554 
Lam Research   264    61,633 
Marvell Technology   180    14,206 
Microchip Technology   116    8,807 
Micron Technology   237    98,327 
Microsoft   567    243,974 
Monolithic Power Systems   10    11,242 
NVIDIA   1,854    354,355 
Palantir Technologies, Cl A *   481    70,510 
Palo Alto Networks *   146    25,838 
QUALCOMM   225    34,108 
Roper Technologies   22    8,167 
Seagate Technology Holdings   45    18,346 
Strategy, Cl A *   56    8,384 
Synopsys *   39    18,140 
Texas Instruments   191    41,170 
Western Digital   73    18,267 
Workday, Cl A *   45    7,903 
Zscaler *   33    6,600 
         1,950,558 
Materials — 1.1%          
Linde PLC   98    44,783 
           
Real Estate — 0.1%          
CoStar Group *   87    5,350 
           
Utilities — 1.3%          
American Electric Power   112    13,415 
Constellation Energy   75    21,051 
Exelon   210    9,404 
 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X NASDAQ 100® Collar 95-110 ETF  

 

   Shares   Value
COMMON STOCK — continued          
Utilities — continued          
Xcel Energy   123   $9,355 
         53,225 
TOTAL UNITED STATES        3,842,284 
TOTAL COMMON STOCK
(Cost $3,441,852)
        3,973,543 
           
PURCHASED OPTIONS — 1.2%
(Cost $71,271)
        46,704 
TOTAL INVESTMENTS — 100.2%
(Cost $3,513,123)
       $4,020,247 
           
WRITTEN OPTIONS — (0.3)%
(Premiums Received $(26,981))
       $(10,532)

 

Percentages are based on Net Assets of $4,013,367.

 

A list of exchange-traded option contracts held by the Fund at January 31, 2026, is as follows:

 

Description  Number of
Contracts
   Notional
Amount
   Exercise
Price
   Expiration
Date
   Value
PURCHASED OPTIONS — 1.2%                     
Put Options                         
Nasdaq-100 Index   1   $2,555,239   $24,000.00    3/21/2026   $29,275 
Nasdaq-100 Micro Index   58    1,482,016    240.00    3/21/2026    17,429 
                          
Total Purchased Options       $4,037,255             $46,704 
WRITTEN OPTIONS — (0.3)%                     
Call Options                         
Nasdaq-100 Index   (1)  $(2,555,239)  $27,600.00    3/21/2026   $(6,320)
Nasdaq-100 Micro Index   (54)   (1,379,808)   275.00    3/21/2026    (4,212)
                          
Total Written Options       $(3,935,047)            $(10,532)

 

* Non-income producing security.
 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X NASDAQ 100® Collar 95-110 ETF  

 

(A) All or a portion of these securities have been segregated as collateral for options contracts.

 

The following is a summary of the level of inputs used as of January 31, 2026, in valuing the Fund’s investments and other financial instruments carried at value:

 

Investments in Securities  Level 1  Level 2     Level 3    Total 
Common Stock  $3,973,543   $   $   $3,973,543 
Purchased Options   46,704            46,704 
Total Investments in Securities  $4,020,247   $   $   $4,020,247 
                     
Other Financial Instruments   Level 1   Level 2    Level 3    Total 
Written Options  $(10,532)  $   $   $(10,532)
Total Other Financial Instruments  $(10,532)  $   $   $(10,532)

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

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.

 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X S&P 500® Tail Risk ETF  

 

   Shares   Value 
COMMON STOCK — 99.4%          
NETHERLANDS — 0.1%          
Information Technology — 0.1%          
NXP Semiconductors    11   $2,487 
           
SWITZERLAND — 0.1%          
Information Technology — 0.1%          
TE Connectivity PLC   13    2,896 
           
UNITED STATES — 99.2%          
Communication Services — 11.0%          
Alphabet, Cl A    262    88,556 
Alphabet, Cl C   209    70,753 
AT&T    319    8,361 
Charter Communications, Cl A *   3    618 
Comcast, Cl A   162    4,820 
Electronic Arts   10    2,039 
Fox, Cl A   9    655 
Fox, Cl B   7    459 
Live Nation Entertainment *   8    1,164 
Match Group    11    343 
Meta Platforms, Cl A   98    70,217 
Netflix *   190    15,863 
News, Cl A    19    514 
News, Cl B   7    218 
Omnicom Group   13    1,002 
Paramount Skydance Corp, Cl B   15    168 
Take-Two Interactive Software *   8    1,762 
TKO Group Holdings, Cl A    2    405 
T-Mobile US   21    4,141 
Trade Desk, Cl A *   19    576 
Verizon Communications    189    8,414 
Walt Disney   80    9,024 
Warner Bros Discovery *   111    3,057 
         293,129 
Consumer Discretionary — 10.3%          
Airbnb, Cl A *   19    2,458 
Amazon.com *   438    104,813 
APTIV PLC *   11    833 
 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X S&P 500® Tail Risk ETF  

 

   Shares   Value 
COMMON STOCK — continued          
Consumer Discretionary — continued          
AutoZone *   1   $3,704 
Best Buy    9    586 
Booking Holdings   1    5,002 
Carnival *   48    1,441 
Carvana, Cl A *   7    2,808 
Chipotle Mexican Grill, Cl A *   59    2,293 
Darden Restaurants    6    1,196 
Deckers Outdoor *   8    955 
Domino’s Pizza   1    410 
DoorDash, Cl A *   17    3,479 
DR Horton   12    1,786 
eBay    20    1,824 
Expedia Group   6    1,589 
Ford Motor   175    2,429 
Garmin   8    1,613 
General Motors   41    3,444 
Genuine Parts    7    973 
Hasbro    7    625 
Hilton Worldwide Holdings    10    2,985 
Home Depot    44    16,482 
Las Vegas Sands    13    686 
Lennar, Cl A    10    1,094 
Lowe’s   26    6,944 
Lululemon Athletica *   4    698 
Marriott International, Cl A   10    3,153 
McDonald’s    32    10,080 
MGM Resorts International *   10    335 
NIKE, Cl B   52    3,214 
Norwegian Cruise Line Holdings *   22    483 
O’Reilly Automotive *   38    3,740 
Pool    1    254 
PulteGroup    9    1,126 
Ralph Lauren, Cl A    1    353 
Ross Stores   14    2,641 
Royal Caribbean Cruises    11    3,571 
Starbucks    51    4,690 
Tapestry    10    1,269 
Tesla *   127    54,662 
TJX   50    7,491 
 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X S&P 500® Tail Risk ETF  

 

   Shares   Value 
COMMON STOCK — continued          
Consumer Discretionary — continued          
Tractor Supply   23   $1,170 
Ulta Beauty *   2    1,295 
Williams-Sonoma    6    1,228 
Wynn Resorts    3    322 
Yum! Brands    12    1,866 
         276,093 
Consumer Staples — 5.0%          
Altria Group    76    4,711 
Archer-Daniels-Midland   21    1,414 
Brown-Forman, Cl B   9    246 
Bunge Global    7    797 
Church & Dwight    10    963 
Clorox   6    677 
Coca-Cola    173    12,942 
Colgate-Palmolive    37    3,341 
Conagra Brands    20    370 
Constellation Brands, Cl A   7    1,097 
Costco Wholesale    20    18,805 
Dollar General    10    1,434 
Dollar Tree *   9    1,058 
Estee Lauder, Cl A    11    1,268 
General Mills   23    1,064 
Hershey   7    1,363 
Hormel Foods   12    295 
J M Smucker    4    420 
Kenvue   86    1,496 
Keurig Dr Pepper   61    1,674 
Kimberly-Clark    14    1,400 
Kraft Heinz   38    902 
Kroger   28    1,760 
Lamb Weston Holdings    9    413 
McCormick    12    742 
Molson Coors Beverage, Cl B   8    384 
Mondelez International, Cl A    58    3,391 
Monster Beverage *   31    2,504 
PepsiCo   61    9,371 
Philip Morris International   70    12,561 
Procter & Gamble    106    16,088 
 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X S&P 500® Tail Risk ETF  

 

   Shares   Value 
COMMON STOCK — continued          
Consumer Staples — continued          
Sysco    21   $1,761 
Target   20    2,109 
The Campbell’s Company   10    280 
Tyson Foods, Cl A   14    915 
Walmart    198    23,590 
         133,606 
Energy — 3.2%          
APA    21    555 
Baker Hughes, Cl A   43    2,410 
Chevron    86    15,213 
ConocoPhillips    56    5,837 
Coterra Energy    37    1,067 
Devon Energy   28    1,126 
Diamondback Energy   9    1,476 
EOG Resources    23    2,579 
EQT   28    1,616 
Expand Energy    11    1,237 
Exxon Mobil    190    26,866 
Halliburton    38    1,274 
Kinder Morgan    88    2,683 
Marathon Petroleum   13    2,290 
Occidental Petroleum    31    1,407 
ONEOK    28    2,217 
Phillips 66    18    2,584 
SLB    67    3,241 
Targa Resources   10    2,010 
Texas Pacific Land   2    697 
Valero Energy   13    2,359 
Williams   54    3,632 
         84,376 
Financials — 12.7%          
Aflac   21    2,330 
Allstate   11    2,189 
American Express   23    8,100 
American International Group    23    1,722 
Ameriprise Financial   3    1,582 
Aon PLC, Cl A    10    3,496 
 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X S&P 500® Tail Risk ETF  

 

   Shares   Value 
COMMON STOCK — continued          
Financials — continued          
Apollo Global Management   21   $2,825 
Arch Capital Group *   17    1,633 
Ares Management, Cl A    9    1,347 
Arthur J Gallagher    11    2,743 
Assurant   2    476 
Bank of America   302    16,066 
Bank of New York Mellon   31    3,718 
Berkshire Hathaway, Cl B *   82    39,403 
Blackrock   7    7,833 
Blackstone   32    4,557 
Block, Cl A *   23    1,390 
Brown & Brown    13    937 
Capital One Financial   29    6,349 
CBOE Global Markets    4    1,060 
Charles Schwab    76    7,898 
Chubb    17    5,263 
Cincinnati Financial    7    1,126 
Citigroup   80    9,257 
Citizens Financial Group    19    1,197 
CME Group, Cl A    17    4,914 
Coinbase Global, Cl A *   10    1,947 
Corpay *   2    629 
Erie Indemnity, Cl A   1    283 
Everest Group   1    331 
FactSet Research Systems    1    254 
Fidelity National Information Services    22    1,216 
Fifth Third Bancorp    29    1,456 
Fiserv *   23    1,466 
Franklin Resources    14    373 
Global Payments   10    717 
Globe Life   3    421 
Goldman Sachs Group    13    12,160 
Hartford Financial Services Group    12    1,621 
Huntington Bancshares   75    1,311 
Interactive Brokers Group, Cl A   20    1,498 
Intercontinental Exchange    26    4,518 
Invesco   23    628 
Jack Henry & Associates    3    538 
JPMorgan Chase    122    37,319 
 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X S&P 500® Tail Risk ETF  

 

   Shares   Value 
COMMON STOCK — continued          
Financials — continued          
KeyCorp    40   $861 
KKR    31    3,542 
Loews    9    950 
M&T Bank   7    1,551 
Marsh & McLennan   22    4,140 
Mastercard, Cl A   38    20,474 
MetLife   24    1,893 
Moody’s    7    3,609 
Morgan Stanley    53    9,688 
MSCI, Cl A    3    1,828 
Nasdaq   21    2,035 
Northern Trust    9    1,345 
PayPal Holdings    41    2,160 
PNC Financial Services Group   18    4,019 
Principal Financial Group   9    852 
Progressive   27    5,616 
Prudential Financial    16    1,778 
Raymond James Financial    8    1,327 
Regions Financial    39    1,112 
Robinhood Markets, Cl A *   36    3,581 
S&P Global    13    6,861 
State Street    12    1,570 
Synchrony Financial    17    1,235 
T Rowe Price Group   10    1,057 
Travelers    10    2,845 
Truist Financial   58    2,982 
US Bancorp   70    3,928 
Visa, Cl A   77    24,781 
W R Berkley   13    892 
Wells Fargo    141    12,759 
Willis Towers Watson PLC    3    952 
         340,320 
Health Care — 9.5%          
Abbott Laboratories    78    8,525 
AbbVie   80    17,841 
Agilent Technologies   12    1,606 
Align Technology *   3    489 
Amgen    23    7,863 
 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X S&P 500® Tail Risk ETF  

 

   Shares   Value 
COMMON STOCK — continued          
Health Care — continued          
Baxter International   28   $562 
Becton Dickinson   12    2,442 
Biogen *   7    1,259 
Bio-Techne   7    449 
Boston Scientific *   67    6,267 
Bristol-Myers Squibb   91    5,010 
Cardinal Health   10    2,149 
Cencora   9    3,233 
Centene *   20    866 
Charles River Laboratories International *   2    421 
Cigna Group   12    3,289 
Cooper *   10    814 
CVS Health    57    4,248 
Danaher   29    6,348 
DaVita *   2    219 
Dexcom *   18    1,315 
Edwards Lifesciences *   27    2,197 
Elevance Health   10    3,457 
Eli Lilly   37    38,375 
GE HealthCare Technologies   20    1,579 
Gilead Sciences   57    8,091 
HCA Healthcare   8    3,906 
Henry Schein *   4    302 
Hologic *   11    824 
Humana   6    1,171 
IDEXX Laboratories *   3    2,011 
Incyte *   8    801 
Insulet *   2    512 
Intuitive Surgical *   17    8,572 
IQVIA Holdings *   8    1,841 
Johnson & Johnson   109    24,770 
Labcorp Holdings   3    815 
McKesson   6    4,987 
Medtronic PLC   58    5,972 
Merck   111    12,240 
Mettler-Toledo International *   1    1,373 
Moderna *   18    793 
Molina Healthcare *   2    359 
Pfizer   256    6,769 
 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X S&P 500® Tail Risk ETF  

 

   Shares   Value 
COMMON STOCK — continued          
Health Care — continued          
Quest Diagnostics    6   $1,122 
Regeneron Pharmaceuticals    4    2,966 
ResMed   7    1,808 
Revvity    6    653 
Solventum *   8    616 
STERIS PLC    3    788 
Stryker    16    5,913 
Thermo Fisher Scientific   17    9,836 
UnitedHealth Group   41    11,764 
Universal Health Services, Cl B   2    403 
Vertex Pharmaceuticals *   11    5,169 
Viatris    50    654 
Waters *   2    741 
West Pharmaceutical Services   3    693 
Zimmer Biomet Holdings   10    871 
Zoetis, Cl A    20    2,496 
         253,425 
Industrials — 8.5%          
3M   23    3,523 
A O Smith    7    514 
Allegion PLC    3    496 
AMETEK   10    2,240 
Automatic Data Processing   18    4,443 
Axon Enterprise *   3    1,451 
Boeing *   36    8,414 
Broadridge Financial Solutions    6    1,183 
Builders FirstSource *   5    572 
Carrier Global   36    2,145 
Caterpillar    21    13,805 
CH Robinson Worldwide   6    1,170 
Cintas   16    3,062 
Comfort Systems USA    1    1,142 
Copart *   40    1,623 
CSX   83    3,134 
Cummins   7    4,052 
Dayforce *   7    485 
Deere    11    5,808 
Delta Air Lines    29    1,911 
 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X S&P 500® Tail Risk ETF  

 

   Shares   Value 
COMMON STOCK — continued          
Industrials — continued          
Dover   7   $1,410 
Eaton PLC   18    6,326 
EMCOR Group   2    1,441 
Emerson Electric   26    3,821 
Equifax    6    1,208 
Expeditors International of Washington    7    1,124 
Fastenal   51    2,211 
FedEx    10    3,222 
Fortive    13    686 
GE Aerospace   48    14,726 
GE Vernova   12    8,716 
Generac Holdings *   2    336 
General Dynamics   11    3,862 
Honeywell International    29    6,598 
Howmet Aerospace    18    3,745 
Hubbell, Cl B    2    976 
Huntington Ingalls Industries   1    420 
IDEX    3    596 
Illinois Tool Works   11    2,874 
Ingersoll Rand    17    1,463 
Jacobs Solutions    7    947 
JB Hunt Transport Services    3    608 
Johnson Controls International PLC   28    3,339 
L3Harris Technologies    9    3,086 
Leidos Holdings   6    1,130 
Lennox International    1    495 
Lockheed Martin   9    5,708 
Masco    10    661 
Nordson    2    549 
Norfolk Southern    10    2,912 
Northrop Grumman   7    4,846 
Old Dominion Freight Line    8    1,386 
Otis Worldwide   18    1,538 
PACCAR   23    2,827 
Parker-Hannifin   7    6,551 
Paychex   13    1,341 
Paycom Software   2    269 
Pentair PLC   8    843 
Quanta Services   7    3,322 
 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X S&P 500® Tail Risk ETF  

 

   Shares   Value 
COMMON STOCK — continued          
Industrials — continued          
Republic Services, Cl A   9   $1,936 
Rockwell Automation   6    2,530 
Rollins    14    887 
RTX   60    12,056 
Snap-On   2    732 
Southwest Airlines    22    1,045 
Stanley Black & Decker    7    551 
Textron   9    792 
Trane Technologies PLC    10    4,206 
TransDigm Group    2    2,855 
Uber Technologies *   93    7,445 
Union Pacific   27    6,348 
United Airlines Holdings *   13    1,330 
United Parcel Service, Cl B    32    3,399 
United Rentals    2    1,564 
Veralto    11    1,089 
Verisk Analytics, Cl A    7    1,522 
Wabtec    8    1,841 
Waste Management   17    3,778 
WW Grainger    2    2,160 
Xylem   11    1,517 
         228,875 
Information Technology — 33.1%          
Accenture PLC, Cl A   28    7,382 
Adobe *   19    5,572 
Advanced Micro Devices *   73    17,281 
Akamai Technologies *   8    777 
Amphenol, Cl A   56    8,068 
Analog Devices    22    6,839 
Apple   666    172,814 
Applied Materials    37    11,926 
AppLovin, Cl A *   12    5,677 
Arista Networks *   47    6,662 
Autodesk *   10    2,529 
Broadcom   212    70,236 
Cadence Design Systems *   12    3,556 
CDW    7    885 
Cisco Systems    178    13,941 
 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X S&P 500® Tail Risk ETF  

 

   Shares   Value 
COMMON STOCK — continued          
Information Technology — continued          
Cognizant Technology Solutions, Cl A    21   $1,723 
Corning   36    3,717 
CrowdStrike Holdings, Cl A *   11    4,855 
Datadog, Cl A *   14    1,810 
Dell Technologies, Cl C   13    1,488 
EPAM Systems *   2    417 
F5 *   2    551 
Fair Isaac *   1    1,463 
First Solar *   4    902 
Fortinet *   29    2,357 
Gartner *   3    629 
Gen Digital   29    696 
GoDaddy, Cl A *   7    704 
Hewlett Packard Enterprise   59    1,270 
HP    41    797 
Intel *   201    9,340 
International Business Machines   42    12,881 
Intuit   12    5,987 
Jabil    4    949 
Keysight Technologies *   8    1,731 
KLA   7    9,996 
Lam Research   57    13,307 
Microchip Technology    23    1,746 
Micron Technology   50    20,744 
Microsoft    334    143,717 
Monolithic Power Systems    2    2,248 
Motorola Solutions    8    3,220 
NetApp    10    963 
NVIDIA    1,093    208,905 
ON Semiconductor *   18    1,078 
Oracle    76    12,508 
Palantir Technologies, Cl A *   102    14,952 
Palo Alto Networks *   31    5,486 
PTC *   6    937 
QNITY Electronics    9    866 
QUALCOMM    48    7,276 
Roper Technologies   4    1,485 
Salesforce   42    8,916 
SANDISK *   7    4,034 
 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X S&P 500® Tail Risk ETF  

 

   Shares   Value 
COMMON STOCK — continued          
Information Technology — continued          
Seagate Technology Holdings   10   $4,077 
ServiceNow *   47    5,499 
Skyworks Solutions    8    446 
Super Micro Computer *   25    728 
Synopsys *   9    4,186 
Teledyne Technologies *   2    1,241 
Teradyne    8    1,928 
Texas Instruments    41    8,838 
Trimble *   11    744 
Tyler Technologies *   2    739 
VeriSign    3    733 
Western Digital   16    4,004 
Workday, Cl A *   10    1,756 
Zebra Technologies, Cl A *   2    470 
         886,185 
Materials — 1.9%          
Air Products & Chemicals    10    2,725 
Albemarle    6    1,024 
Amcor PLC    18    797 
Avery Dennison    3    557 
Ball   13    739 
CF Industries Holdings   7    653 
Corteva    30    2,184 
CRH PLC   30    3,672 
Dow   35    964 
DuPont de Nemours   19    834 
Ecolab   11    3,102 
Freeport-McMoRan    63    3,794 
International Flavors & Fragrances    12    838 
International Paper   25    1,008 
Linde PLC   21    9,596 
LyondellBasell Industries, Cl A   12    588 
Martin Marietta Materials   2    1,304 
Mosaic    15    413 
Newmont    49    5,505 
Nucor   10    1,777 
Packaging Corp of America    3    668 
PPG Industries   11    1,272 
 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X S&P 500® Tail Risk ETF  

 

   Shares   Value 
COMMON STOCK — continued          
Materials — continued          
Sherwin-Williams    10   $3,546 
Smurfit WestRock PLC   25    1,041 
Steel Dynamics   7    1,257 
Vulcan Materials   7    2,104 
         51,962 
Real Estate — 1.8%          
Alexandria Real Estate Equities    7    382 
American Tower    21    3,765 
AvalonBay Communities    7    1,244 
BXP    7    453 
Camden Property Trust    4    436 
CBRE Group, Cl A *   12    2,044 
CoStar Group *   19    1,168 
Crown Castle    19    1,649 
Digital Realty Trust    13    2,157 
Equinix    4    3,284 
Equity Residential    16    997 
Essex Property Trust    2    504 
Extra Space Storage    9    1,242 
Federal Realty Investment Trust    3    303 
Healthpeak Properties    30    517 
Host Hotels & Resorts    32    593 
Invitation Homes    30    802 
Iron Mountain    12    1,106 
Kimco Realty    29    611 
Mid-America Apartment Communities    6    806 
ProLogis    41    5,353 
Public Storage    8    2,210 
Realty Income    41    2,508 
Regency Centers    8    583 
SBA Communications, Cl A    4    736 
Simon Property Group    14    2,678 
UDR    14    520 
Ventas    22    1,709 
VICI Properties, Cl A    48    1,348 
Welltower    31    5,839 
Weyerhaeuser    31    799 
         48,346 
 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X S&P 500® Tail Risk ETF  

 

   Shares   Value 
COMMON STOCK — continued          
Utilities — 2.2%          
AES    36   $527 
Alliant Energy    12    791 
Ameren    12    1,239 
American Electric Power   23    2,755 
American Water Works   9    1,162 
Atmos Energy   8    1,331 
CenterPoint Energy   29    1,151 
CMS Energy   14    1,001 
Consolidated Edison    17    1,813 
Constellation Energy   13    3,649 
Dominion Energy   38    2,286 
DTE Energy    9    1,209 
Duke Energy   36    4,369 
Edison International    19    1,183 
Entergy    20    1,918 
Evergy    10    767 
Eversource Energy   19    1,313 
Exelon   46    2,060 
FirstEnergy   22    1,042 
NextEra Energy    93    8,175 
NiSource    23    1,019 
NRG Energy   9    1,374 
PG&E    98    1,511 
Pinnacle West Capital   6    561 
PPL   32    1,160 
Public Service Enterprise Group    22    1,812 
Sempra   29    2,523 
Southern   49    4,376 
Vistra    13    2,059 
WEC Energy Group    14    1,549 
Xcel Energy   27    2,054 
         59,739 
TOTAL UNITED STATES        2,656,056 
TOTAL COMMON STOCK
(Cost $1,921,721)
        2,661,439 
 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X S&P 500® Tail Risk ETF  

 

   Value 
PURCHASED OPTIONS — 0.4%
(Cost $16,429)
  $8,845 
TOTAL INVESTMENTS — 99.8%
(Cost $1,938,150)
  $2,670,284 

 

Percentages are based on Net Assets of $2,676,952.

 

A list of exchange-traded option contracts held by the Fund at January 31, 2026, is as follows:

 

Description  Number of
Contracts
  Notional
Amount
   Exercise
Price
   Expiration
Date
  Value 
PURCHASED OPTIONS — 0.4%                     
Put Options                     
Mini-SPX Index  8  $555,120   $615.00   3/21/2026  $1,960 
S&P 500 Index  3   2,081,709    6,140.00   3/21/2026   6,885 
                      
Total Purchased Options     $2,636,829           $8,845 

 

* Non-income producing security.
Real Estate Investment Trust

 

As of January 31, 2026, 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.

 

See “Glossary” for abbreviations.

 

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.

 
Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P 500® Collar 95-110 ETF

 

   Shares   Value
COMMON STOCK — 99.3%          
NETHERLANDS — 0.1%          
Information Technology — 0.1%          
NXP Semiconductors (A)   14   $3,166 
           
SWITZERLAND — 0.1%          
Information Technology — 0.1%          
TE Connectivity PLC (A)   16    3,564 
           
UNITED STATES — 99.1%          
Communication Services — 10.9%          
Alphabet, Cl A (A)   319    107,822 
Alphabet, Cl C (A)   255    86,325 
AT&T (A)   388    10,169 
Charter Communications, Cl A *(A)   5    1,031 
Comcast, Cl A (A)   199    5,920 
Electronic Arts (A)   12    2,447 
Fox, Cl A (A)   11    801 
Fox, Cl B (A)   3    197 
Live Nation Entertainment *(A)   9    1,309 
Match Group (A)   12    374 
Meta Platforms, Cl A (A)   119    85,263 
Netflix *(A)   232    19,370 
News, Cl A (A)   20    541 
News, Cl B (A)   6    187 
Omnicom Group (A)   18    1,387 
Paramount Skydance Corp, Cl B   17    190 
Take-Two Interactive Software *(A)   9    1,983 
TKO Group Holdings, Cl A (A)   4    810 
T-Mobile US (A)   26    5,127 
Trade Desk, Cl A *(A)   24    728 
Verizon Communications (A)   231    10,284 
Walt Disney (A)   98    11,054 
Warner Bros Discovery *(A)   135    3,718 
         357,037 
Consumer Discretionary — 10.4%          
Airbnb, Cl A *(A)   25    3,234 
Amazon.com *(A)   533    127,547 
APTIV PLC *(A)   14    1,060 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P 500® Collar 95-110 ETF

 

   Shares   Value
COMMON STOCK — continued          
Consumer Discretionary — continued          
AutoZone *(A)   1   $3,704 
Best Buy (A)   12    781 
Booking Holdings (A)   2    10,004 
Carnival *(A)   59    1,771 
Carvana, Cl A *(A)   8    3,209 
Chipotle Mexican Grill, Cl A *(A)   72    2,799 
Darden Restaurants (A)   6    1,196 
Deckers Outdoor *(A)   9    1,074 
Domino’s Pizza (A)   2    821 
DoorDash, Cl A *(A)   21    4,297 
DR Horton (A)   15    2,233 
eBay (A)   25    2,280 
Expedia Group (A)   6    1,589 
Ford Motor (A)   213    2,956 
Garmin (A)   9    1,815 
General Motors (A)   51    4,284 
Genuine Parts (A)   8    1,112 
Hasbro (A)   3    268 
Hilton Worldwide Holdings (A)   13    3,881 
Home Depot (A)   55    20,602 
Las Vegas Sands (A)   16    844 
Lennar, Cl A (A)   12    1,312 
Lowe’s (A)   31    8,279 
Lululemon Athletica *(A)   6    1,047 
Marriott International, Cl A (A)   12    3,784 
McDonald’s (A)   39    12,285 
MGM Resorts International *(A)   11    369 
NIKE, Cl B (A)   65    4,018 
Norwegian Cruise Line Holdings *(A)   24    527 
O’Reilly Automotive *(A)   46    4,527 
Pool (A)   2    508 
PulteGroup (A)   11    1,376 
Ralph Lauren, Cl A (A)   2    707 
Ross Stores (A)   18    3,396 
Royal Caribbean Cruises (A)   14    4,545 
Starbucks (A)   62    5,701 
Tapestry (A)   11    1,396 
Tesla *(A)   154    66,283 
TJX (A)   61    9,138 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P 500® Collar 95-110 ETF

 

   Shares   Value
COMMON STOCK — continued          
Consumer Discretionary — continued          
Tractor Supply (A)   29   $1,475 
Ulta Beauty *(A)   2    1,295 
Williams-Sonoma (A)   7    1,433 
Wynn Resorts (A)   4    430 
Yum! Brands (A)   15    2,332 
         339,524 
Consumer Staples — 4.9%          
Altria Group (A)   92    5,703 
Archer-Daniels-Midland (A)   23    1,548 
Brown-Forman, Cl B (A)   9    246 
Bunge Global (A)   7    797 
Church & Dwight (A)   13    1,251 
Clorox (A)   7    789 
Coca-Cola (A)   212    15,860 
Colgate-Palmolive (A)   44    3,973 
Conagra Brands (A)   25    463 
Constellation Brands, Cl A (A)   8    1,254 
Costco Wholesale (A)   24    22,566 
Dollar General (A)   13    1,865 
Dollar Tree *(A)   10    1,176 
Estee Lauder, Cl A (A)   13    1,499 
General Mills (A)   29    1,341 
Hershey (A)   8    1,558 
Hormel Foods (A)   15    369 
J M Smucker (A)   6    629 
Kenvue (A)   104    1,810 
Keurig Dr Pepper (A)   74    2,030 
Kimberly-Clark (A)   18    1,800 
Kraft Heinz (A)   46    1,092 
Kroger (A)   33    2,074 
Lamb Weston Holdings (A)   7    321 
McCormick (A)   14    866 
Molson Coors Beverage, Cl B (A)   9    432 
Mondelez International, Cl A (A)   70    4,093 
Monster Beverage *(A)   39    3,150 
PepsiCo (A)   75    11,522 
Philip Morris International (A)   85    15,252 
Procter & Gamble (A)   128    19,427 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P 500® Collar 95-110 ETF

 

   Shares   Value
COMMON STOCK — continued          
Consumer Staples — continued          
Sysco (A)   26   $2,180 
Target (A)   25    2,637 
The Campbell’s Company (A)   10    280 
Tyson Foods, Cl A (A)   16    1,045 
Walmart (A)   240    28,594 
         161,492 
Energy — 3.2%          
APA (A)   19    502 
Baker Hughes, Cl A (A)   54    3,026 
Chevron (A)   104    18,398 
ConocoPhillips (A)   68    7,088 
Coterra Energy (A)   41    1,183 
Devon Energy (A)   34    1,367 
Diamondback Energy (A)   10    1,640 
EOG Resources (A)   30    3,364 
EQT (A)   34    1,963 
Expand Energy (A)   13    1,461 
Exxon Mobil (A)   231    32,663 
Halliburton (A)   46    1,542 
Kinder Morgan (A)   107    3,262 
Marathon Petroleum (A)   16    2,819 
Occidental Petroleum (A)   39    1,770 
ONEOK (A)   34    2,693 
Phillips 66 (A)   22    3,158 
SLB (A)   83    4,016 
Targa Resources (A)   12    2,412 
Texas Pacific Land (A)    3    1,045 
Valero Energy (A)   17    3,084 
Williams (A)   67    4,506 
         102,962 
Financials — 12.8%          
Aflac (A)    30    3,328 
Allstate (A)   14    2,786 
American Express (A)   29    10,213 
American International Group (A)   34    2,546 
Ameriprise Financial (A)   6    3,163 
Aon PLC, Cl A (A)   13    4,545 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P 500® Collar 95-110 ETF

 

   Shares   Value
COMMON STOCK — continued          
Financials — continued          
Apollo Global Management (A)   25   $3,363 
Arch Capital Group *(A)   24    2,305 
Ares Management, Cl A    13    1,946 
Arthur J Gallagher (A)   14    3,491 
Assurant (A)   3    714 
Bank of America (A)   368    19,578 
Bank of New York Mellon (A)   38    4,557 
Berkshire Hathaway, Cl B *(A)   100    48,053 
Blackrock (A)   8    8,951 
Blackstone (A)   40    5,697 
Block, Cl A *(A)   30    1,813 
Brown & Brown (A)   16    1,154 
Capital One Financial (A)   35    7,663 
CBOE Global Markets (A)   6    1,590 
Charles Schwab (A)   91    9,457 
Chubb (A)   20    6,191 
Cincinnati Financial (A)   8    1,287 
Citigroup (A)   98    11,340 
Citizens Financial Group (A)   23    1,449 
CME Group, Cl A (A)   20    5,781 
Coinbase Global, Cl A *(A)   12    2,337 
Corpay *(A)   4    1,258 
Erie Indemnity, Cl A (A)   1    283 
Everest Group (A)   2    663 
FactSet Research Systems (A)   2    509 
Fidelity National Information Services (A)   28    1,547 
Fifth Third Bancorp (A)   36    1,808 
Fiserv *(A)   29    1,848 
Franklin Resources (A)   16    426 
Global Payments (A)   13    933 
Globe Life (A)   4    561 
Goldman Sachs Group (A)   16    14,967 
Hartford Financial Services Group (A)   15    2,026 
Huntington Bancshares (A)   85    1,486 
Interactive Brokers Group, Cl A (A)   24    1,797 
Intercontinental Exchange (A)   31    5,387 
Invesco (A)   24    655 
Jack Henry & Associates (A)   4    717 
JPMorgan Chase (A)   149    45,578 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P 500® Collar 95-110 ETF

 

   Shares   Value
COMMON STOCK — continued          
Financials — continued          
KeyCorp (A)   50   $1,076 
KKR (A)   37    4,228 
Loews (A)   9    950 
M&T Bank (A)   8    1,773 
Marsh & McLennan (A)   27    5,081 
Mastercard, Cl A (A)   45    24,246 
MetLife (A)   30    2,366 
Moody’s (A)   8    4,124 
Morgan Stanley (A)   66    12,065 
MSCI, Cl A (A)   4    2,437 
Nasdaq (A)   25    2,422 
Northern Trust (A)   11    1,644 
PayPal Holdings (A)   51    2,687 
PNC Financial Services Group (A)   21    4,689 
Principal Financial Group (A)   11    1,042 
Progressive (A)   32    6,656 
Prudential Financial (A)   19    2,111 
Raymond James Financial (A)   10    1,659 
Regions Financial (A)   47    1,339 
Robinhood Markets, Cl A *(A)   43    4,278 
S&P Global (A)   17    8,972 
State Street (A)   15    1,963 
Synchrony Financial (A)   20    1,453 
T Rowe Price Group (A)   12    1,268 
Travelers (A)   12    3,414 
Truist Financial (A)   70    3,599 
US Bancorp (A)   85    4,769 
Visa, Cl A (A)   92    29,608 
W R Berkley (A)   16    1,097 
Wells Fargo (A)   172    15,564 
Willis Towers Watson PLC (A)   5    1,587 
         417,914 
Health Care — 9.4%          
Abbott Laboratories (A)   95    10,383 
AbbVie (A)   97    21,632 
Agilent Technologies (A)   17    2,275 
Align Technology *(A)   5    815 
Amgen (A)   29    9,914 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P 500® Collar 95-110 ETF

 

   Shares   Value
COMMON STOCK — continued          
Health Care — continued          
Baxter International (A)   27   $542 
Becton Dickinson (A)   16    3,256 
Biogen *(A)   8    1,439 
Bio-Techne (A)   8    513 
Boston Scientific *(A)    81    7,576 
Bristol-Myers Squibb (A)   111    6,111 
Cardinal Health (A)   13    2,793 
Cencora (A)   11    3,951 
Centene *(A)   26    1,126 
Charles River Laboratories International *(A)   2    421 
Cigna Group (A)   15    4,112 
Cooper *(A)   12    977 
CVS Health (A)   69    5,142 
Danaher (A)   34    7,442 
DaVita *(A)   3    328 
Dexcom *(A)   21    1,534 
Edwards Lifesciences *(A)   32    2,604 
Elevance Health (A)   12    4,149 
Eli Lilly (A)   44    45,635 
GE HealthCare Technologies (A)   25    1,974 
Gilead Sciences (A)   68    9,653 
HCA Healthcare (A)   9    4,394 
Henry Schein *(A)   6    453 
Hologic *(A)   13    974 
Humana (A)   7    1,366 
IDEXX Laboratories *(A)   4    2,682 
Incyte *(A)   9    901 
Insulet *(A)   4    1,023 
Intuitive Surgical *(A)   19    9,580 
IQVIA Holdings *(A)   10    2,301 
Johnson & Johnson (A)   132    29,997 
Labcorp Holdings (A)   5    1,358 
McKesson (A)   7    5,818 
Medtronic PLC (A)   70    7,207 
Merck (A)   136    14,997 
Mettler-Toledo International *(A)   1    1,373 
Moderna *(A)   19    837 
Molina Healthcare *(A)   3    539 
Pfizer (A)    311    8,223 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P 500® Collar 95-110 ETF

 

   Shares   Value
COMMON STOCK — continued          
Health Care — continued          
Quest Diagnostics (A)   7   $1,309 
Regeneron Pharmaceuticals (A)   6    4,449 
ResMed (A)   8    2,066 
Revvity (A)   6    653 
Solventum *(A)   9    693 
STERIS PLC (A)   6    1,576 
Stryker (A)   19    7,022 
Thermo Fisher Scientific (A)    21    12,151 
UnitedHealth Group (A)   50    14,346 
Universal Health Services, Cl B (A)   3    604 
Vertex Pharmaceuticals *(A)   14    6,579 
Viatris (A)   57    746 
Waters *(A)   3    1,112 
West Pharmaceutical Services (A)   4    924 
Zimmer Biomet Holdings (A)   11    958 
Zoetis, Cl A (A)   24    2,996 
         308,504 
Industrials — 8.5%          
3M (A)   29    4,442 
A O Smith (A)   9    661 
Allegion PLC (A)   6    992 
AMETEK (A)   13    2,912 
Automatic Data Processing (A)   22    5,430 
Axon Enterprise *(A)   4    1,934 
Boeing *(A)   43    10,050 
Broadridge Financial Solutions (A)   6    1,183 
Builders FirstSource *(A)   6    686 
Carrier Global (A)   43    2,562 
Caterpillar (A)   26    17,091 
CH Robinson Worldwide (A)   7    1,365 
Cintas (A)   19    3,636 
Comfort Systems USA (A)   2    2,284 
Copart *(A)   48    1,948 
CSX (A)   102    3,851 
Cummins (A)   8    4,631 
Dayforce *(A)   10    693 
Deere (A)   14    7,392 
Delta Air Lines (A)   35    2,306 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P 500® Collar 95-110 ETF

 

   Shares   Value
COMMON STOCK — continued          
Industrials — continued          
Dover (A)   8   $1,612 
Eaton PLC (A)   21    7,380 
EMCOR Group (A)   2    1,441 
Emerson Electric (A)   31    4,556 
Equifax (A)   7    1,410 
Expeditors International of Washington (A)   8    1,284 
Fastenal (A)   63    2,732 
FedEx (A)   12    3,867 
Fortive (A)   18    951 
GE Aerospace (A)   58    17,794 
GE Vernova (A)   15    10,896 
Generac Holdings *(A)   4    672 
General Dynamics (A)   14    4,915 
Honeywell International (A)   35    7,963 
Howmet Aerospace (A)   22    4,578 
Hubbell, Cl B (A)   3    1,464 
Huntington Ingalls Industries (A)   2    841 
IDEX (A)   5    993 
Illinois Tool Works (A)   14    3,658 
Ingersoll Rand (A)   20    1,722 
Jacobs Solutions (A)   7    947 
JB Hunt Transport Services (A)   4    811 
Johnson Controls International PLC (A)   33    3,936 
L3Harris Technologies (A)   10    3,428 
Leidos Holdings (A)   7    1,318 
Lennox International (A)   2    990 
Lockheed Martin (A)   11    6,976 
Masco (A)   11    727 
Nordson (A)   3    824 
Norfolk Southern (A)   12    3,495 
Northrop Grumman (A)   7    4,846 
Old Dominion Freight Line (A)   10    1,732 
Otis Worldwide (A)   21    1,794 
PACCAR (A)   29    3,564 
Parker-Hannifin (A)    7    6,551 
Paychex (A)   18    1,856 
Paycom Software (A)   3    404 
Pentair PLC (A)   9    948 
Quanta Services (A)   8    3,797 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P 500® Collar 95-110 ETF

 

   Shares   Value
COMMON STOCK — continued          
Industrials — continued          
Republic Services, Cl A (A)   11   $2,366 
Rockwell Automation (A)   6    2,530 
Rollins (A)   16    1,013 
RTX (A)   73    14,668 
Snap-On (A)   3    1,098 
Southwest Airlines (A)   29    1,378 
Stanley Black & Decker (A)   8    629 
Textron (A)   9    792 
Trane Technologies PLC (A)   12    5,047 
TransDigm Group (A)   3    4,283 
Uber Technologies *(A)   114    9,126 
Union Pacific (A)    32    7,523 
United Airlines Holdings *(A)   18    1,842 
United Parcel Service, Cl B (A)   40    4,249 
United Rentals (A)   3    2,346 
Veralto (A)   13    1,287 
Verisk Analytics, Cl A (A)   8    1,740 
Wabtec (A)   9    2,071 
Waste Management (A)   20    4,445 
WW Grainger (A)   2    2,160 
Xylem (A)   13    1,792 
         278,107 
Information Technology — 32.9%          
Accenture PLC, Cl A (A)   34    8,964 
Adobe *(A)   23    6,745 
Advanced Micro Devices *(A)   89    21,069 
Akamai Technologies *(A)   8    777 
Amphenol, Cl A (A)   67    9,653 
Analog Devices (A)   27    8,394 
Apple (A)   810    210,179 
Applied Materials (A)   44    14,182 
AppLovin, Cl A *(A)   15    7,097 
Arista Networks *(A)   56    7,937 
Autodesk *(A)   13    3,287 
Broadcom (A)   259    85,807 
Cadence Design Systems *(A)   15    4,445 
CDW (A)   7    885 
Cisco Systems (A)   216    16,917 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P 500® Collar 95-110 ETF

 

   Shares   Value
COMMON STOCK — continued          
Information Technology — continued          
Cognizant Technology Solutions, Cl A (A)   26   $2,133 
Corning (A)   43    4,440 
CrowdStrike Holdings, Cl A *(A)   14    6,180 
Datadog, Cl A *(A)   18    2,328 
Dell Technologies, Cl C (A)   16    1,831 
EPAM Systems *(A)   3    626 
F5 *(A)   3    827 
Fair Isaac *(A)   1    1,463 
First Solar *(A)   6    1,353 
Fortinet *(A)   34    2,763 
Gartner *(A)   4    838 
Gen Digital (A)   30    720 
GoDaddy, Cl A *(A)   8    804 
Hewlett Packard Enterprise (A)   72    1,549 
HP (A)   51    991 
Intel *(A)   245    11,385 
International Business Machines (A)   51    15,642 
Intuit (A)   15    7,484 
Jabil (A)   6    1,423 
Keysight Technologies *(A)   9    1,947 
KLA (A)   7    9,996 
Lam Research (A)   69    16,109 
Microchip Technology (A)   29    2,202 
Micron Technology (A)   61    25,308 
Microsoft (A)   407    175,128 
Monolithic Power Systems (A)   3    3,372 
Motorola Solutions (A)   9    3,623 
NetApp (A)   11    1,060 
NVIDIA (A)   1,332    254,585 
ON Semiconductor *(A)   22    1,318 
Oracle (A)   92    15,141 
Palantir Technologies, Cl A *(A)   125    18,324 
Palo Alto Networks *(A)   37    6,548 
PTC *(A)   7    1,093 
QNITY Electronics    11    1,058 
QUALCOMM (A)   59    8,944 
Roper Technologies (A)   6    2,227 
Salesforce (A)   52    11,039 
SANDISK *   8    4,610 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P 500® Collar 95-110 ETF

 

   Shares   Value
COMMON STOCK — continued          
Information Technology — continued          
Seagate Technology Holdings (A)   12   $4,892 
ServiceNow *(A)   57    6,670 
Skyworks Solutions (A)   8    446 
Super Micro Computer *(A)   27    786 
Synopsys *(A)   10    4,651 
Teledyne Technologies *(A)   3    1,861 
Teradyne (A)   9    2,169 
Texas Instruments (A)   50    10,777 
Trimble *(A)   13    879 
Tyler Technologies *(A)   2    739 
VeriSign (A)   5    1,221 
Western Digital (A)   19    4,754 
Workday, Cl A *(A)   12    2,108 
Zebra Technologies, Cl A *(A)   3    705 
         1,077,408 
Materials — 2.0%          
Air Products & Chemicals (A)   14    3,815 
Albemarle (A)   7    1,194 
Amcor PLC    20    885 
Avery Dennison (A)   5    927 
Ball (A)   12    682 
CF Industries Holdings (A)   8    746 
Corteva (A)   37    2,694 
CRH PLC (A)   37    4,529 
Dow (A)   38    1,047 
DuPont de Nemours (A)   23    1,010 
Ecolab (A)   14    3,948 
Freeport-McMoRan (A)   78    4,698 
International Flavors & Fragrances (A)   15    1,047 
International Paper (A)   29    1,169 
Linde PLC (A)   26    11,881 
LyondellBasell Industries, Cl A (A)   15    735 
Martin Marietta Materials (A)   3    1,956 
Mosaic (A)   17    467 
Newmont (A)   60    6,741 
Nucor (A)   12    2,133 
Packaging Corp of America (A)   5    1,113 
PPG Industries (A)   12    1,388 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P 500® Collar 95-110 ETF

 

   Shares   Value
COMMON STOCK — continued          
Materials — continued          
Sherwin-Williams (A)   13   $4,610 
Smurfit WestRock PLC (A)   28    1,166 
Steel Dynamics (A)   8    1,437 
Vulcan Materials (A)   7    2,104 
         64,122 
Real Estate — 1.9%          
Alexandria Real Estate Equities ‡(A)   11    601 
American Tower ‡(A)   26    4,661 
AvalonBay Communities ‡(A)   8    1,421 
BXP ‡(A)   8    517 
Camden Property Trust ‡(A)   6    654 
CBRE Group, Cl A *(A)   16    2,725 
CoStar Group *(A)   23    1,414 
Crown Castle ‡(A)   24    2,083 
Digital Realty Trust ‡(A)   18    2,987 
Equinix ‡(A)   5    4,105 
Equity Residential ‡(A)   19    1,184 
Essex Property Trust ‡(A)   4    1,007 
Extra Space Storage ‡(A)   12    1,656 
Federal Realty Investment Trust ‡(A)   4    405 
Healthpeak Properties ‡(A)   37    638 
Host Hotels & Resorts ‡(A)   34    630 
Invitation Homes ‡(A)   30    802 
Iron Mountain ‡(A)   16    1,474 
Kimco Realty ‡(A)   36    759 
Mid-America Apartment Communities ‡(A)   6    806 
ProLogis ‡(A)   51    6,659 
Public Storage ‡(A)   9    2,486 
Realty Income ‡(A)   50    3,058 
Regency Centers ‡(A)   9    656 
SBA Communications, Cl A ‡(A)   6    1,105 
Simon Property Group ‡(A)   18    3,444 
UDR ‡(A)   16    594 
Ventas ‡(A)   27    2,097 
VICI Properties, Cl A ‡(A)   58    1,629 
Welltower ‡(A)   38    7,158 
Weyerhaeuser ‡(A)   39    1,005 
         60,420 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P 500® Collar 95-110 ETF

 

   Shares   Value
COMMON STOCK — continued          
Utilities — 2.2%          
AES (A)   47   $689 
Alliant Energy (A)   14    923 
Ameren (A)   18    1,859 
American Electric Power (A)   32    3,833 
American Water Works (A)   11    1,420 
Atmos Energy (A)   9    1,497 
CenterPoint Energy (A)   35    1,389 
CMS Energy (A)   16    1,144 
Consolidated Edison (A)   20    2,133 
Constellation Energy (A)   17    4,772 
Dominion Energy (A)   47    2,828 
DTE Energy (A)   11    1,478 
Duke Energy (A)   42    5,097 
Edison International (A)   21    1,308 
Entergy (A)   24    2,301 
Evergy (A)   13    997 
Eversource Energy (A)   20    1,383 
Exelon (A)   55    2,463 
FirstEnergy (A)   28    1,325 
NextEra Energy (A)   114    10,021 
NiSource (A)   26    1,151 
NRG Energy (A)   11    1,679 
PG&E (A)   119    1,835 
Pinnacle West Capital (A)   6    561 
PPL (A)   40    1,450 
Public Service Enterprise Group (A)   27    2,224 
Sempra (A)   36    3,132 
Southern (A)   60    5,359 
Vistra (A)   17    2,692 
WEC Energy Group (A)   18    1,992 
Xcel Energy (A)   32    2,434 
         73,369 
TOTAL UNITED STATES        3,240,859 
TOTAL COMMON STOCK
(Cost $2,701,012)
        3,247,589 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P 500® Collar 95-110 ETF

 

   Value
PURCHASED OPTIONS — 0.6%
(Cost $39,071)
  $21,164 
TOTAL INVESTMENTS — 99.9%
(Cost $2,740,083)
  $3,268,753 
      
WRITTEN OPTIONS— (0.0)%
(Premiums Received  $(4,233))
  $(1,510)

 

Percentages are based on Net Assets of $3,271,689.

 

A list of exchange-traded option contracts held by the Fund at January 31, 2026, is as follows:

 

Description  Number of
Contracts
  Notional
Amount
   Exercise
Price
   Expiration
Date
  Value
PURCHASED OPTIONS — 0.6%                     
Put Options                     
Mini-SPX Index  6  $416,340   $694   3/20/2026  $2,664 
S&P 500 Index  4   2,775,612    6,939   3/20/2026   18,500 
                      
Total Purchased Options     $3,191,952           $21,164 
WRITTEN OPTIONS — 0.0%                     
Call Options                     
Mini-SPX Index  (6) $(416,340)  $694   3/20/2026  $(240)
S&P 500 Index  (4)  (2,775,612)   6,939   3/20/2026   (1,270)
                      
Total Written Options     $(3,191,952)          $(1,510)

 

* Non-income producing security.
Real Estate Investment Trust
(A) All or a portion of these securities have been segregated as collateral for options contracts. The Fair Value of the securities pledged as collateral is $3,238,515.
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P 500® Collar 95-110 ETF

 

The following is a summary of the level of inputs used as of January 31, 2026, in valuing the Fund’s investments and other financial instruments carried at value:

 

Investments in Securities  Level 1   Level 2   Level 3   Total
Common Stock  $3,247,589   $   $   $3,247,589 
Purchased Options   21,164            21,164 
Total Investments in Securities  $3,268,753   $   $   $3,268,753 
                     
Other Financial Instruments  Level 1   Level 2   Level 3   Total 
Written Options  $(1,510)  $   $   $(1,510)
Total Other Financial Instruments  $(1,510)  $   $   $(1,510)

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

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.

 
Schedules of Investments January 31, 2026 (Unaudited)
Global X Rare Earth & Critical Materials ETF (formerly Global X Disruptive Materials ETF)

 

   Shares   Value 
COMMON STOCK — 100.0%          
AUSTRALIA — 10.8%          
Materials — 10.8%          
IGO *   81,718   $476,299 
Lynas Rare Earths *   120,387    1,256,623 
PLS Group *   429,387    1,290,462 
Rio Tinto PLC    18,354    1,697,052 
           
TOTAL AUSTRALIA        4,720,436 
CANADA — 3.2%          
Materials — 3.2%          
HudBay Minerals   52,383    1,247,537 
Lithium Americas *   27,779    135,802 
           
TOTAL CANADA        1,383,339 
CHILE — 4.3%          
Materials — 4.3%          
Antofagasta PLC   37,255    1,864,974 
           
CHINA — 27.0%          
Industrials — 9.9%          
Eve Energy, Cl A   110,200    1,011,272 
Fangda Carbon New Material, Cl A   334,100    276,362 
GEM, Cl A    625,300    805,991 
Guizhou Zhenhua E-chem, Cl A *   38,998    79,160 
Minmetals New Energy Materia, Cl A *   129,128    185,204 
XTC New Energy Materials Xiamen, Cl A    27,411    340,306 
Zhejiang Huayou Cobalt, Cl A    159,030    1,647,197 
         4,345,492 
Materials — 17.1%          
China Northern Rare Earth Group High-Tech, Cl A   162,500    1,206,016 
China Rare Earth Resources And Technology, Cl A *   89,600    698,878 
Jiangxi Black Cat Carbon Black, Cl A *    55,400    80,494 
MMG *   548,520    722,726 
Nanjing Hanrui Cobalt, Cl A   27,800    194,764 
Shenghe Resources Holding, Cl A   231,000    898,239 
Sinomine Resource Group, Cl A    79,000    971,689 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X Rare Earth & Critical Materials ETF (formerly Global X Disruptive Materials ETF)

 

   Shares   Value 
COMMON STOCK — continued          
Materials — continued          
Weihai Guangwei Composites, Cl A   112,460   $645,998 
Western Mining, Cl A   209,200    1,071,385 
Xiangtan Electrochemical Scientific, Cl A   54,500    109,842 
Youngy, Cl A    25,200    198,046 
Yunnan Chihong Zinc&Germanium, Cl A   387,800    547,839 
Zhongfu Shenying Carbon Fiber, Cl A *   22,732    107,393 
         7,453,309 
TOTAL CHINA        11,798,801 
FRANCE — 0.5%          
Industrials — 0.2%          
Mersen   3,072    94,472 
           
Materials — 0.3%          
Eramet    1,432    125,725 
           
TOTAL FRANCE        220,197 
INDONESIA — 0.4%          
Materials — 0.4%          
Nickel Industries   269,052    172,463 
           
JAPAN — 5.3%          
Industrials — 0.2%          
Nippon Carbon    2,883    85,970 
           
Materials — 5.1%          
Pacific Metals   6,193    117,951 
Sumitomo Metal Mining    31,645    1,920,117 
Tokai Carbon   26,155    180,911 
         2,218,979 
TOTAL JAPAN        2,304,949 
MEXICO — 8.6%          
Materials — 8.6%          
Grupo Mexico, Cl B   157,700    1,764,091 
Southern Copper   10,473    1,993,221 
           
TOTAL MEXICO        3,757,312 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X Rare Earth & Critical Materials ETF (formerly Global X Disruptive Materials ETF)

 

   Shares   Value 
COMMON STOCK — continued          
SOUTH AFRICA — 20.5%          
Materials — 20.5%          
African Rainbow Minerals   13,376   $200,104 
Anglo American PLC   33,607    1,571,675 
Impala Platinum Holdings    107,593    2,119,993 
Northam Platinum Holdings    52,033    1,287,401 
Sibanye Stillwater *   391,535    1,801,244 
Valterra Platinum Limited   20,658    1,957,921 
           
TOTAL SOUTH AFRICA        8,938,338 
SWEDEN — 5.2%          
Materials — 5.2%          
Boliden *   31,894    2,257,593 
           
UNITED STATES — 14.2%          
Industrials — 2.3%          
GrafTech International *   7,209    108,928 
Hexcel   11,014    912,070 
         1,020,998 
Materials — 11.9%          
Albemarle    14,427    2,461,679 
American Battery Technology *   35,696    144,212 
Freeport-McMoRan   25,624    1,543,333 
MP Materials *   17,296    1,016,486 
         5,165,710 
TOTAL UNITED STATES        6,186,708 
TOTAL COMMON STOCK
(Cost $36,518,725)
        43,605,110 
TOTAL INVESTMENTS — 100.0%
(Cost $36,518,725)
       $43,605,110 

 

Percentages are based on Net Assets of $43,588,795.

 

* Non-income producing security.
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X Rare Earth & Critical Materials ETF (formerly Global X Disruptive Materials ETF)

 

As of January 31, 2026, 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.

 

See “Glossary” for abbreviations.

 

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.

 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — 99.7%        
AUSTRALIA — 0.0%        
Health Care — 0.0%        
Benitec Biopharma *   6,717   $81,813 
           
AUSTRIA — 0.0%          
Materials — 0.0%          
Critical Metals *   20,481    269,735 
           
BAHAMAS — 0.1%          
Consumer Discretionary — 0.1%          
OneSpaWorld Holdings   45,221    888,593 
           
BELGIUM — 0.0%          
Materials — 0.0%          
Titan America SA   11,000    190,960 
           
BERMUDA — 0.2%          
Energy — 0.0%          
Teekay   24,045    245,980 
           
Financials — 0.2%          
Aspen Insurance Holdings, Cl A *   6,992    261,011 
Bank of NT Butterfield & Son   18,942    981,196 
Hamilton Insurance Group, Cl B *   20,309    563,575 
Kestrel Group *   1,260    14,956 
         1,820,738 
Industrials — 0.0%          
Himalaya Shipping   12,670    137,596 
           
TOTAL BERMUDA        2,204,314 
BRAZIL — 0.2%          
Financials — 0.2%          
Pagseguro Digital, Cl A   81,361    915,311 
StoneCo, Cl A *   114,057    1,840,880 
         2,756,191 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued        
Information Technology — 0.0%        
VTEX, Cl A *   25,416   $79,806 
           
TOTAL BRAZIL        2,835,997 
CAMEROON — 0.1%          
Energy — 0.1%          
Golar LNG   44,364    1,800,735 
           
CANADA — 1.2%          
Consumer Staples — 0.0%          
SunOpta *   43,282    198,232 
           
Energy — 0.1%          
Encore Energy *   83,294    264,875 
Kolibri Global Energy *   13,926    56,122 
Teekay Tankers, Cl A   10,863    700,880 
         1,021,877 
Financials — 0.0%          
Kingsway Financial Services *   9,540    128,027 
           
Health Care — 0.2%          
Aurinia Pharmaceuticals *   54,180    787,235 
Bright Minds Biosciences *   2,249    174,860 
Fennec Pharmaceuticals *   10,577    80,280 
Tuhura Biosciences *   15,033    8,044 
Xenon Pharmaceuticals *   34,489    1,414,394 
         2,464,813 
Industrials — 0.0%          
Brookfield Business, Cl A   10,523    375,250 
           
Information Technology — 0.4%          
D-Wave Quantum *   152,028    3,226,034 
Hut 8 *   43,476    2,427,265 
         5,653,299 
Materials — 0.3%          
Novagold Resources *   137,575    1,201,030 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Materials — continued          
SSR Mining *   92,474   $2,111,181 
US Goldmining *   1,011    13,583 
Vox Royalty   26,890    141,710 
         3,467,504 
Real Estate — 0.0%          
Real Brokerage *   59,891    212,014 
           
Utilities — 0.2%          
Brookfield Infrastructure, Cl A   54,713    2,618,017 
           
TOTAL CANADA        16,139,033 
CAYMAN ISLANDS — 0.1%          
Financials — 0.1%          
Patria Investments, Cl A   29,931    437,292 
Webull *   123,960    871,439 
           
TOTAL CAYMAN ISLANDS        1,308,731 
CHINA — 0.0%          
Information Technology — 0.0%          
indie Semiconductor, Cl A *   88,667    363,535 
Mercurity Fintech Holding *   18,344    105,294 
           
TOTAL CHINA        468,829 
COSTA RICA — 0.0%          
Real Estate — 0.0%          
Logistic Properties of The Americas *   1,453    4,301 
           
GERMANY — 0.0%          
Materials — 0.0%          
Orion   25,133    155,322 
           
GHANA — 0.0%          
Energy — 0.0%          
Kosmos Energy *   214,508    338,923 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued        
GIBRALTAR — 0.0%        
Consumer Staples — 0.0%        
Forafric Global PLC *   2,478   $24,830 
           
GUERNSEY — 0.1%          
Consumer Discretionary — 0.1%          
Super Group SGHC   72,045    682,266 
           
IRELAND — 0.1%          
Energy — 0.0%          
Ardmore Shipping   15,571    201,177 
           
Health Care — 0.0%          
Prothena PLC *   19,869    175,046 
           
Industrials — 0.1%          
Cimpress PLC *   7,893    624,258 
           
TOTAL IRELAND        1,000,481 
ISLE OF MAN — 0.0%          
Materials — 0.0%          
Lifezone Metals *   12,950    68,505 
           
ISRAEL — 0.0%          
Communication Services — 0.0%          
Nexxen International *   15,589    96,340 
           
Health Care — 0.0%          
MediWound *   4,435    80,406 
Nano-X Imaging *   29,089    79,413 
         159,819 
TOTAL ISRAEL        256,159 
ITALY — 0.0%          
Consumer Discretionary — 0.0%          
Ermenegildo Zegna   27,879    242,268 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued        
MALTA — 0.0%        
Communication Services — 0.0%        
Gambling.com Group *   8,491   $40,502 
           
MEXICO — 0.0%          
Energy — 0.0%          
Borr Drilling   120,295    562,981 
           
MONACO — 0.1%          
Energy — 0.1%          
Scorpio Tankers   20,501    1,304,274 
           
Industrials — 0.0%          
Costamare   19,994    335,499 
Costamare Bulkers Holding *   4,078    67,409 
Safe Bulkers   23,247    132,741 
         535,649 
TOTAL MONACO        1,839,923 
NORWAY — 0.2%          
Energy — 0.2%          
FLEX LNG   14,187    378,793 
Seadrill *   28,523    1,097,565 
SFL, Cl B   54,894    486,361 
         1,962,719 
Industrials — 0.0%          
T1 Energy *   60,342    502,649 
           
TOTAL NORWAY        2,465,368 
PANAMA — 0.0%          
Financials — 0.0%          
Banco Latinoamericano de Comercio Exterior   12,783    619,592 
           
PUERTO RICO — 0.3%          
Communication Services — 0.1%          
Liberty Latin America, Cl A *   13,172    101,688 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued        
Communication Services — continued        
Liberty Latin America, Cl C *   57,377   $446,393 
         548,081 
Financials — 0.2%          
EVERTEC   29,144    874,611 
First BanCorp   72,231    1,597,750 
OFG Bancorp   20,040    807,612 
         3,279,973 
TOTAL PUERTO RICO        3,828,054 
SINGAPORE — 0.1%          
Communication Services — 0.0%          
Grindr *   14,777    167,276 
           
Information Technology — 0.1%          
Kulicke & Soffa Industries   23,137    1,326,444 
           
TOTAL SINGAPORE        1,493,720 
SOUTH AFRICA — 0.0%          
Materials — 0.0%          
Caledonia Mining PLC   7,509    206,047 
           
SOUTH KOREA — 0.0%          
Communication Services — 0.0%          
Webtoon Entertainment *   8,113    98,086 
           
SWEDEN — 0.1%          
Financials — 0.1%          
SiriusPoint *   46,372    946,452 
           
SWITZERLAND — 0.3%          
Consumer Discretionary — 0.1%          
Garrett Motion   72,149    1,301,568 
           
Health Care — 0.2%          
ADC Therapeutics *   38,954    140,624 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued        
Health Care — continued        
CRISPR Therapeutics *   39,565   $1,976,667 
         2,117,291 
Industrials — 0.0%          
Aebi Schmidt   16,869    246,962 
           
TOTAL SWITZERLAND        3,665,821 
THAILAND — 0.6%          
Energy — 0.0%          
BKV *   10,122    301,130 
           
Information Technology — 0.6%          
Fabrinet *   16,407    8,030,242 
           
TOTAL THAILAND        8,331,372 
UNITED KINGDOM — 0.2%          
Consumer Discretionary — 0.1%          
Genius Sports *   99,316    864,049 
           
Financials — 0.1%          
Fidelis Insurance Holdings   25,250    480,760 
Marex Group PLC   24,948    984,947 
         1,465,707 
Industrials — 0.0%          
Luxfer Holdings PLC   12,082    182,922 
           
TOTAL UNITED KINGDOM        2,512,678 
UNITED STATES — 95.7%          
Communication Services — 2.6%          
Advantage Solutions *   44,565    48,130 
Altice USA, Cl A *   118,188    180,828 
AMC Entertainment Holdings, Cl A *   233,711    324,858 
AMC Networks, Cl A *   13,961    107,639 
Angi, Cl A *   16,321    211,847 
Anterix *   5,066    133,059 
Arena Group Holdings *   6,057    23,562 
Atlanta Braves Holdings, Cl A *   3,082    135,670 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Communication Services — continued          
Atlanta Braves Holdings, Cl C *   20,915   $835,136 
ATN International   4,522    109,387 
Bandwidth, Cl A *   12,522    174,932 
Boston Omaha, Cl A *   9,870    120,513 
Bumble, Cl A *   32,937    110,339 
Cable One   2,302    186,439 
Cargurus, Cl A *   37,261    1,207,256 
Cars.com *   24,330    276,389 
Cinemark Holdings   47,203    1,117,767 
Cogent Communications Holdings   22,074    536,398 
CuriosityStream   18,427    68,548 
EchoStar, Cl A *   61,584    6,972,541 
Emerald Holding   6,357    32,039 
Entravision Communications, Cl A   28,096    84,569 
Eventbrite, Cl A *   34,212    151,217 
EverQuote, Cl A *   13,162    298,777 
EW Scripps, Cl A *   28,732    96,252 
fuboTV, Cl A *   150,881    336,465 
Gaia, Cl A *   7,501    25,428 
Getty Images Holdings *   51,042    66,865 
Globalstar *   22,771    1,403,149 
Gogo *   35,314    162,091 
Golden Matrix Group *   10,004    7,290 
Gray Television   39,785    179,430 
Ibotta, Cl A *   6,275    129,642 
IDT, Cl B   7,403    360,008 
iHeartMedia, Cl A *   54,983    178,145 
IMAX *   19,879    693,976 
John Wiley & Sons, Cl A   18,499    577,724 
Lionsgate Studios Corp. *   92,675    874,852 
Lumen Technologies *   433,184    3,820,683 
Madison Square Garden Entertainment, Cl A *   17,957    1,111,000 
Magnite *   63,564    919,771 
Marcus   10,269    154,959 
MediaAlpha, Cl A *   15,351    157,041 
National CineMedia   29,733    107,336 
Newsmax Inc, Cl B *   21,458    148,060 
Nextdoor Holdings *   98,789    193,626 
Playstudios *   41,442    26,295 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Communication Services — continued          
Playtika Holding   25,401   $91,952 
PubMatic, Cl A *   16,971    123,209 
QuinStreet *   25,074    333,233 
Reservoir Media *   9,179    69,301 
Rumble *   48,224    274,395 
Scholastic   9,163    320,430 
Shenandoah Telecommunications   22,947    272,381 
Shutterstock   11,032    218,985 
Sinclair   17,452    253,229 
Sphere Entertainment *   12,600    1,203,426 
Spok Holdings   9,186    126,491 
Stagwell, Cl A *   50,579    303,980 
Starz Entertainment Corp *   5,183    51,778 
Teads Holding *   16,745    11,271 
Techtarget *   12,994    68,089 
TEGNA   73,040    1,399,446 
Telephone and Data Systems   45,197    2,039,741 
Thryv Holdings *   16,900    81,289 
Travelzoo *   2,975    17,404 
TripAdvisor *   51,760    687,890 
Uniti Group *   75,579    628,817 
USA Today Co *   63,775    377,548 
Vivid Seats, Cl A *   1,526    11,125 
Yelp, Cl A *   27,397    750,130 
Ziff Davis *   18,460    705,541 
ZipRecruiter, Cl A *   28,309    69,640 
         35,668,649 
Consumer Discretionary — 8.4%          
1-800-Flowers.com, Cl A *   10,142    43,813 
Abercrombie & Fitch, Cl A *   21,148    2,064,679 
Academy Sports & Outdoors   30,125    1,657,176 
Accel Entertainment, Cl A *   23,128    261,578 
Acushnet Holdings   12,503    1,212,041 
Adient PLC *   36,868    766,854 
Adtalem Global Education *   16,297    1,687,554 
Advance Auto Parts   27,255    1,308,513 
A-Mark Precious Metals   8,622    447,051 
American Axle & Manufacturing Holdings *   103,748    826,872 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Consumer Discretionary — continued          
American Eagle Outfitters   72,431   $1,688,367 
American Outdoor Brands *   5,733    51,941 
American Public Education *   7,844    327,722 
America’s Car-Mart *   3,251    83,616 
Arhaus, Cl A *   23,152    235,687 
Arko   34,176    181,475 
Asbury Automotive Group *   8,836    2,072,130 
Bally’s Corporation *   4,378    66,896 
BARK *   43,114    38,371 
Barnes & Noble Education *   7,518    67,286 
Bassett Furniture Industries   3,655    57,749 
Beazer Homes USA *   12,503    269,690 
Bed Bath & Beyond *   30,992    183,163 
Biglari Holdings, Cl B *   325    121,885 
BJ’s Restaurants *   9,092    380,227 
Black Rock Coffee Bar, Cl A *   7,456    111,169 
Bloomin’ Brands   37,975    227,850 
Boot Barn Holdings *   13,972    2,493,723 
Brightstar Lottary PLC   47,457    687,177 
Brinker International *   20,108    3,171,434 
Buckle   14,345    678,518 
Build-A-Bear Workshop, Cl A   5,636    336,356 
Caleres   14,935    182,506 
Camping World Holdings, Cl A   27,255    359,493 
Capri Holdings *   52,836    1,192,509 
Carriage Services, Cl A   6,392    274,281 
Carter’s   16,083    556,633 
Cavco Industries *   3,535    1,739,291 
Century Communities   11,838    745,557 
Champion Homes *   25,684    2,013,112 
Cheesecake Factory   20,961    1,214,900 
Citi Trends *   2,116    91,305 
Clarus   13,328    51,046 
Cooper-Standard Holdings *   7,612    238,788 
Coursera *   64,575    391,324 
Cracker Barrel Old Country Store   10,092    303,971 
Cricut, Cl A   21,764    97,285 
Dana   53,465    1,545,138 
Dave & Buster’s Entertainment *   12,301    230,890 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Consumer Discretionary — continued          
Designer Brands, Cl A   15,230   $96,558 
Dine Brands Global   6,795    233,680 
Dorman Products *   12,534    1,556,723 
Dream Finders Homes, Cl A *   13,317    244,900 
Driven Brands Holdings *   26,997    419,803 
El Pollo Loco Holdings *   12,702    128,671 
Envela *   3,118    42,530 
Escalade   4,684    68,105 
Ethan Allen Interiors   10,473    240,146 
European Wax Center, Cl A *   13,174    51,774 
EVgo, Cl A *   57,913    174,318 
Faraday Future Intelligent Electric *   64,526    67,107 
Figs, Cl A *   40,055    432,995 
First Watch Restaurant Group *   24,911    398,327 
Flexsteel Industries   1,622    64,929 
Fox Factory Holding *   19,011    349,802 
Frontdoor *   33,312    1,969,072 
Funko, Cl A *   18,362    74,550 
Genesco *   4,519    130,735 
Gentherm *   13,791    440,760 
GigaCloud Technology, Cl A *   11,094    442,983 
G-III Apparel Group   16,452    482,866 
Global Business Travel Group I *   59,027    404,335 
Golden Entertainment   8,782    236,411 
Goodyear Tire & Rubber *   125,309    1,179,158 
Graham Holdings, Cl B   1,460    1,703,280 
Green Brick Partners *   14,176    983,673 
Group 1 Automotive   5,589    1,979,959 
Groupon, Cl A *   11,541    163,305 
Hamilton Beach Brands Holding, Cl A   3,315    63,283 
Haverty Furniture   6,149    155,693 
Helen of Troy *   10,319    170,883 
Hilton Grand Vacations *   27,617    1,245,803 
Holley *   34,584    133,148 
Hovnanian Enterprises, Cl A *   2,187    246,366 
Inspired Entertainment *   11,328    101,159 
Installed Building Products   10,534    3,035,267 
J Jill   3,357    52,403 
Jack in the Box   7,937    166,439 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Consumer Discretionary — continued          
JAKKS Pacific   4,166   $76,113 
Johnson Outdoors, Cl A   2,630    119,376 
KB Home   28,686    1,650,592 
KinderCare Learning *   14,231    66,459 
Kohl’s   49,363    862,372 
Kontoor Brands   25,019    1,494,385 
Krispy Kreme   34,830    109,714 
Kura Sushi USA, Cl A *   2,849    190,342 
Lakeland Industries   3,818    35,966 
Lands’ End *   4,171    74,077 
Latham Group *   20,312    127,762 
Laureate Education, Cl A *   57,742    1,980,551 
La-Z-Boy, Cl Z   18,749    682,651 
LCI Industries   10,749    1,576,771 
Legacy Housing *   3,942    81,796 
Leggett & Platt   60,361    704,413 
LGI Homes *   9,245    463,267 
Life Time Group Holdings *   68,628    2,001,879 
Lincoln Educational Services *   13,383    356,791 
Lindblad Expeditions Holdings *   16,969    282,873 
Livewire Group *   16,630    38,914 
Lovesac *   6,060    80,719 
M/I Homes *   11,847    1,583,944 
Malibu Boats, Cl A *   8,369    271,992 
Marine Products   4,089    39,500 
MarineMax *   8,609    232,701 
Marriott Vacations Worldwide   12,632    686,044 
MasterCraft Boat Holdings *   7,196    154,930 
Matthews International, Cl A   13,487    354,573 
McGraw Hill Inc *   13,079    192,915 
Meritage Homes   31,634    2,198,879 
Mister Car Wash *   44,848    248,906 
Monarch Casino & Resort   5,795    530,416 
Monro   13,505    252,814 
Motorcar Parts of America *   6,051    75,214 
Movado Group   6,889    157,069 
Nathan’s Famous   1,305    131,962 
National Vision Holdings *   35,382    932,316 
Navan, Cl A *   16,957    194,666 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Consumer Discretionary — continued          
Nerdy *   26,806   $26,270 
OneWater Marine, Cl A *   5,256    69,800 
Outdoor Holding *   39,189    63,878 
Oxford Industries   6,360    234,366 
Papa John’s International   14,783    519,918 
Patrick Industries   14,756    1,861,765 
Peloton Interactive, Cl A *   179,866    1,005,451 
Perdoceo Education   29,753    952,989 
Petco Health & Wellness, Cl A *   36,435    98,010 
Phinia   17,288    1,230,387 
Phoenix Education Partners   2,201    67,152 
Polaris   24,211    1,545,630 
Portillo’s, Cl A *   30,193    170,590 
Pursuit Attractions and Hospitality *   9,606    333,616 
RCI Hospitality Holdings   3,644    87,602 
RealReal *   45,464    666,957 
Red Rock Resorts, Cl A   22,182    1,400,350 
Revolve Group, Cl A *   18,305    506,133 
Rocky Brands   3,269    105,229 
Rush Street Interactive *   41,383    731,238 
Sabre *   167,554    217,820 
Sally Beauty Holdings *   44,867    682,876 
Savers Value Village *   17,335    179,591 
Serve Robotics *   28,245    294,595 
Shake Shack, Cl A *   17,656    1,563,792 
Shoe Carnival   8,206    156,406 
Signet Jewelers   18,158    1,675,439 
Six Flags Entertainment *   43,394    781,526 
Sleep Number *   8,512    99,080 
Smith & Wesson Brands   19,826    216,500 
Solid Power *   69,756    312,507 
Sonic Automotive, Cl A   6,767    405,749 
Sonos *   54,217    778,014 
Standard Motor Products   9,563    381,851 
Steven Madden   32,594    1,430,225 
Stitch Fix, Cl A *   50,274    241,315 
Strategic Education   10,602    901,382 
Strattec Security *   1,870    147,954 
Stride *   19,401    1,641,325 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Consumer Discretionary — continued          
Sturm Ruger   6,363   $233,458 
Superior Group   5,074    50,537 
Sweetgreen, Cl A *   46,789    287,284 
Target Hospitality *   14,496    99,877 
Taylor Morrison Home, Cl A *   43,605    2,657,725 
ThredUp, Cl A *   44,290    224,993 
Topgolf Callaway Brands *   59,696    856,638 
Torrid Holdings *   15,751    18,114 
Traeger *   14,539    15,993 
Tri Pointe Homes *   38,496    1,283,842 
Udemy *   43,216    207,869 
United Parks & Resorts *   12,285    462,530 
Universal Technical Institute *   21,187    589,634 
Upbound Group, Cl A   23,718    448,270 
Urban Outfitters *   27,795    1,969,276 
Victoria’s Secret *   31,458    1,714,776 
Visteon   12,442    1,130,480 
Warby Parker, Cl A *   44,604    1,137,848 
Weyco Group   2,762    87,334 
Winmark   1,346    606,629 
Winnebago Industries   12,341    566,575 
Wolverine World Wide   36,428    645,504 
XPEL *   11,515    593,138 
Xponential Fitness, Cl A *   12,434    98,726 
Zspace *   2,138    892 
Zumiez *   6,015    148,029 
         116,386,364 
Consumer Staples — 1.9%          
Alico   2,534    104,680 
Andersons   14,863    921,357 
B&G Foods   35,266    154,112 
Beauty Health *   51,699    77,549 
Beyond Meat *   173,326    132,282 
BRC, Cl A *   41,789    34,564 
Calavo Growers   7,567    192,505 
Cal-Maine Foods   20,097    1,678,702 
Central Garden & Pet *   3,759    127,167 
Central Garden & Pet, Cl A *   22,833    700,288 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Consumer Staples — continued          
Chefs’ Warehouse *   16,510   $1,038,479 
Dole PLC   37,330    594,667 
Edgewell Personal Care   20,355    396,108 
Energizer Holdings   28,321    618,247 
FitLife Brands *   1,822    28,970 
Fresh Del Monte Produce   15,034    596,248 
Grocery Outlet Holding *   42,796    407,846 
Hain Celestial Group *   42,057    50,889 
Herbalife *   46,289    798,022 
HF Foods Group *   18,714    35,744 
Honest *   42,225    104,296 
Ingles Markets, Cl A   6,609    494,750 
Inter Parfums   8,304    810,221 
Ispire Technology *   8,733    32,137 
J & J Snack Foods   7,039    668,705 
John B Sanfilippo & Son   3,522    284,930 
Lifevantage   4,962    26,299 
Lifeway Foods *   2,292    50,493 
Limoneira   7,473    107,611 
Mama’s Creations *   16,625    251,038 
Medifast *   4,830    55,255 
MGP Ingredients   6,338    157,880 
Mission Produce *   19,313    259,953 
National Beverage *   10,847    369,666 
Natural Grocers by Vitamin Cottage   5,798    158,401 
Nature’s Sunshine Products *   7,448    187,839 
Niagen Bioscience *   23,874    143,005 
Nu Skin Enterprises, Cl A   22,136    234,863 
Oil-Dri Corp of America   4,515    273,383 
Olaplex Holdings *   63,486    100,308 
PriceSmart   11,656    1,657,600 
Seneca Foods, Cl A *   2,116    252,502 
Simply Good Foods *   41,923    786,895 
Spectrum Brands Holdings   10,679    680,359 
The Marzetti Company   9,125    1,565,576 
Tootsie Roll Industries   8,194    310,389 
TreeHouse Foods *   22,709    559,550 
Turning Point Brands   7,882    954,904 
United Natural Foods *   27,219    1,013,363 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Consumer Staples — continued          
Universal   10,947   $619,491 
USANA Health Sciences *   4,833    104,876 
Utz Brands   33,267    350,634 
Village Super Market, Cl A   4,143    147,739 
Vita Coco *   21,638    1,154,387 
Vital Farms *   15,610    444,105 
Waldencast PLC, Cl A *   19,686    35,632 
WD-40   6,180    1,429,001 
Weis Markets   6,226    442,980 
Westrock Coffee *   16,294    78,700 
Zevia PBC, Cl A *   25,081    46,400 
         26,094,542 
Energy — 4.8%          
Archrock   78,464    2,321,750 
Atlas Energy Solutions, Cl A   35,086    409,454 
Bristow Group *   12,915    567,743 
Cactus, Cl A   31,127    1,750,271 
California Resources   33,273    1,780,105 
Calumet *   31,179    698,721 
Centrus Energy, Cl A *   7,654    2,129,955 
Clean Energy Fuels *   78,585    172,887 
CNX Resources *   59,245    2,298,706 
Comstock Resources *   33,638    819,085 
Core Laboratories   21,199    414,228 
Core Natural Resources   23,138    2,206,902 
Crescent Energy, Cl A   107,018    1,045,566 
CVR Energy *   14,022    318,860 
Delek US Holdings   27,106    799,898 
DHT Holdings   61,187    876,810 
Diversified Energy   28,066    375,804 
DMC Global *   8,805    75,723 
Dorian LPG   16,849    497,551 
Empire Petroleum *   6,891    20,811 
Energy Fuels *   103,726    2,327,611 
Energy Services of America   5,336    48,077 
Epsilon Energy   9,094    45,379 
Evolution Petroleum   14,435    56,874 
Excelerate Energy, Cl A   10,757    401,774 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Energy — continued          
Expro Group Holdings *   40,267   $644,675 
Flowco Holdings Inc, Cl A   9,020    188,518 
Forum Energy Technologies *   4,668    211,180 
FutureFuel   11,821    38,891 
Gevo *   104,615    205,045 
Granite Ridge Resources   24,445    122,714 
Green Plains *   30,407    348,464 
Gulfport Energy *   7,233    1,476,762 
Helix Energy Solutions Group *   62,936    499,712 
Helmerich & Payne   43,895    1,487,163 
HighPeak Energy   10,102    45,964 
Infinity Natural Resources Inc, Cl A *   6,954    110,430 
Innovex International *   17,521    435,397 
International Seaways   18,230    1,087,420 
Kinetik Holdings, Cl A   20,118    823,027 
Kodiak Gas Services   38,375    1,612,134 
Liberty Energy, Cl A   71,731    1,768,169 
Lightbridge *   12,102    186,189 
Magnolia Oil & Gas, Cl A   82,194    2,096,769 
Mammoth Energy Services *   12,002    28,085 
Murphy Oil   61,386    1,847,105 
Nabors Industries *   6,430    429,781 
NACCO Industries, Cl A   1,841    90,632 
National Energy Services Reunited *   27,607    543,306 
Natural Gas Services Group   4,634    160,522 
Navigator Holdings   14,261    264,256 
New Fortress Energy, Cl A *   78,257    104,082 
NextDecade *   61,426    324,944 
Nextnrg *   16,187    15,052 
Noble PLC   57,351    2,042,843 
Nordic American Tankers   92,765    385,902 
Northern Oil & Gas   43,534    1,088,350 
Oceaneering International *   44,880    1,350,888 
Oil States International *   25,477    215,790 
OPAL Fuels, Cl A *   9,785    22,603 
Par Pacific Holdings *   22,664    855,339 
Patterson-UTI Energy   157,581    1,186,585 
PBF Energy, Cl A   38,062    1,273,555 
Peabody Energy   55,564    1,959,187 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Energy — continued          
Prairie Operating *   12,952   $23,702 
PrimeEnergy Resources *   198    36,252 
ProFrac Holding, Cl A *   12,941    67,423 
ProPetro Holding *   36,175    415,651 
Ranger Energy Services, Cl A   9,050    139,551 
REX American Resources *   12,976    438,719 
Riley Exploration Permian   6,694    187,767 
RPC   40,393    268,613 
Sable Offshore *   34,424    333,224 
SandRidge Energy   16,453    260,780 
SEACOR Marine Holdings *   9,689    64,723 
Select Water Solutions, Cl A   42,763    517,005 
SM Energy   51,713    1,006,852 
Solaris Oilfield Infrastructure, Cl A   19,213    1,060,365 
Summit Midstream *   4,271    122,620 
Talos Energy *   59,016    703,471 
TETRA Technologies *   57,475    655,215 
Tidewater *   22,293    1,393,090 
Transocean *   421,886    2,096,773 
Uranium Energy *   216,749    3,736,753 
VAALCO Energy   46,791    240,506 
Valaris *   28,341    1,636,126 
Verde Clean Fuels *   2,042    3,921 
Vitesse Energy   13,314    279,061 
W&T Offshore   44,884    97,398 
World Kinect   24,514    659,672 
XCF Global Inc, Cl A *   16,370    3,608 
         66,486,816 
Financials — 16.5%          
1st Source   8,385    564,562 
Abacus Life   18,293    136,283 
Acacia Research *   15,502    61,698 
Acadian Asset Management   12,129    672,189 
ACNB   4,698    237,343 
ACRES Commercial Realty REIT ‡*   2,870    54,960 
Adamas Trust    38,501    308,008 
AG Mortgage Investment Trust    13,084    112,522 
Alerus Financial   10,609    261,194 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Financials — continued          
AlTi Global *   19,605   $91,947 
Amalgamated Financial   10,353    402,111 
Ambac Financial Group *   18,634    105,655 
Amerant Bancorp, Cl A   16,543    358,983 
American Coastal Insurance, Cl C   11,068    122,301 
American Integrity Insurance *   3,586    67,022 
Ameris Bancorp   30,049    2,422,550 
AMERISAFE   8,618    324,123 
Ames National   4,017    104,844 
Angel Oak Mortgage REIT    6,083    54,565 
Apollo Commercial Real Estate Finance    63,154    682,695 
Arbor Realty Trust    87,860    676,522 
Ares Commercial Real Estate    23,858    124,300 
ARMOUR Residential REIT    51,259    891,907 
Arrow Financial   7,411    250,566 
Artisan Partners Asset Management, Cl A   28,425    1,265,481 
Associated Banc-Corp   75,563    2,059,847 
Ategrity Specialty Holdings *   2,931    52,201 
Atlantic Union Bankshares   64,753    2,515,007 
Atlanticus Holdings *   2,390    123,396 
Avidbank Holdings *   1,311    38,150 
Axos Financial *   24,705    2,445,548 
Bakkt Holdings, Cl A *   6,461    86,513 
Baldwin Insurance Group, Cl A *   32,250    706,920 
Banc of California   58,292    1,164,674 
BancFirst   9,480    1,042,326 
Bancorp *   19,221    1,142,496 
Bank First   4,101    572,254 
Bank of Hawaii   17,884    1,337,366 
Bank of Marin Bancorp   6,653    178,633 
Bank7   1,975    87,769 
BankUnited   34,276    1,627,082 
Bankwell Financial Group   3,232    155,750 
Banner   15,450    955,428 
Bar Harbor Bankshares   7,476    253,511 
BayCom   4,669    136,241 
BCB Bancorp   7,036    55,514 
Beacon Financial   37,841    1,072,792 
Better Home & Finance Holding *   2,512    76,139 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Financials — continued          
BGC Group, Cl A   164,630   $1,499,779 
Blackstone Mortgage Trust, Cl A    72,200    1,389,850 
Blue Foundry Bancorp *   8,134    106,962 
Blue Ridge Bankshares   30,545    129,816 
Bowhead Specialty Holdings *   8,039    197,438 
Bread Financial Holdings   20,790    1,508,107 
Bridgewater Bancshares *   9,433    181,208 
BrightSpire Capital    58,331    348,819 
Burford Capital   91,344    885,123 
Burke & Herbert Financial Services   6,083    398,315 
Business First Bancshares   12,926    364,125 
BV Financial *   3,739    71,490 
Byline Bancorp   14,222    454,108 
C&F Financial   1,381    103,989 
California Bancorp   10,215    183,768 
Camden National   7,538    358,583 
Cannae Holdings   21,374    307,999 
Cantaloupe *   25,118    269,767 
Capital Bancorp   5,281    162,232 
Capital City Bank Group   6,240    260,582 
Capitol Federal Financial   55,712    405,583 
Carter Bankshares *   10,200    218,382 
Cass Information Systems   5,370    241,435 
Cathay General Bancorp   30,197    1,545,482 
CB Financial Services   2,004    71,803 
Central Pacific Financial   11,865    386,443 
CF Bankshares   2,076    60,432 
Chain Bridge Bancorp, Cl A *   989    34,852 
Chemung Financial   1,941    117,955 
Chicago Atlantic Real Estate Finance    8,211    101,816 
Chimera Investment    37,012    457,098 
ChoiceOne Financial Services   6,443    184,850 
Citizens, Cl A *   20,449    113,492 
Citizens & Northern   7,766    176,754 
Citizens Community Bancorp   4,302    78,038 
Citizens Financial Services   2,057    130,105 
City Holding   6,387    786,176 
Civista Bancshares   8,630    208,242 
Claros Mortgage Trust ‡ *   41,694    114,242 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Financials — continued          
CNB Financial   13,194   $365,474 
CNO Financial Group   43,699    1,837,543 
Coastal Financial *   5,864    561,654 
CoastalSouth Bancshares *   2,449    58,703 
Cohen & Steers   12,572    807,877 
Colony Bankcorp   7,626    148,402 
Columbia Financial *   12,304    200,186 
Commercial Bancgroup *   3,152    83,024 
Community Financial System   24,043    1,502,687 
Community Trust Bancorp   7,253    447,510 
Community West Bancshares   7,532    180,542 
Compass Diversified Holdings   30,426    199,899 
ConnectOne Bancorp   21,544    573,501 
Consumer Portfolio Services *   4,381    37,808 
Crawford, Cl A   7,427    80,583 
Customers Bancorp *   14,529    1,148,082 
CVB Financial   59,355    1,169,887 
Dave *   4,735    775,072 
Diamond Hill Investment Group   1,143    195,853 
DigitalBridge Group   80,242    1,234,924 
Dime Community Bancshares   18,057    614,299 
Donegal Group, Cl A   7,562    141,183 
Donnelley Financial Solutions *   11,541    597,247 
Dynex Capital    66,726    926,157 
Eagle Bancorp   12,774    341,832 
Eagle Bancorp Montana   3,473    75,399 
Eagle Financial Services   2,028    77,693 
Eastern Bankshares   100,593    2,060,648 
ECB Bancorp *   3,453    61,049 
eHealth *   12,956    36,665 
Ellington Financial    44,153    567,366 
Employers Holdings   10,161    443,223 
Enact Holdings   12,797    508,937 
Encore Capital Group *   10,217    563,978 
Enova International *   10,953    1,809,107 
Enterprise Financial Services   16,614    952,813 
Equity Bancshares, Cl A   6,973    321,595 
Esquire Financial Holdings   3,319    353,905 
Essent Group   43,035    2,707,762 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Financials — continued          
F&G Annuities & Life   16,719   $493,043 
Farmers & Merchants Bancorp   5,763    154,621 
Farmers National Banc   16,530    214,559 
FB Bancorp *   8,056    104,406 
FB Financial   18,823    1,082,887 
Federal Agricultural Mortgage, Cl C   4,233    716,647 
Fidelity D&D Bancorp   2,105    94,093 
Finance of America, Cl A *   2,264    52,729 
Financial Institutions   8,943    294,582 
Finward Bancorp   1,567    57,423 
Finwise Bancorp *   4,234    74,137 
First Bancorp   4,830    132,100 
First Bancorp   18,303    1,060,293 
First Bank   9,779    163,114 
First Busey   38,238    942,567 
First Business Financial Services   3,553    203,658 
First Capital   1,484    87,437 
First Commonwealth Financial   47,395    854,532 
First Community   3,393    99,483 
First Community Bankshares   7,084    255,166 
First Financial   5,131    334,336 
First Financial Bancorp   45,728    1,314,223 
First Financial Bankshares   61,094    1,944,011 
First Foundation *   28,722    180,374 
First Internet Bancorp   3,464    75,481 
First Interstate BancSystem, Cl A   40,621    1,440,827 
First Merchants   26,193    1,041,434 
First Mid Bancshares   9,867    415,401 
First National   3,481    91,724 
First Savings Financial Group   2,489    84,576 
First United   2,722    104,334 
First Western Financial *   3,718    93,508 
FirstCash Holdings   17,993    3,067,807 
Firstsun Capital Bancorp *   5,719    225,786 
Five Star Bancorp   7,075    280,312 
Flagstar Bank   137,972    1,823,990 
Flushing Financial   14,552    229,776 
Flywire *   53,034    668,228 
Fold Holdings *   2,808    5,448 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Financials — continued          
Forge Global Holdings *   4,975   $222,383 
Franklin BSP Realty Trust    37,047    380,102 
Franklin Financial Services   1,937    98,806 
FS Bancorp   2,935    123,211 
Fulton Financial   82,900    1,711,885 
FVCBankcorp   6,992    105,859 
GBank Financial Holdings *   4,069    132,365 
GCM Grosvenor   23,597    267,118 
Genworth Financial, Cl A *   184,586    1,539,447 
German American Bancorp   16,407    690,242 
Glacier Bancorp   58,296    2,954,441 
GoHealth, Cl A *   4,279    9,243 
Goosehead Insurance, Cl A *   10,709    662,245 
Great Southern Bancorp   3,754    230,421 
Green Dot, Cl A *   24,243    295,280 
Greene County Bancorp   3,272    76,696 
Greenlight Capital Re, Cl A *   11,808    163,777 
HA Sustainable Infrastructure Capital   55,558    1,911,751 
Hancock Whitney   38,489    2,648,043 
Hanmi Financial   13,575    360,688 
Hanover Bancorp   2,081    48,071 
Hawthorn Bancshares   2,621    92,810 
HBT Financial   5,157    139,136 
HCI Group   4,898    777,166 
Heritage Commerce   27,102    345,008 
Heritage Financial   15,462    399,074 
Heritage Insurance Holdings *   11,141    290,446 
Hilltop Holdings   19,713    738,252 
Hingham Institution For Savings   758    226,225 
Hippo Holdings *   8,091    241,112 
Home Bancorp   3,107    185,457 
Home BancShares   85,553    2,472,482 
HomeTrust Bancshares   7,276    313,741 
Hope Bancorp   55,973    670,557 
Horace Mann Educators   18,511    829,478 
Horizon Bancorp   22,716    400,256 
Independent Bank   22,859    1,846,550 
Independent Bank   8,996    316,209 
Innventure *   12,381    40,733 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Financials — continued          
International Bancshares   24,764   $1,724,565 
International Money Express *   12,419    191,998 
Invesco Mortgage Capital    32,392    278,247 
Investar Holding   4,146    117,954 
Investors Title   687    178,222 
Jackson Financial, Cl A   31,455    3,740,629 
James River Group Holdings   16,695    112,023 
Jefferson Capital Inc   3,528    75,393 
John Marshall Bancorp   5,736    118,391 
Kearny Financial   25,893    201,706 
Kingstone   5,072    78,362 
KKR Real Estate Finance Trust    24,982    206,851 
Ladder Capital, Cl A    51,666    566,776 
Lakeland Financial   11,410    680,036 
Landmark Bancorp   2,111    56,976 
LCNB   6,136    104,987 
Lemonade *   27,494    2,384,555 
LendingClub *   51,413    869,394 
LendingTree *   5,022    284,547 
LINKBANCORP   9,742    85,243 
Live Oak Bancshares   15,968    638,081 
loanDepot, Cl A *   40,316    87,889 
Lument Finance Trust    21,232    28,451 
MainStreet Bancshares   3,215    68,833 
MarketWise   959    15,871 
Marqeta, Cl A *   165,170    682,152 
MBIA *   20,692    132,429 
Mechanics Bancorp, Cl A   21,939    328,866 
Medallion Financial   7,396    76,105 
Mercantile Bank   7,212    374,880 
Merchants Bancorp   11,775    488,192 
Mercury General   12,221    1,070,437 
Meridian   4,284    81,096 
Metrocity Bankshares   8,793    247,699 
Metropolitan Bank Holding   4,149    384,197 
MFA Financial    46,611    449,330 
Miami International Holdings *   10,631    443,632 
Mid Penn Bancorp   8,804    290,444 
Middlefield Banc   3,349    112,325 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Financials — continued          
Midland States Bancorp   9,308   $212,688 
MidWestOne Financial Group   7,469    345,964 
Moelis, Cl A   33,751    2,418,934 
MVB Financial   5,028    141,991 
National Bank Holdings, Cl A   17,210    691,498 
National Bankshares   2,823    102,785 
Navient   30,707    301,236 
NB Bancorp   18,069    392,459 
NBT Bancorp   23,251    1,033,042 
NCR Atleos *   33,169    1,237,204 
Nelnet, Cl A   5,080    670,052 
NerdWallet, Cl A *   19,332    233,144 
NewtekOne   10,174    137,247 
Nexpoint Real Estate Finance    3,409    50,351 
NI Holdings *   3,245    44,197 
Nicolet Bankshares   6,038    881,427 
NMI Holdings, Cl A *   35,489    1,374,134 
Northeast Bank   3,415    393,510 
Northeast Community Bancorp   5,601    132,184 
Northfield Bancorp   16,748    206,335 
Northpointe Bancshares   9,265    159,729 
Northrim BanCorp   9,857    232,231 
Northwest Bancshares   65,697    846,177 
Norwood Financial   4,493    136,722 
Oak Valley Bancorp   3,167    101,186 
OceanFirst Financial   25,387    476,006 
Ohio Valley Banc   1,760    72,424 
Old National Bancorp   159,070    3,886,080 
Old Second Bancorp   22,776    451,876 
Onity Group *   3,023    136,700 
OP Bancorp   5,318    74,346 
Open Lending, Cl A *   45,679    81,765 
Oportun Financial *   18,211    98,704 
OppFi   12,057    114,783 
Orange County Bancorp   5,268    162,360 
Orchid Island Capital, Cl A    69,348    540,914 
Origin Bancorp   13,443    575,764 
Orrstown Financial Services   8,468    305,017 
Oscar Health, Cl A *   89,766    1,288,142 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Financials — continued          
P10, Cl A   26,466   $285,303 
Palomar Holdings *   11,972    1,479,619 
Park National   6,735    1,097,401 
Parke Bancorp   4,518    123,387 
Pathward Financial   10,315    931,341 
Patriot National Bancorp *   30,966    47,688 
Payoneer Global *   125,919    804,622 
Paysafe *   14,662    100,581 
Paysign *   15,994    66,695 
PCB Bancorp   4,888    109,687 
Peapack-Gladstone Financial   7,274    230,731 
PennyMac Financial Services   13,278    1,326,738 
PennyMac Mortgage Investment Trust    39,468    466,906 
Peoples Bancorp   15,732    511,605 
Peoples Bancorp of North Carolina   1,949    71,392 
Peoples Financial Services   4,220    219,862 
Perella Weinberg Partners, Cl A   28,081    626,487 
Pioneer Bancorp *   5,069    71,726 
Piper Sandler   7,942    2,750,712 
PJT Partners, Cl A   10,435    1,805,568 
Plumas Bancorp   2,969    148,777 
Ponce Financial Group *   8,834    148,235 
PRA Group *   17,582    224,874 
Preferred Bank   5,270    452,008 
Primis Financial   9,498    128,033 
Princeton Bancorp   2,330    84,416 
Priority Technology Holdings *   12,429    73,455 
ProAssurance *   23,097    559,409 
PROG Holdings   17,794    577,237 
Provident Financial Services   58,490    1,294,969 
QCR Holdings   7,507    677,582 
Radian Group   61,568    2,025,587 
RBB Bancorp   7,383    153,123 
Ready Capital    67,151    143,032 
Red River Bancshares   2,207    183,313 
Redwood Trust    57,313    314,075 
Regional Management   4,097    151,794 
Remitly Global *   76,694    1,013,895 
Renasant   42,819    1,614,704 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Financials — continued          
Repay Holdings, Cl A *   30,526   $106,536 
Republic Bancorp, Cl A   3,768    273,594 
Rhinebeck Bancorp *   2,093    24,363 
Richmond Mutual BanCorp   3,814    53,510 
Rithm Property Trust    3,071    50,579 
Riverview Bancorp   9,442    48,815 
Root, Cl A *   5,563    345,629 
S&T Bancorp   17,368    740,572 
Safety Insurance Group   6,663    524,378 
SB Financial Group   2,653    60,568 
Seacoast Banking Corp of Florida   39,630    1,325,227 
Security National Financial, Cl A *   7,218    63,663 
Selective Insurance Group   27,619    2,322,206 
Selectquote *   63,649    90,382 
ServisFirst Bancshares   23,430    1,917,746 
Seven Hills Realty Trust    10,181    87,760 
Sezzle *   7,397    467,786 
Shore Bancshares   13,983    265,258 
Siebert Financial *   6,477    19,237 
Sierra Bancorp   5,544    196,313 
Silvercrest Asset Management Group, Cl A   3,240    47,758 
Simmons First National, Cl A   65,518    1,331,981 
Skyward Specialty Insurance Group *   16,155    720,836 
Slide Insurance Holdings Inc *   12,080    208,138 
SmartFinancial   6,557    261,755 
Sound Financial Bancorp   938    41,178 
South Plains Financial   5,846    243,544 
Southern First Bancshares *   3,475    190,917 
Southern Missouri Bancorp   4,393    274,870 
Southside Bancshares   13,038    419,693 
SR Bancorp   3,493    58,124 
Stellar Bancorp   21,358    793,236 
StepStone Group, Cl A   31,679    2,239,389 
Stewart Information Services   12,600    849,618 
Stock Yards Bancorp   11,944    808,489 
StoneX Group *   22,249    2,497,673 
Sunrise Realty Trust    4,707    44,246 
SWK Holdings   1,410    24,675 
Texas Capital Bancshares *   20,663    2,090,476 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Financials — continued          
Third Coast Bancshares *   5,850   $237,276 
Timberland Bancorp   3,422    133,253 
Tiptree   10,626    189,993 
Tompkins Financial   6,148    492,578 
Towne Bank   33,259    1,164,065 
TPG RE Finance Trust    30,543    275,803 
TriCo Bancshares   13,709    682,982 
Triumph Financial *   10,305    650,142 
Trupanion *   16,815    537,912 
TrustCo Bank NY   8,437    366,166 
Trustmark   25,506    1,084,515 
Two Harbors Investment    47,186    541,223 
UMB Financial   33,003    4,196,001 
Union Bankshares   1,741    43,333 
United Bankshares   63,515    2,688,590 
United Community Banks   55,610    1,914,652 
United Fire Group   9,520    342,149 
United Security Bancshares   6,218    66,781 
Unity Bancorp   3,356    181,090 
Universal Insurance Holdings   11,550    351,698 
Univest Financial   12,897    427,407 
Upstart Holdings *   38,691    1,518,622 
USCB Financial Holdings   5,272    99,377 
Valley National Bancorp   220,280    2,744,689 
Value Line   363    13,605 
Velocity Financial *   5,160    104,696 
Victory Capital Holdings, Cl A   20,099    1,417,582 
Virginia National Bankshares   2,109    86,300 
Virtus Investment Partners   2,916    476,037 
Vroom *   493    9,495 
WaFd   35,373    1,153,867 
Walker & Dunlop   14,970    941,463 
Washington Trust Bancorp   8,641    296,991 
Waterstone Financial   6,872    125,689 
WesBanco   42,994    1,517,258 
West BanCorp   6,839    162,289 
Westamerica BanCorp   10,956    554,154 
Western New England Bancorp   8,204    110,180 
Westwood Holdings Group   3,418    62,584 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Financials — continued          
WisdomTree   55,984   $906,941 
World Acceptance *   1,345    163,081 
WSFS Financial   25,418    1,645,307 
         227,845,191 
Health Care — 17.4%          
10X Genomics, Cl A *   50,138    1,012,788 
4D Molecular Therapeutics *   18,191    161,172 
Aardvark Therapeutics *   5,781    75,095 
Abeona Therapeutics *   19,695    100,248 
Absci *   61,354    183,448 
ACADIA Pharmaceuticals *   56,488    1,419,543 
Accuray *   44,787    36,157 
Aclaris Therapeutics *   41,428    145,412 
Acme United   1,570    65,610 
Actuate Therapeutics *   4,312    20,310 
AdaptHealth, Cl A *   46,055    462,853 
Adaptive Biotechnologies *   67,829    1,254,836 
Addus HomeCare *   8,216    850,192 
ADMA Biologics *   105,227    1,820,427 
agilon health *   139,512    116,102 
Agios Pharmaceuticals *   25,513    700,077 
AirSculpt Technologies *   7,747    23,009 
Akebia Therapeutics *   114,505    161,452 
Aldeyra Therapeutics *   24,537    131,518 
Alector *   36,272    68,554 
Alignment Healthcare *   77,011    1,735,058 
Alkermes PLC *   73,642    2,495,727 
Allogene Therapeutics *   69,564    127,998 
Alpha Teknova *   4,921    11,909 
Alphatec Holdings *   53,129    787,903 
Altimmune *   40,076    224,426 
Alumis *   25,537    625,912 
Amicus Therapeutics *   135,218    1,932,265 
AMN Healthcare Services *   17,302    368,533 
Amneal Pharmaceuticals *   68,299    934,330 
Amphastar Pharmaceuticals *   16,435    435,363 
Amylyx Pharmaceuticals *   40,059    572,443 
AnaptysBio *   8,359    396,300 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Health Care — continued          
Anavex Life Sciences *   37,774   $177,538 
AngioDynamics *   17,766    184,056 
ANI Pharmaceuticals *   8,225    673,216 
Anika Therapeutics *   5,828    53,792 
Annexon *   45,279    282,541 
Anteris Technologies Global *   15,389    91,872 
Apogee Therapeutics *   17,480    1,145,115 
Aquestive Therapeutics *   47,198    139,234 
Arbutus Biopharma *   68,482    282,831 
Arcellx *   15,523    1,060,376 
Arcturus Therapeutics Holdings *   11,486    85,800 
Arcus Biosciences *   35,572    748,435 
Arcutis Biotherapeutics *   49,956    1,267,384 
Ardelyx *   108,769    836,434 
Ardent Health Partners *   10,452    85,393 
ArriVent Biopharma *   13,323    299,634 
Arrowhead Pharmaceuticals *   60,233    4,175,954 
ARS Pharmaceuticals *   26,619    265,924 
Artivion *   19,052    776,750 
Arvinas *   29,644    396,637 
Astrana Health *   18,395    418,302 
Atea Pharmaceuticals *   32,087    136,049 
Atlantic International *   2,416    8,359 
AtriCure *   21,889    808,361 
aTyr Pharma *   40,660    35,895 
Aura Biosciences *   19,804    110,902 
Avadel Pharmaceuticals *   40,549    873,831 
Avanos Medical *   20,250    269,730 
Aveanna Healthcare Holdings *   31,478    264,415 
Avidity Biosciences *   52,537    3,812,610 
Avita Medical *   5,691    25,097 
Axogen *   20,074    699,579 
Axsome Therapeutics *   18,623    3,431,288 
Azenta *   18,528    720,369 
Beam Therapeutics *   43,396    1,198,598 
Beta Bionics Inc *   17,594    243,325 
Bicara Therapeutics *   14,281    239,921 
BioAge Labs *   10,713    203,440 
BioCryst Pharmaceuticals *   105,673    695,328 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Health Care — continued          
Biohaven *   42,415   $501,769 
BioLife Solutions *   18,544    404,259 
Biote, Cl A *   13,588    28,399 
Bioventus, Cl A *   20,885    165,618 
Bridgebio Pharma *   72,035    5,566,144 
BrightSpring Health Services *   50,524    1,984,077 
Brookdale Senior Living *   105,601    1,584,015 
Butterfly Network, Cl A *   88,611    350,900 
Candel Therapeutics *   19,445    113,559 
Capricor Therapeutics *   17,382    380,492 
Capsovision Inc *   2,663    13,368 
Cardiff Oncology *   27,976    48,958 
CareDx *   23,593    484,836 
Carlsmed Inc *   3,166    39,322 
Cartesian Therapeutics *   5,009    34,211 
Castle Biosciences *   12,890    507,737 
Catalyst Pharmaceuticals *   52,546    1,276,868 
Celcuity *   14,603    1,597,860 
Celldex Therapeutics *   29,589    727,889 
Ceribell *   12,036    248,062 
Cerus *   83,471    194,487 
CG oncology *   25,362    1,320,092 
Claritev, Cl A *   3,374    91,638 
ClearPoint Neuro *   11,873    153,518 
Clover Health Investments, Cl A *   184,785    413,918 
Codexis *   40,288    49,957 
Cogent Biosciences *   63,093    2,265,670 
Coherus Biosciences *   47,980    103,637 
Collegium Pharmaceutical *   14,252    654,452 
Community Health Systems *   57,920    185,923 
Compass Therapeutics *   59,099    378,234 
Concentra Group Holdings Parent   53,045    1,176,538 
CONMED   14,130    542,451 
CorMedix *   33,540    260,270 
CorVel *   13,217    920,300 
Corvus Pharmaceuticals *   25,889    535,902 
Crinetics Pharmaceuticals *   44,383    2,216,487 
Cross Country Healthcare *   14,188    132,232 
CryoPort *   22,119    210,352 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Health Care — continued          
Cullinan Therapeutics *   24,395   $291,764 
CVRx *   7,302    50,019 
Cytek Biosciences *   53,168    265,840 
Cytokinetics *   53,022    3,350,460 
Day One Biopharmaceuticals *   35,492    396,091 
Definitive Healthcare, Cl A *   13,571    31,485 
Definium Therapeutics *   42,589    718,902 
Delcath Systems *   13,450    133,289 
Denali Therapeutics *   60,110    1,306,791 
Design Therapeutics *   10,795    110,217 
DiaMedica Therapeutics *   15,377    123,631 
Dianthus Therapeutics *   11,078    591,454 
Disc Medicine, Cl A *   11,310    874,489 
DocGo *   40,639    31,154 
Dynavax Technologies *   45,745    708,361 
Dyne Therapeutics *   56,176    1,004,989 
Edgewise Therapeutics *   30,555    860,123 
Editas Medicine, Cl A *   41,002    81,594 
Electromed *   3,132    93,553 
Eledon Pharmaceuticals *   26,052    57,314 
Embecta   26,432    280,444 
Emergent BioSolutions *   23,621    267,862 
Enanta Pharmaceuticals *   12,335    159,122 
Enhabit *   22,380    237,899 
Enliven Therapeutics *   17,806    470,969 
Enovis *   25,855    569,844 
Ensign Group   25,509    4,378,875 
Entrada Therapeutics *   12,915    147,748 
Erasca *   78,785    828,030 
Esperion Therapeutics *   105,741    358,462 
Eton Pharmaceuticals *   11,531    173,080 
Evolent Health, Cl A *   53,067    170,345 
Evolus *   23,497    110,201 
EyePoint Pharmaceuticals *   34,181    462,127 
Fate Therapeutics *   51,041    60,739 
Foghorn Therapeutics *   15,455    88,248 
Fortrea Holdings *   41,340    694,925 
Fulcrum Therapeutics *   19,504    209,278 
Fulgent Genetics *   9,338    244,656 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Health Care — continued          
GeneDx Holdings, Cl A *   8,634   $831,109 
Geron *   246,923    338,285 
Ginkgo Bioworks Holdings *   18,657    167,353 
Glaukos *   25,381    3,029,984 
Gossamer Bio *   86,852    198,023 
GRAIL *   15,958    1,561,012 
Greenwich Lifesciences *   2,990    89,909 
Guardant Health *   55,159    6,290,332 
Guardian Pharmacy Services, Cl A *   10,140    306,228 
Gyre Therapeutics *   5,333    43,144 
Haemonetics *   21,884    1,458,787 
Harmony Biosciences Holdings *   19,853    725,032 
Harrow *   14,243    583,108 
Health Catalyst *   30,551    65,685 
HealthEquity *   38,747    3,319,455 
HealthStream   10,752    239,662 
HeartFlow *   8,826    263,633 
Heron Therapeutics *   69,482    91,716 
Hims & Hers Health *   93,105    2,522,214 
Humacyte *   70,106    69,945 
ICU Medical *   10,976    1,645,302 
Ideaya Biosciences *   36,453    1,173,422 
ImmunityBio *   133,438    833,988 
Immunome *   42,522    1,046,892 
Immunovant *   31,734    825,084 
Indivior PLC *   55,062    1,948,094 
Inhibikase Therapeutics *   28,135    42,203 
Inhibrx Biosciences *   4,100    312,707 
Inmune Bio *   9,708    15,436 
Innovage Holding *   9,118    50,605 
Innoviva *   28,461    569,220 
Inogen *   10,743    63,384 
Integer Holdings *   15,641    1,358,577 
Integra LifeSciences Holdings *   30,355    338,155 
Intellia Therapeutics *   46,704    614,158 
Iovance Biotherapeutics *   138,985    354,412 
iRadimed   3,695    361,667 
iRhythm Technologies *   14,476    2,236,687 
Ironwood Pharmaceuticals, Cl A *   72,360    353,840 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Health Care — continued          
Jade Biosciences   20,965   $327,264 
Janux Therapeutics *   19,407    266,070 
Joint *   6,366    62,259 
Journey Medical *   6,487    54,231 
KalVista Pharmaceuticals *   17,317    270,318 
Keros Therapeutics *   13,181    236,072 
Kestra Medical Technologies *   8,819    217,565 
Kodiak Sciences *   14,787    336,700 
Korro Bio *   3,072    40,950 
KORU Medical Systems *   19,574    105,504 
Krystal Biotech *   11,254    3,142,567 
Kura Oncology *   36,436    295,860 
Kymera Therapeutics *   25,606    1,861,300 
Lantheus Holdings *   30,425    2,036,041 
Larimar Therapeutics *   21,955    77,721 
LB Pharmaceuticals *   8,744    187,559 
LeMaitre Vascular   9,472    804,836 
LENSAR *   4,403    56,050 
LENZ Therapeutics *   7,350    116,277 
Lexeo Therapeutics *   28,521    211,341 
Lifecore Biomedical *   12,861    111,762 
LifeMD *   17,293    56,029 
LifeStance Health Group *   75,230    531,876 
Ligand Pharmaceuticals *   8,814    1,693,169 
Liquidia *   29,073    1,232,404 
LivaNova PLC *   24,751    1,626,388 
Lucid Diagnostics *   40,750    48,493 
Madrigal Pharmaceuticals *   8,443    4,131,244 
MannKind *   136,857    791,033 
MapLight Therapeutics *   7,593    134,320 
Maravai LifeSciences Holdings, Cl A *   49,451    166,155 
MaxCyte *   45,670    41,414 
Maze Therapeutics Inc *   9,711    423,205 
MBX Biosciences *   12,925    476,286 
MeiraGTx Holdings PLC *   20,451    155,632 
Merit Medical Systems *   26,551    2,153,021 
Mesa Laboratories   2,346    184,771 
MiMedx Group *   53,544    273,610 
Mineralys Therapeutics *   21,235    655,949 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Health Care — continued          
Mirum Pharmaceuticals *   18,611   $1,921,027 
Monopar Therapeutics *   2,074    125,228 
Monte Rosa Therapeutics *   21,033    431,597 
Myomo *   14,957    12,550 
Myriad Genetics *   41,193    231,505 
National HealthCare   5,767    825,315 
National Research   5,366    109,144 
Neogen *   99,273    1,014,570 
NeoGenomics *   58,319    703,327 
Neurogene *   4,480    79,117 
Neuronetics *   16,703    34,909 
NeuroPace *   11,559    174,888 
Nkarta *   19,861    44,091 
Novavax *   67,664    598,488 
Novocure *   45,917    569,371 
Nurix Therapeutics *   45,350    749,182 
Nutex Health *   1,567    233,154 
Nuvalent, Cl A *   22,722    2,337,867 
Nuvation Bio *   109,080    571,579 
Nuvectis Pharma *   7,013    56,875 
Ocular Therapeutix *   84,100    768,674 
Olema Pharmaceuticals *   26,903    691,945 
Omada Health Inc *   4,296    64,225 
Omeros *   29,771    348,023 
OmniAb *   47,548    86,537 
Omnicell *   20,681    1,003,029 
Oncology Institute *   30,815    83,509 
OPKO Health *   186,035    234,404 
OptimizeRx *   7,171    77,160 
Option Care Health *   72,521    2,465,714 
OraSure Technologies *   32,034    89,375 
Organogenesis Holdings, Cl A *   30,849    123,396 
ORIC Pharmaceuticals *   29,908    306,856 
Orthofix Medical *   17,533    231,962 
OrthoPediatrics *   7,614    132,940 
Oruka Therapeutics *   17,426    596,492 
Outset Medical *   7,801    39,083 
Owens & Minor *   34,102    75,365 
Pacific Biosciences of California *   124,816    282,084 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Health Care — continued          
Pacira BioSciences *   20,188   $414,662 
PACS Group *   19,998    675,132 
Palvella Therapeutics *   3,314    254,151 
Pediatrix Medical Group *   39,320    840,662 
Pennant Group *   15,348    423,912 
Personalis *   22,638    212,118 
Perspective Therapeutics *   26,925    102,046 
Phathom Pharmaceuticals *   17,979    245,773 
Phibro Animal Health, Cl A   9,225    370,384 
Phreesia *   25,885    347,636 
Picard Medical *   2,201    3,852 
Praxis Precision Medicines *   11,158    3,503,612 
Precigen *   81,509    365,975 
Prestige Consumer Healthcare *   22,424    1,445,675 
Prime Medicine *   45,003    171,461 
Privia Health Group *   52,824    1,226,573 
PROCEPT BioRobotics *   24,202    700,890 
Pro-Dex *   925    36,288 
Progyny *   33,961    810,649 
Protagonist Therapeutics *   26,421    2,161,238 
Protalix BioTherapeutics *   32,358    75,718 
Protara Therapeutics *   15,910    112,643 
PTC Therapeutics *   35,277    2,664,472 
Pulmonx *   17,472    28,654 
Pulse Biosciences *   8,002    110,668 
Puma Biotechnology *   19,641    127,274 
Quanterix *   19,921    126,299 
Quantum-Si *   71,046    80,282 
QuidelOrtho *   30,777    836,211 
RadNet *   31,001    2,173,170 
Rapport Therapeutics *   12,916    343,695 
Recursion Pharmaceuticals, Cl A *   172,675    723,508 
REGENXBIO *   21,098    235,454 
Relay Therapeutics *   63,638    487,467 
Replimune Group, Cl Rights *   31,281    219,905 
Rezolute *   35,954    120,086 
Rhythm Pharmaceuticals *   24,025    2,463,043 
Rigel Pharmaceuticals *   7,951    277,172 
Rocket Pharmaceuticals *   38,334    133,402 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Health Care — continued          
RxSight *   15,695   $136,390 
Sana Biotechnology *   74,688    330,868 
Sanara Medtech *   1,411    31,042 
SANUWAVE Health *   3,413    92,014 
Savara *   64,033    345,778 
SBC Medical Group Holdings *   5,073    23,234 
Scholar Rock Holding *   37,340    1,655,656 
Schrodinger *   25,429    355,243 
Select Medical Holdings   48,579    731,114 
SELLAS Life Sciences Group *   56,030    211,233 
Septerna, Inc. *   9,675    225,815 
Shoulder Innovations Inc *   2,227    31,534 
SI-BONE *   17,398    288,459 
SIGA Technologies   18,532    124,164 
Sight Sciences *   18,909    118,749 
Simulations Plus *   7,504    126,743 
Sionna Therapeutics *   7,290    308,075 
Soleno Therapeutics *   21,192    817,164 
Solid Biosciences *   26,604    171,862 
Sonida Senior Living *   2,465    78,510 
Spyre Therapeutics *   31,271    1,000,047 
STAAR Surgical *   22,520    426,754 
Standard BioTools *   135,282    189,395 
Stereotaxis *   27,441    60,096 
Stoke Therapeutics *   20,274    615,113 
Strata Critical Medical *   30,836    150,480 
Strive, Cl B *   126,063    103,510 
Supernus Pharmaceuticals *   24,487    1,179,294 
Surgery Partners *   34,941    519,223 
Syndax Pharmaceuticals *   38,562    783,194 
Tactile Systems Technology *   10,025    289,322 
Talkspace *   65,196    263,392 
Tandem Diabetes Care *   30,607    608,773 
Tango Therapeutics *   48,121    558,685 
Tarsus Pharmaceuticals *   17,777    1,147,328 
Taysha Gene Therapies *   99,826    450,215 
Tectonic Therapeutic *   4,931    98,571 
Teladoc Health *   80,506    438,758 
Terns Pharmaceuticals *   38,923    1,346,736 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Health Care — continued          
Tevogen Bio Holdings *   18,561   $5,637 
TG Therapeutics *   65,922    1,940,084 
Theravance Biopharma *   17,068    323,268 
Tonix Pharmaceuticals Holding *   5,240    90,338 
TransMedics Group *   15,246    2,042,583 
Travere Therapeutics *   37,445    1,164,165 
Treace Medical Concepts *   22,110    51,295 
Trevi Therapeutics *   40,953    428,778 
TriSalus Life Sciences *   13,765    68,412 
TruBridge *   4,628    89,552 
Tvardi Therapeutics *   2,214    8,790 
Twist Bioscience *   27,159    1,115,420 
Tyra Biosciences *   11,673    359,762 
UFP Technologies *   3,415    857,643 
Upstream Bio *   14,827    460,823 
UroGen Pharma *   16,710    327,683 
US Physical Therapy   6,821    572,077 
Utah Medical Products   1,366    83,408 
Vanda Pharmaceuticals *   25,137    189,533 
Varex Imaging *   18,520    258,169 
Vaxcyte *   51,965    2,783,765 
Vera Therapeutics, Cl A *   25,227    1,091,320 
Veracyte *   35,576    1,354,734 
Verastem *   24,141    147,260 
Vericel *   22,872    822,935 
Viemed Healthcare *   15,499    118,877 
Vir Biotechnology *   40,217    299,214 
Viridian Therapeutics *   36,264    1,196,712 
Voyager Therapeutics Inc *   21,031    82,021 
WaVe Life Sciences *   52,308    676,866 
Waystar Holding *   50,011    1,328,292 
Xencor *   31,895    385,611 
Xeris Biopharma Holdings *   69,424    510,961 
XOMA Royalty *   4,387    112,570 
Zenas Biopharma *   8,558    157,210 
Zevra Therapeutics *   25,163    226,467 
Zymeworks *   22,480    506,474 
         240,319,366 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Industrials — 18.6%          
3D Systems *   56,360   $126,246 
AAR *   17,769    1,881,915 
ABM Industries   27,663    1,273,605 
ACCO Brands   39,520    154,523 
ACV Auctions, Cl A *   75,927    592,990 
AeroVironment *   17,176    4,781,627 
AerSale *   14,510    108,680 
Airjoule Technologies, Cl A *   11,158    35,929 
Airo Group Holdings Inc *   3,589    36,931 
Alamo Group   4,724    922,644 
Albany International, Cl A   13,403    743,732 
Alight, Cl A   195,008    298,362 
Allegiant Travel *   6,560    581,413 
Alliance Laundry Holdings *   19,726    435,550 
Allient   6,493    396,138 
Alta Equipment Group   9,193    62,145 
Ameresco, Cl A *   14,489    454,085 
American Superconductor *   19,838    593,553 
American Woodmark *   6,471    384,313 
Amprius Technologies *   49,873    620,420 
Apogee Enterprises   9,578    355,631 
ArcBest   10,358    934,499 
Archer Aviation, Cl A *   286,483    2,059,813 
Arcosa   22,053    2,524,407 
Argan   6,123    2,125,355 
Array Technologies *   68,948    780,836 
Arrive AI Inc *   1,721    3,201 
Astec Industries   10,388    506,103 
Astronics *   13,900    1,052,925 
Asure Software *   11,450    110,149 
Atkore   15,246    1,058,835 
Atmus Filtration Technologies   37,918    2,198,106 
AZZ, Inc.   13,483    1,675,802 
Barrett Business Services   11,293    429,134 
BlackSky Technology, Cl A *   14,088    310,922 
Bloom Energy, Cl A *   99,290    15,029,527 
Blue Bird *   14,386    723,760 
BlueLinx Holdings *   3,474    241,651 
Boise Cascade   17,133    1,384,518 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Industrials — continued          
Bowman Consulting Group, Cl A *   6,321   $220,160 
BrightView Holdings *   32,488    434,040 
Brink’s   19,119    2,428,878 
Byrna Technologies *   8,190    112,285 
Cadre Holdings   12,926    517,169 
Casella Waste Systems, Cl A *   28,553    2,880,427 
CBIZ *   22,387    880,928 
CECO Environmental *   13,386    902,618 
Centuri Holdings *   35,567    981,649 
Chart Industries *   20,543    4,259,386 
Columbus McKinnon   12,848    270,836 
CompX International   696    16,217 
Concrete Pumping Holdings *   9,964    57,592 
Conduent *   65,780    91,434 
Construction Partners, Cl A *   21,312    2,341,763 
CoreCivic *   47,802    885,771 
Covenant Logistics Group, Cl A   6,882    169,297 
CRA International   2,905    548,871 
CSG Systems International   12,597    1,004,611 
CSW Industrials   7,415    2,001,902 
Custom Truck One Source *   27,258    172,271 
Deluxe   19,976    527,366 
Distribution Solutions Group *   4,459    126,591 
DNOW *   84,389    1,281,869 
Douglas Dynamics   10,285    387,539 
Ducommun *   6,266    710,251 
DXP Enterprises *   5,915    769,246 
Dycom Industries *   12,731    4,639,049 
Eastern   2,671    49,948 
Energy Recovery *   23,431    341,858 
Enerpac Tool Group, Cl A   24,119    973,443 
EnerSys   16,953    3,054,761 
Ennis   11,060    215,559 
Enovix *   76,306    505,146 
Enpro   9,599    2,292,049 
Enviri *   34,423    651,283 
Eos Energy Enterprises *   140,169    2,052,074 
ESCO Technologies   11,807    2,694,003 
Eve Holding *   43,333    170,732 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Industrials — continued          
EVI Industries   2,256   $57,979 
Exponent   23,083    1,658,975 
Falcon’s Beyond Global, Cl A *   6,570    39,223 
Federal Signal   27,280    2,948,695 
Firefly Aerospace *   9,737    245,372 
First Advantage *   35,852    484,002 
Fluence Energy, Cl A *   28,885    888,791 
Fluor *   73,137    3,378,198 
flyExclusive *   2,426    7,181 
Forrester Research *   5,310    43,064 
Forward Air *   9,719    270,966 
Franklin Covey *   4,829    98,367 
Franklin Electric   17,621    1,755,404 
Frontier Group Holdings *   38,291    177,670 
FTAI Infrastructure   49,531    288,270 
GATX   16,306    2,966,224 
Genco Shipping & Trading   14,254    297,909 
Gencor Industries *   4,836    69,348 
GEO Group *   61,438    981,779 
Gibraltar Industries *   13,491    691,549 
Global Industrial   6,466    197,601 
Gorman-Rupp   9,486    516,892 
Graham *   4,752    332,260 
Granite Construction   19,880    2,400,311 
Great Lakes Dredge & Dock *   30,112    451,078 
Greenbrier   13,684    689,947 
Griffon   17,425    1,419,266 
Healthcare Services Group *   31,907    600,490 
Heartland Express   19,769    199,469 
Helios Technologies   15,061    975,652 
Herc Holdings   14,839    2,127,022 
Hertz Global Holdings *   53,440    261,856 
Hillenbrand   32,063    1,023,130 
Hillman Solutions *   89,931    842,653 
HireQuest   2,686    30,164 
HNI   28,919    1,382,039 
Hub Group, Cl A   27,132    1,290,941 
Hudson Technologies *   17,378    124,600 
Huron Consulting Group *   7,739    1,307,891 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Industrials — continued          
Hyliion Holdings *   56,072   $114,948 
Hyster-Yale   5,299    177,252 
IBEX Holdings *   4,570    170,004 
ICF International   8,318    775,654 
IES Holdings *   4,103    1,560,330 
Innodata *   13,925    772,002 
Insperity   16,317    697,225 
Insteel Industries   8,474    280,828 
Interface, Cl A   26,253    826,182 
Intuitive Machines, Cl A *   49,522    940,423 
Janus International Group *   61,343    420,813 
JBT Marel   23,724    3,732,022 
JELD-WEN Holding *   38,474    104,649 
JetBlue Airways *   134,308    654,080 
Joby Aviation *   220,909    2,335,008 
Kadant   5,350    1,717,564 
Karat Packaging   3,867    94,625 
Kelly Services, Cl A   14,064    151,751 
Kennametal   34,483    1,185,870 
Kforce   8,106    286,385 
Korn Ferry   23,766    1,651,024 
Kratos Defense & Security Solutions *   75,722    7,800,123 
KULR Technology Group *   17,866    63,603 
L B Foster, Cl A *   4,599    138,200 
Legalzoom.com *   57,684    512,811 
Legence, Cl A *   16,792    787,713 
Limbach Holdings *   4,815    413,994 
Lindsay   4,949    619,961 
Liquidity Services *   10,489    335,648 
LSI Industries   12,302    271,997 
Manitowoc *   15,584    201,345 
Marten Transport   26,422    324,991 
Masterbrand *   57,484    696,706 
Matrix Service *   12,256    175,506 
Matson   14,271    2,287,641 
Maximus   25,703    2,427,391 
Mayville Engineering *   5,957    116,757 
McGrath RentCorp   11,120    1,241,993 
Mercury Systems *   23,635    2,218,854 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Industrials — continued          
Microvast Holdings *   89,987   $235,766 
Miller Industries   4,967    203,498 
MillerKnoll   30,920    620,874 
Mistras Group *   5,642    79,778 
Mobile Infrastructure, Cl A *   5,877    18,748 
Modine Manufacturing *   23,801    4,395,093 
Montrose Environmental Group *   14,971    333,554 
Moog, Cl A   12,765    3,897,793 
Mueller Water Products, Cl A   70,837    1,917,558 
MYR Group *   6,989    1,747,530 
NANO Nuclear Energy *   18,140    533,225 
National Presto Industries   2,363    301,046 
Net Power *   14,259    33,794 
Nextpower, Cl A *   66,265    7,758,969 
NL Industries   4,079    24,800 
NPK International *   37,142    512,931 
NuScale Power *   57,552    1,006,009 
NWPX Infrastructure *   4,294    289,630 
Omega Flex   1,663    54,862 
OPENLANE *   47,802    1,435,972 
Orion Group Holdings *   16,994    207,667 
Palladyne AI *   13,689    89,252 
PAMT *   2,096    22,742 
Pangaea Logistics Solutions   13,473    114,251 
Park Aerospace   8,261    202,312 
Park-Ohio Holdings   4,454    100,482 
Perma-Fix Environmental Services *   7,797    119,060 
Pitney Bowes   72,930    760,660 
Planet Labs PBC *   108,155    2,700,630 
Plug Power *   511,251    1,081,296 
Powell Industries   4,338    1,924,293 
Power Solutions International *   3,853    276,106 
Preformed Line Products   1,168    293,098 
Primoris Services   24,575    3,643,244 
Proficient Auto Logistics *   11,135    112,241 
Proto Labs *   10,752    566,093 
Quad   13,044    79,829 
Quanex Building Products   20,876    390,799 
Radiant Logistics *   16,393    110,325 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Industrials — continued          
RCM Technologies *   2,181   $45,387 
Red Cat Holdings *   46,312    625,212 
Redwire *   33,137    389,360 
Resideo Technologies *   58,647    2,009,246 
Resolute Holdings Management *   1,965    400,781 
Resources Connection   14,541    65,871 
REV Group   21,966    1,403,627 
Richtech Robotics, Cl B *   69,285    248,040 
Rush Enterprises, Cl A   27,749    1,781,208 
Rush Enterprises, Cl B   3,883    229,136 
RXO *   73,818    1,076,266 
Satellogic, Cl A *   37,977    174,694 
Shoals Technologies Group, Cl A *   76,032    717,742 
Skillsoft *   2,186    19,783 
Sky Harbour Group, Cl A *   9,625    88,935 
SkyWest *   18,352    1,771,335 
SKYX Platforms *   32,358    80,895 
Southland Holdings *   5,662    10,531 
Spire Global *   12,421    142,220 
SPX Technologies *   21,901    4,564,387 
Standex International   5,460    1,310,400 
Sterling Infrastructure *   13,549    4,849,323 
Sun Country Airlines Holdings *   23,135    405,788 
Sunpower *   27,907    48,000 
Sunrun *   101,564    1,929,716 
Tecnoglass   12,266    599,930 
Tennant   8,362    636,265 
Terex   29,351    1,673,007 
Thermon Group Holdings *   14,858    672,325 
TIC Solutions *   90,628    915,343 
Titan International *   22,008    209,956 
Titan Machinery *   9,547    155,330 
Transcat *   4,153    250,467 
TriNet Group   13,530    828,577 
Trinity Industries   36,513    1,049,384 
TrueBlue *   12,886    69,069 
TTEC Holdings *   9,498    30,299 
Tutor Perini   20,220    1,595,156 
UFP Industries   26,411    2,727,728 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Industrials — continued          
UniFirst   6,648   $1,429,320 
Universal Logistics Holdings   3,154    50,496 
Upwork *   55,858    1,118,836 
V2X *   10,488    721,889 
Verra Mobility, Cl A *   72,529    1,399,810 
Vestis   52,212    340,944 
Vicor *   10,441    1,646,232 
Virco Mfg   5,000    34,950 
Voyager Technologies Inc, Cl A *   6,260    191,118 
VSE   10,436    2,280,997 
Wabash National   17,844    180,760 
Watts Water Technologies, Cl A   12,474    3,733,593 
Werner Enterprises   27,215    932,114 
Willdan Group *   6,381    805,282 
Willis Lease Finance   1,264    230,402 
Worthington Enterprises   14,276    793,317 
Xometry, Cl A *   19,710    1,126,032 
Zurn Elkay Water Solutions   68,267    3,147,791 
         257,577,360 
Information Technology — 13.1%          
8x8 *   60,460    100,364 
908 Devices *   12,389    78,175 
A10 Networks   32,512    567,009 
ACI Worldwide *   46,995    2,037,703 
ACM Research, Cl A *   22,940    1,333,273 
Adeia   49,186    889,775 
ADTRAN Holdings *   33,598    309,774 
Advanced Energy Industries   17,121    4,372,019 
Aehr Test Systems *   12,927    331,448 
Aeluma *   5,928    93,603 
Aeva Technologies *   17,000    217,090 
Agilysys *   11,753    1,019,573 
Airship AI Holdings *   10,350    32,188 
Alarm.com Holdings *   21,622    1,054,721 
Alkami Technology *   31,165    660,386 
Alpha & Omega Semiconductor *   11,356    250,968 
Ambarella *   18,491    1,184,164 
Amiq Micro Inc *   2,059    62,573 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Information Technology — continued          
Amplitude, Cl A *   41,641   $381,848 
Appian, Cl A *   17,834    497,569 
Applied Digital *   107,951    3,657,380 
Applied Optoelectronics *   27,408    1,195,263 
Arlo Technologies *   44,979    570,784 
Arteris *   13,736    206,177 
Asana, Cl A *   39,142    401,205 
ASGN *   18,918    985,439 
Atomera *   13,541    39,675 
AudioEye *   3,575    33,676 
AvePoint *   66,447    772,779 
Aviat Networks *   5,220    113,848 
Axcelis Technologies *   14,077    1,239,761 
Backblaze, Cl A *   24,942    113,486 
Badger Meter   13,475    1,975,165 
Bel Fuse, Cl A   732    134,505 
Bel Fuse, Cl B   4,750    955,652 
Belden   17,781    2,089,445 
Benchmark Electronics   16,228    846,128 
BigBear.ai Holdings *   196,918    992,467 
Bit Digital *   143,838    291,991 
Bitdeer Technologies Group, Cl A *   44,562    581,088 
BK Technologies *   1,285    98,020 
Blackbaud *   17,386    933,628 
BlackLine *   23,588    1,096,134 
Blaize Holdings, Cl A *   35,104    47,741 
Blend Labs, Cl A *   89,190    212,272 
Box, Cl A *   63,805    1,617,457 
Braze, Cl A *   38,636    804,402 
C3.ai, Cl A *   56,907    626,546 
Calix *   27,376    1,222,886 
Cerence *   18,357    207,985 
CEVA *   10,565    222,816 
Cipher Mining *   147,349    2,351,690 
Cleanspark *   126,012    1,491,982 
Clear Secure, Cl A   39,210    1,279,030 
Clearfield *   5,183    154,298 
Clearwater Analytics Holdings, Cl A *   126,716    3,052,588 
Climb Global Solutions   1,784    211,565 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Information Technology — continued          
Cohu *   20,706   $590,949 
Commerce.Com *   30,221    94,290 
CommVault Systems *   20,306    1,740,224 
CompoSecure, Cl A *   25,968    612,066 
Consensus Cloud Solutions *   8,554    182,713 
Core Scientific *   131,801    2,371,100 
Corsair Gaming *   21,051    107,360 
CPI Card Group *   2,738    35,567 
Credo Technology Group Holding *   69,673    8,728,633 
Crexendo *   7,761    54,327 
CS Disco *   10,948    68,425 
CSP   3,292    37,595 
CTS   13,072    672,032 
Daily Journal *   614    360,031 
Daktronics *   17,223    398,712 
Diebold Nixdorf *   11,207    773,395 
Digi International *   16,492    710,310 
Digimarc *   7,243    44,400 
Digital Turbine *   48,868    255,091 
DigitalOcean Holdings *   31,052    1,715,623 
Diodes *   20,785    1,230,264 
Domo, Cl B *   15,158    88,977 
Eastman Kodak *   21,816    159,693 
eGain *   7,326    75,238 
ePlus   11,978    1,027,832 
EverCommerce *   6,631    79,904 
Evolv Technologies Holdings *   69,106    427,766 
Expensify, Cl A *   27,773    40,271 
Extreme Networks *   59,926    873,721 
Fastly, Cl A *   63,090    583,582 
Five9 *   34,999    618,082 
FormFactor *   35,375    2,493,584 
Frequency Electronics *   2,995    157,477 
Freshworks, Cl A *   91,223    983,384 
Grid Dynamics Holdings *   30,192    249,688 
Hackett Group   11,391    207,886 
Harmonic *   50,835    494,116 
I3 Verticals, Cl A *   10,615    235,759 
Ichor Holdings *   15,409    467,509 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Information Technology — continued          
Immersion   12,721   $85,485 
Impinj *   12,246    1,691,173 
Information Services Group   15,904    88,585 
Inseego *   5,782    62,966 
Insight Enterprises *   13,272    1,115,113 
Intapp *   25,836    877,132 
InterDigital   11,765    3,840,567 
IonQ *   153,674    6,143,887 
Itron *   20,632    2,044,219 
Jamf Holding *(A)   35,349    461,304 
Kaltura *   40,819    66,535 
Kimball Electronics *   11,010    332,612 
Knowles *   38,688    937,797 
Kopin *   80,943    206,405 
Life360 *   9,251    529,990 
LiveRamp Holdings *   29,351    714,697 
MARA Holdings *   168,787    1,603,476 
MaxLinear, Cl A *   37,308    647,294 
Methode Electronics   15,117    120,785 
MicroVision *   136,263    110,727 
Mirion Technologies, Cl A *   108,875    2,704,455 
Mitek Systems *   20,107    201,472 
M-Tron Industries *   1,090    71,112 
N-able *   32,607    197,924 
Napco Security Technologies   15,588    575,041 
Navitas Semiconductor, Cl A *   72,355    620,806 
NCR Voyix *   62,947    624,434 
Neonode *   5,361    9,703 
NETGEAR *   12,385    258,970 
NetScout Systems *   31,660    880,465 
NextNav *   42,828    615,010 
nLight *   20,998    957,719 
Novanta *   16,393    2,205,514 
NVE   2,195    148,141 
ON24 *   16,977    135,307 
OneSpan   16,320    192,250 
Ooma *   11,518    135,336 
OSI Systems *   7,373    1,844,282 
Ouster *   24,729    515,105 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Information Technology — continued          
Pagaya Technologies, Cl A *   23,075   $447,424 
PagerDuty *   40,383    428,060 
PAR Technology *   18,167    476,157 
PC Connection   4,981    292,933 
PDF Solutions *   14,395    458,481 
Penguin Solutions *   23,577    452,914 
Photronics *   25,909    895,674 
Plexus *   12,204    2,432,623 
Porch Group *   39,180    309,130 
Power Integrations   25,408    1,167,244 
Powerfleet NJ *   56,237    287,371 
Progress Software *   19,399    793,807 
Q2 Holdings *   28,256    1,730,680 
Qualys *   16,595    2,188,880 
Quantum Computing *   91,181    845,248 
Rackspace Technology *   38,776    23,715 
Rambus *   49,005    5,578,239 
Rapid7 *   28,921    344,738 
Red Violet   5,081    231,084 
ReposiTrak   5,060    53,737 
Rezolve AI PLC *   81,062    209,140 
Ribbon Communications *   42,430    111,167 
Richardson Electronics   5,610    67,825 
Rigetti Computing *   145,086    2,636,213 
Rimini Street *   22,088    76,204 
Riot Platforms *   158,357    2,449,783 
Rogers *   8,163    793,770 
Sanmina *   23,733    3,362,491 
ScanSource *   9,928    426,805 
SEMrush Holdings, Cl A *   23,159    275,361 
Semtech *   39,591    3,157,382 
Silicon Laboratories *   14,806    2,109,115 
Silvaco Group *   3,501    15,684 
SiTime *   9,784    3,552,668 
SkyWater Technology *   13,747    435,230 
SoundHound AI, Cl A *   170,267    1,440,459 
SoundThinking *   4,483    31,291 
Sprinklr, Cl A *   50,856    324,461 
Sprout Social, Cl A *   23,782    215,227 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Information Technology — continued          
SPS Commerce *   17,299   $1,544,109 
Synaptics *   17,653    1,456,549 
Synchronoss Technologies *   4,365    38,412 
Telos *   24,054    131,335 
Tenable Holdings *   55,149    1,216,587 
TeraWulf *   137,750    1,841,718 
TSS *   9,502    96,920 
TTM Technologies *   46,490    4,565,318 
Tucows, Cl A *   3,072    68,260 
Turtle Beach *   7,063    84,473 
Ultra Clean Holdings *   20,276    885,656 
Unisys *   30,190    79,400 
Varonis Systems, Cl B *   52,802    1,575,612 
Veeco Instruments *   26,969    842,242 
Vertex, Cl A *   31,757    589,092 
Via Transportation, Cl A *   4,706    109,415 
Viant Technology, Cl A *   6,719    79,419 
Viasat *   56,122    2,535,031 
Viavi Solutions *   100,532    2,459,013 
Vishay Intertechnology   55,005    1,108,351 
Vishay Precision Group *   5,413    271,083 
Vistance Networks Inc *   99,106    1,783,908 
Vuzix *   30,217    79,471 
Weave Communications *   27,255    177,158 
Whitefiber *   4,899    95,579 
WM Technology *   41,513    32,085 
Workiva, Cl A *   22,825    1,757,982 
Xerox Holdings   53,269    116,659 
Xperi *   20,707    117,202 
Yext *   45,851    328,293 
Zeta Global Holdings, Cl A *   85,576    1,590,002 
         181,707,297 
Materials — 4.3%          
AdvanSix   11,848    187,672 
Alpha Metallurgical Resources *   5,314    1,114,877 
American Battery Technology *   51,102    206,452 
American Vanguard *   11,967    60,792 
Ardagh Metal Packaging   63,040    276,746 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Materials — continued          
Arq *   14,905   $53,062 
Ascent Industries *   3,687    59,766 
ASP Isotopes *   41,793    264,968 
Aspen Aerogels *   29,985    101,049 
Avient   41,745    1,509,082 
Balchem   14,910    2,537,235 
Cabot   24,167    1,744,616 
Century Aluminum *   23,981    1,087,059 
Chemours   68,395    1,025,241 
Clearwater Paper *   7,069    118,901 
Coeur Mining *   290,803    5,944,013 
Commercial Metals   50,572    3,887,470 
Compass Minerals International *   15,593    389,513 
Constellium, Cl A *   62,304    1,399,971 
Contango ORE *   4,984    141,296 
Core Molding Technologies *   3,636    70,975 
Dakota Gold *   40,469    242,409 
Ecovyst *   51,634    547,837 
Ferroglobe PLC   54,015    256,571 
Flotek Industries *   6,415    111,429 
Friedman Industries   3,141    61,658 
Greif, Cl A   11,506    812,554 
Greif, Cl B   2,108    175,343 
Hawkins   8,865    1,154,666 
HB Fuller   24,836    1,492,644 
Hecla Mining   288,702    6,501,569 
Idaho Strategic Resources *   6,450    232,587 
Ingevity *   16,508    1,086,061 
Innospec   11,259    920,085 
Intrepid Potash *   4,826    158,486 
Ivanhoe Electric *   48,379    826,797 
Kaiser Aluminum   7,310    896,352 
Knife River *   25,972    1,744,539 
Koppers Holdings   8,579    252,737 
Kronos Worldwide   10,115    53,104 
LSB Industries *   24,339    226,109 
Magnera *   14,409    188,326 
Materion   9,396    1,299,279 
Mativ Holdings   24,432    294,406 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Materials — continued          
Metallus *   16,620   $331,569 
Minerals Technologies   14,340    942,998 
Myers Industries   16,822    347,711 
NioCorp Developments *   48,425    285,707 
O-I Glass, Cl I *   69,800    1,066,544 
Olympic Steel   4,507    216,742 
Perimeter Solutions *   63,196    1,652,575 
Perpetua Resources *   38,591    1,027,292 
PureCycle Technologies *   58,754    561,688 
Quaker Chemical   6,248    960,568 
Ramaco Resources, Cl A *   18,723    365,286 
Ranpak Holdings, Cl A *   21,193    106,813 
Rayonier Advanced Materials *   29,189    226,507 
Ryerson Holding   12,257    345,893 
Sensient Technologies   19,198    1,814,595 
Smith-Midland *   1,274    44,768 
Solesence *   8,855    11,954 
Stepan   9,767    562,677 
SunCoke Energy   38,441    302,146 
Sylvamo   15,602    763,562 
Tredegar *   12,063    103,139 
TriMas   14,403    500,792 
Trinseo PLC   15,935    7,171 
Tronox Holdings PLC, Cl A   54,017    327,343 
United States Antimony *   53,755    394,024 
United States Lime & Minerals   4,916    592,525 
US Gold *   5,365    93,029 
USA Rare Earth *   39,842    893,258 
Valhi   1,148    16,290 
Warrior Met Coal   23,668    2,113,552 
Worthington Steel   14,852    597,496 
         59,292,518 
Real Estate — 5.3%          
Acadia Realty Trust    59,933    1,199,259 
Alexander & Baldwin    33,059    685,644 
Alexander’s    977    239,267 
Alpine Income Property Trust    5,982    105,403 
American Assets Trust    23,550    425,313 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Real Estate — continued          
American Healthcare REIT    76,805   $3,602,923 
American Realty Investors *   610    10,510 
Apartment Investment and Management, Cl A    59,709    351,089 
Apple Hospitality REIT    101,706    1,183,858 
Armada Hoffler Properties REIT    36,130    251,826 
Braemar Hotels & Resorts    25,614    68,389 
Brandywine Realty Trust    77,917    220,505 
Broadstone Net Lease, Cl A    86,151    1,594,655 
BRT Apartments    4,858    71,364 
CareTrust REIT    102,096    3,812,265 
CBL & Associates Properties    8,268    295,994 
Centerspace    7,650    491,666 
Chatham Lodging Trust    21,059    149,730 
Clipper Realty    6,387    22,291 
Community Healthcare Trust    12,387    214,047 
Compass, Cl A *   291,579    3,650,569 
COPT Defense Properties    51,753    1,594,510 
CTO Realty Growth    14,219    252,672 
Curbline Properties    44,076    1,068,843 
Cushman & Wakefield *   105,128    1,728,304 
DiamondRock Hospitality    93,629    859,514 
Diversified Healthcare Trust    99,280    576,817 
Douglas Elliman *   33,194    89,624 
Douglas Emmett    73,274    773,774 
Easterly Government Properties    19,212    449,369 
Empire State Realty Trust, Cl A    63,248    419,334 
Essential Properties Realty Trust    90,239    2,739,656 
eXp World Holdings   39,846    360,208 
Farmland Partners    17,569    203,976 
Forestar Group *   8,787    228,638 
Four Corners Property Trust    48,084    1,185,271 
Franklin Street Properties    36,976    31,060 
FrontView REIT    9,327    153,056 
FRP Holdings *   5,252    125,575 
Getty Realty    24,441    729,808 
Gladstone Commercial    20,976    244,370 
Gladstone Land    15,451    172,279 
Global Medical REIT    5,806    200,539 
Global Net Lease    89,644    848,032 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Real Estate — continued          
Hudson Pacific Properties ‡ *   23,998   $206,863 
Independence Realty Trust    109,270    1,824,809 
Industrial Logistics Properties Trust    24,161    128,778 
Innovative Industrial Properties    12,591    608,397 
InvenTrust Properties    35,434    1,041,405 
JBG SMITH Properties    27,055    455,606 
Kennedy-Wilson Holdings   54,746    539,248 
Kite Realty Group Trust    98,796    2,320,718 
LTC Properties    20,598    751,209 
LXP Industrial Trust    26,418    1,309,012 
Macerich    115,344    2,183,462 
Marcus & Millichap   10,842    294,902 
Maui Land & Pineapple *   3,114    53,343 
Modiv Industrial    4,241    64,972 
National Health Investors    21,343    1,752,687 
NET Lease Office Properties    6,736    131,419 
NETSTREIT    38,037    716,617 
Newmark Group, Cl A   67,217    1,198,479 
NexPoint Diversified Real Estate Trust    16,132    77,272 
NexPoint Residential Trust    10,219    308,818 
One Liberty Properties    8,308    179,037 
Outfront Media    67,154    1,633,185 
Peakstone Realty Trust    16,672    260,417 
Pebblebrook Hotel Trust    53,191    607,441 
Phillips Edison    57,350    2,077,791 
Piedmont Office Realty Trust    56,259    473,701 
Postal Realty Trust, Cl A    10,554    192,399 
RE/MAX Holdings, Cl A *   8,490    66,052 
RLJ Lodging Trust    62,076    461,225 
RMR Group, Cl A   7,036    106,595 
Ryman Hospitality Properties    28,053    2,656,619 
Sabra Health Care REIT    107,980    2,022,465 
Safehold    25,363    357,872 
Saul Centers    5,575    176,895 
Seaport Entertainment Group *   3,425    64,698 
Service Properties Trust    69,866    139,033 
Sila Realty Trust    25,266    615,227 
SITE Centers    22,675    138,771 
SL Green Realty    32,633    1,461,306 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Real Estate — continued          
SmartStop Self Storage REIT    14,155   $445,033 
St. Joe   17,293    1,144,624 
Stratus Properties *   3,042    90,256 
Strawberry Fields REIT    3,339    43,808 
Summit Hotel Properties    48,183    212,969 
Sunstone Hotel Investors    82,240    721,245 
Tanger    50,759    1,660,835 
Tejon Ranch *   9,512    153,048 
Terreno Realty    46,449    2,858,472 
Transcontinental Realty Investors *   838    44,598 
UMH Properties    36,293    567,260 
Universal Health Realty Income Trust    5,862    232,897 
Urban Edge Properties    57,772    1,122,510 
Veris Residential    34,150    518,739 
Whitestone REIT    20,409    290,624 
Xenia Hotels & Resorts    42,933    633,262 
         74,080,721 
Utilities — 2.8%          
American States Water   17,568    1,281,761 
Avista   36,944    1,525,418 
Black Hills   33,368    2,435,197 
Cadiz *   24,888    140,368 
California Water Service Group   27,154    1,213,784 
Chesapeake Utilities   10,625    1,367,225 
Consolidated Water   6,833    258,834 
Genie Energy, Cl B   9,496    130,760 
Global Water Resources   5,840    50,633 
H2O America   15,092    785,388 
Hallador Energy *   14,069    260,136 
Hawaiian Electric Industries *   79,193    1,213,237 
MGE Energy   16,726    1,336,073 
Middlesex Water   8,279    433,654 
Montauk Renewables *   31,312    54,483 
New Jersey Resources   45,888    2,270,538 
Northwest Natural Holding   18,664    868,996 
Northwestern Energy Group   28,020    1,901,437 
Oklo, Cl A *   49,362    3,930,202 
ONE Gas   27,203    2,164,271 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

   Shares   Value 
COMMON STOCK — continued          
Utilities — continued          
Ormat Technologies   27,735   $3,465,211 
Otter Tail   17,502    1,560,478 
Portland General Electric   51,436    2,584,659 
Pure Cycle *   9,320    107,926 
RGC Resources   3,718    80,718 
Southwest Gas Holdings   29,406    2,435,405 
Spire   26,501    2,239,069 
TXNM Energy   45,755    2,695,885 
Unitil   8,018    408,196 
York Water   6,494    218,068 
         39,418,010 
TOTAL UNITED STATES        1,324,876,834 
TOTAL COMMON STOCK
(Cost $1,210,930,275)
        1,380,449,225 
           
    Number of
Rights
      
RIGHTS — 0.0%          
United States — 0.0%          
Zimmer Biomet Holdings#(A)   28,145     
           
TOTAL RIGHTS
(Cost $–)
         
           
    Shares      
SHORT-TERM INVESTMENT(B)(C) — 1.4%          
Fidelity Investments Money Market Government Portfolio, Cl Institutional, 3.610%
(Cost $19,992,298)
   19,992,298    19,992,298 
TOTAL INVESTMENTS — 101.1%
(Cost $1,230,922,573)
       $1,400,441,523 

 

Percentages are based on Net Assets of $1,385,170,265.

 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

A list of the open futures contracts held by the Fund at January 31, 2026, is as follows:

 

Type of Contract  Number of
Contracts
  Expiration
Date
  Notional Amount  Value  Unrealized
Depreciation
Long Contracts                     
E-mini Russell 2000 Index  42  Mar-2026  $5,511,946   $5,511,660   $(286)

 

* Non-income producing security.
Real Estate Investment Trust
# Expiration date not available.
(A) Level 3 security in accordance with fair value hierarchy.
(B) These securities were purchased with cash collateral held from securities on loan. The total value of such securities as of January 31, 2026 was $19,992,298. The total value of non-cash collateral held from securities on loan as of January 31, 2026 was $–.
(C) The rate reported on the Schedule of Investments is the 7-day effective yield as of January 31, 2026.

 

The following is a summary of the level of inputs used as of January 31, 2026, in valuing the Fund’s investments and other financial instruments carried at value:

 

Investments in Securities  Level 1  Level 2  Level 3(1)  Total
Common Stock  $1,379,987,921   $   $461,304   $1,380,449,225 
Rights           ^    
Short-Term Investment   19,992,298            19,992,298 
Total Investments in Securities  $1,399,980,219   $   $461,304   $1,400,441,523 
                     
Other Financial Instruments  Level 1  Level 2  Level 3  Total
Futures Contracts*                    
Unrealized Depreciation   $(286)  $   $   $(286)
Total Other Financial Instruments  $(286)  $   $   $(286)

 

* Futures contracts are valued at the unrealized appreciation (depreciation) on the instrument.
^ Includes Securities in which the fair value is $0 or has been rounded to $0.
(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 end of the period in relation to Net Assets. Management has concluded that Level 3 investments are not material in relation to Net Assets.
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 ETF

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

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.

 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X U.S. Electrification ETF  

 

   Shares   Value 
COMMON STOCK — 100.0%          
CANADA — 1.8%          
Utilities — 1.8%          
Emera   105,255   $5,216,438 
           
UNITED KINGDOM — 4.5%          
Utilities — 4.5%          
National Grid PLC ADR   156,301    13,327,786 
           
UNITED STATES — 93.7%          
Consumer Discretionary — 0.0%          
EVgo, Cl A *   44,686    134,505 
           
Industrials — 22.9%          
Ameresco, Cl A *   10,651    333,802 
American Superconductor *   14,297    427,766 
AMETEK   64,524    14,452,086 
Blink Charging *   35,370    25,113 
Bloom Energy, Cl A *   58,847    8,907,670 
ChargePoint Holdings *   7,352    44,038 
Eaton PLC   31,968    11,234,195 
Energy Vault Holdings *   27,664    130,021 
EnerSys   11,703    2,108,764 
Eos Energy Enterprises *   87,264    1,277,545 
Fluence Energy, Cl A *   19,076    586,969 
FuelCell Energy *   12,139    99,418 
Hubbell, Cl B   18,053    8,808,781 
MasTec *   20,311    4,884,389 
NuScale Power *   37,117    648,805 
Plug Power *   391,520    828,065 
Quanta Services   27,751    13,171,457 
         67,968,884 
Utilities — 70.8%          
Alliant Energy   90,432    5,960,373 
Ameren   93,856    9,693,448 
American Electric Power   101,854    12,199,563 
Avista   27,371    1,130,149 
Clearway Energy, Cl C   28,377    1,025,828 
Consolidated Edison   118,839    12,671,803 
 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X U.S. Electrification ETF  

 

   Shares   Value 
COMMON STOCK — continued          
Utilities — continued          
Constellation Energy   30,946   $8,685,923 
Dominion Energy   197,530    11,885,380 
Duke Energy   92,993    11,284,700 
Edison International   125,205    7,797,767 
Entergy   125,491    12,033,332 
Evergy   79,890    6,129,960 
Eversource Energy   130,918    9,050,361 
Exelon   250,031    11,196,388 
FirstEnergy   203,997    9,657,218 
Genie Energy, Cl B   4,207    57,930 
Hawaiian Electric Industries *   58,588    897,568 
IDACORP   18,830    2,500,436 
NextEra Energy   142,231    12,502,105 
Northwestern Energy Group   20,960    1,422,346 
OGE Energy   69,767    3,047,423 
Ormat Technologies   20,418    2,551,025 
Pinnacle West Capital   41,802    3,910,995 
Portland General Electric   37,601    1,889,450 
Public Service Enterprise Group   141,902    11,687,049 
Southern   122,147    10,908,949 
Talen Energy *   16,192    5,640,645 
TXNM Energy   36,572    2,154,822 
Vistra   59,358    9,399,339 
Xcel Energy   147,194    11,195,576 
         210,167,851 
TOTAL UNITED STATES        278,271,240 
TOTAL COMMON STOCK
(Cost $284,147,475)
        296,815,464 
TOTAL INVESTMENTS — 100.0%
(Cost $284,147,475)
       $296,815,464 

 

Percentages are based on Net Assets of $296,929,274.

 

* Non-income producing security.

 

As of January 31, 2026, 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.

 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X U.S. Electrification ETF  

 

See “Glossary” for abbreviations.

 

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.

 

 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X S&P 500 U.S. Market Leaders Top 50 ETF  

 

   Shares   Value 
COMMON STOCK — 99.8%          
UNITED STATES — 99.8%          
Communication Services — 3.5%          
Verizon Communications   1,318   $58,677 
           
Consumer Discretionary — 19.6%          
Amazon.com *   322    77,055 
AutoZone *   6    22,226 
Deckers Outdoor *   44    5,251 
Domino’s Pizza   9    3,693 
Home Depot   212    79,413 
Lowe’s   169    45,133 
Lululemon Athletica *   32    5,584 
NVR *   1    7,636 
O’Reilly Automotive *   267    26,275 
Starbucks   342    31,447 
Tapestry   62    7,868 
Yum! Brands   83    12,907 
         324,488 
Consumer Staples — 10.9%          
Altria Group   502    31,119 
Kimberly-Clark   99    9,899 
PepsiCo   402    61,759 
Walmart   659    78,513 
         181,290 
Energy — 0.4%          
Texas Pacific Land   18    6,270 
           
Financials — 9.0%          
Ameriprise Financial   27    14,234 
Capital One Financial   186    40,721 
Progressive   177    36,816 
S&P Global   94    49,612 
Synchrony Financial   103    7,481 
         148,864 
Health Care — 27.9%          
AbbVie   331    73,816 
Cencora   58    20,835 
 

 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X S&P 500 U.S. Market Leaders Top 50 ETF  

 

   Shares   Value 
COMMON STOCK — continued          
Health Care — continued          
Eli Lilly   75   $77,786 
IDEXX Laboratories *   24    16,091 
McKesson   37    30,755 
Merck   760    83,805 
Pfizer   1,717    45,398 
Regeneron Pharmaceuticals   29    21,502 
ResMed   44    11,366 
UnitedHealth Group   227    65,133 
Zoetis, Cl A   133    16,601 
         463,088 
Industrials — 8.2%          
Automatic Data Processing   122    30,112 
Cintas   102    19,522 
Copart *   264    10,713 
Lennox International   10    4,951 
Lockheed Martin   61    38,687 
Paychex   98    10,107 
United Parcel Service, Cl B   214    22,731 
         136,823 
Information Technology — 20.3%          
Adobe *   125    36,656 
Arista Networks *   304    43,089 
Cisco Systems   930    72,838 
Fair Isaac *   7    10,242 
GoDaddy, Cl A *   41    4,122 
Intuit   84    41,909 
Microsoft   156    67,125 
Oracle   334    54,970 
 

 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X S&P 500 U.S. Market Leaders Top 50 ETF  

 

   Shares   Value 
COMMON STOCK — continued          
Information Technology — continued          
VeriSign   26   $6,350 
         337,301 
TOTAL UNITED STATES        1,656,801 
TOTAL COMMON STOCK
(Cost $1,734,548)
        1,656,801 
TOTAL INVESTMENTS — 99.8%
(Cost $1,734,548)
       $1,656,801 

 

Percentages are based on Net Assets of $1,659,614.

 

* Non-income producing security.

 

As of January 31, 2026, 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.

 

See “Glossary” for abbreviations.

 

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.

 

 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X S&P U.S. Revenue Leaders ETF  

 

   Shares   Value 
COMMON STOCK — 99.9%          
UNITED STATES — 99.9%          
Communication Services — 5.8%          
AT&T   827   $21,676 
Charter Communications, Cl A *   10    2,061 
Comcast, Cl A   424    12,614 
Fox, Cl A   24    1,747 
Fox, Cl B   17    1,115 
Live Nation Entertainment *   18    2,618 
Omnicom Group   37    2,853 
Paramount Skydance Corp, Cl B   36    403 
Take-Two Interactive Software *   20    4,406 
TKO Group Holdings, Cl A   8    1,621 
T-Mobile US   56    11,044 
Trade Desk, Cl A *   51    1,547 
Verizon Communications   492    21,904 
Walt Disney   209    23,575 
Warner Bros Discovery *   289    7,959 
         117,143 
Consumer Discretionary — 12.2%          
Amazon.com *   565    135,204 
AutoZone *   1    3,704 
Best Buy   11    716 
Carnival *   63    1,891 
Carvana, Cl A *   8    3,209 
Chipotle Mexican Grill, Cl A *   76    2,954 
Darden Restaurants   7    1,395 
Deckers Outdoor *   8    955 
Domino’s Pizza   2    821 
DoorDash, Cl A *   22    4,502 
DR Horton   16    2,381 
eBay   26    2,372 
Expedia Group   7    1,854 
Ford Motor   226    3,137 
General Motors   54    4,536 
Genuine Parts   8    1,112 
Hasbro   8    714 
Hilton Worldwide Holdings   13    3,881 
Home Depot   58    21,726 
Lennar, Cl A   13    1,422 
 

 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X S&P U.S. Revenue Leaders ETF  

 

   Shares   Value 
COMMON STOCK — continued          
Consumer Discretionary — continued          
Lowe’s   33   $8,813 
Lululemon Athletica *   6    1,047 
Marriott International, Cl A   13    4,099 
MGM Resorts International *   12    402 
O’Reilly Automotive *   49    4,822 
Pool   2    508 
PulteGroup   11    1,376 
Ross Stores   19    3,584 
Starbucks   66    6,069 
Tapestry   12    1,523 
TJX   65    9,738 
Tractor Supply   30    1,526 
Ulta Beauty *   3    1,942 
Williams-Sonoma   7    1,433 
Yum! Brands   16    2,488 
         247,856 
Consumer Staples — 5.1%          
Altria Group   97    6,013 
Church & Dwight   14    1,347 
Clorox   7    790 
Conagra Brands   27    500 
Constellation Brands, Cl A   8    1,254 
Costco Wholesale   26    24,447 
Dollar General   13    1,865 
Dollar Tree *   11    1,293 
General Mills   31    1,434 
Hershey   9    1,753 
Hormel Foods   17    418 
J M Smucker   6    629 
Keurig Dr Pepper   78    2,140 
Kimberly-Clark   19    1,900 
Kraft Heinz   50    1,187 
Kroger   35    2,200 
Lamb Weston Holdings   8    367 
McCormick   15    927 
Molson Coors Beverage, Cl B   10    480 
Monster Beverage *   41    3,311 
PepsiCo   79    12,137 
 

 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X S&P U.S. Revenue Leaders ETF  

 

   Shares   Value 
COMMON STOCK — continued          
Consumer Staples — continued          
Sysco   28   $2,348 
Target   26    2,742 
The Campbell’s Company   11    308 
Tyson Foods, Cl A   16    1,045 
Walmart   255    30,381 
         103,216 
Energy — 2.3%          
APA   20    528 
ConocoPhillips   72    7,505 
Coterra Energy   44    1,269 
Devon Energy   36    1,448 
Diamondback Energy   11    1,803 
EOG Resources   32    3,588 
EQT   36    2,078 
Expand Energy   14    1,574 
Kinder Morgan   113    3,445 
Marathon Petroleum   17    2,995 
Occidental Petroleum   41    1,861 
ONEOK   36    2,851 
Phillips 66   23    3,302 
Targa Resources   12    2,412 
Texas Pacific Land   3    1,045 
Valero Energy   18    3,266 
Williams   71    4,776 
         45,746 
Financials — 15.3%          
Allstate   14    2,786 
American Express   28    9,861 
Ameriprise Financial   5    2,636 
Apollo Global Management   24    3,229 
Ares Management, Cl A   11    1,646 
Arthur J Gallagher   13    3,242 
Assurant   3    714 
Bank of America   350    18,620 
Bank of New York Mellon   36    4,317 
Berkshire Hathaway, Cl B *   96    46,131 
Blackstone   39    5,554 
 

 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X S&P U.S. Revenue Leaders ETF  

 

   Shares   Value 
COMMON STOCK — continued          
Financials — continued          
Block, Cl A *   28   $1,692 
Brown & Brown   15    1,082 
Capital One Financial   33    7,225 
CBOE Global Markets   5    1,325 
Charles Schwab   87    9,041 
Chubb   19    5,882 
Cincinnati Financial   8    1,287 
Citizens Financial Group   22    1,386 
CME Group, Cl A   19    5,492 
Coinbase Global, Cl A *   12    2,337 
Corpay *   4    1,259 
Erie Indemnity, Cl A   1    283 
Everest Group   2    663 
FactSet Research Systems   2    509 
Fidelity National Information Services   27    1,492 
Fifth Third Bancorp   34    1,707 
Fiserv *   28    1,784 
Franklin Resources   16    426 
Global Payments   12    861 
Globe Life   4    561 
Goldman Sachs Group   16    14,967 
Hartford Financial Services Group   15    2,026 
Huntington Bancshares   83    1,451 
Interactive Brokers Group, Cl A   23    1,722 
Intercontinental Exchange   30    5,213 
Invesco   23    628 
Jack Henry & Associates   4    717 
JPMorgan Chase   142    43,436 
KeyCorp   49    1,054 
KKR   36    4,113 
Loews   9    950 
M&T Bank   8    1,773 
MetLife   29    2,288 
Moody’s   8    4,124 
Morgan Stanley   63    11,516 
Nasdaq   24    2,325 
Northern Trust   10    1,494 
PayPal Holdings   49    2,582 
PNC Financial Services Group   20    4,466 
 

 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X S&P U.S. Revenue Leaders ETF  

 

   Shares   Value 
COMMON STOCK — continued          
Financials — continued          
Principal Financial Group   10   $947 
Progressive   31    6,448 
Prudential Financial   18    2,000 
Raymond James Financial   9    1,493 
Regions Financial   45    1,283 
Robinhood Markets, Cl A *   41    4,079 
S&P Global   16    8,445 
State Street   15    1,963 
Synchrony Financial   19    1,380 
T Rowe Price Group   11    1,162 
Travelers   12    3,414 
Truist Financial   67    3,445 
US Bancorp   81    4,545 
W R Berkley   16    1,097 
Wells Fargo   164    14,840 
Willis Towers Watson PLC   5    1,587 
         310,003 
Health Care — 12.6%          
AbbVie   90    20,071 
Amgen   27    9,231 
Baxter International   26    522 
Becton Dickinson   15    3,052 
Biogen *   7    1,259 
Bio-Techne   8    513 
Boston Scientific *   75    7,015 
Bristol-Myers Squibb   103    5,670 
Cardinal Health   12    2,579 
Cencora   10    3,592 
Centene *   23    996 
Charles River Laboratories International *   2    421 
Cigna Group   14    3,838 
Cooper *   10    814 
CVS Health   64    4,769 
DaVita *   2    219 
Dexcom *   20    1,461 
Edwards Lifesciences *   29    2,359 
Elevance Health   11    3,803 
Eli Lilly   40    41,486 
 

 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X S&P U.S. Revenue Leaders ETF  

 

   Shares   Value 
COMMON STOCK — continued          
Health Care — continued          
Gilead Sciences   63   $8,943 
HCA Healthcare   8    3,906 
Henry Schein *   5    377 
Hologic *   11    824 
Humana   6    1,171 
IDEXX Laboratories *   4    2,682 
Incyte *   8    801 
Insulet *   4    1,023 
Intuitive Surgical *   18    9,076 
Johnson & Johnson   122    27,724 
Labcorp Holdings   4    1,086 
McKesson   6    4,987 
Medtronic PLC   65    6,692 
Merck   126    13,894 
Moderna *   17    749 
Molina Healthcare *   3    539 
Pfizer   288    7,615 
Quest Diagnostics   6    1,122 
Regeneron Pharmaceuticals   5    3,707 
ResMed   7    1,808 
Solventum *   7    539 
STERIS PLC   5    1,313 
Stryker   17    6,282 
Thermo Fisher Scientific   19    10,994 
UnitedHealth Group   46    13,199 
Universal Health Services, Cl B   3    604 
Vertex Pharmaceuticals *   13    6,109 
Zimmer Biomet Holdings   10    871 
Zoetis, Cl A   22    2,746 
         255,053 
Industrials — 11.2%          
A O Smith   6    441 
Allegion PLC   5    827 
AMETEK   13    2,912 
Automatic Data Processing   23    5,677 
Axon Enterprise *   5    2,418 
Boeing *   45    10,517 
Broadridge Financial Solutions   7    1,380 
 

 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X S&P U.S. Revenue Leaders ETF  

 

   Shares   Value 
COMMON STOCK — continued          
Industrials — continued          
Builders FirstSource *   6   $686 
Carrier Global   46    2,741 
Caterpillar   27    17,749 
CH Robinson Worldwide   7    1,365 
Cintas   20    3,828 
Comfort Systems USA   2    2,284 
Copart *   51    2,070 
CSX   108    4,078 
Cummins   8    4,631 
Dayforce *   9    623 
Deere   15    7,920 
Delta Air Lines   37    2,438 
Dover   8    1,612 
Eaton PLC   23    8,083 
EMCOR Group   3    2,162 
Equifax   7    1,410 
Fastenal   66    2,862 
FedEx   13    4,189 
Fortive   18    951 
Generac Holdings *   3    504 
General Dynamics   15    5,266 
Honeywell International   37    8,418 
Hubbell, Cl B   3    1,464 
Huntington Ingalls Industries   2    841 
Jacobs Solutions   7    947 
JB Hunt Transport Services   4    811 
Johnson Controls International PLC   35    4,174 
L3Harris Technologies   11    3,771 
Leidos Holdings   7    1,318 
Lennox International   2    990 
Lockheed Martin   12    7,611 
Masco   12    793 
Norfolk Southern   13    3,786 
Northrop Grumman   8    5,538 
Old Dominion Freight Line   11    1,905 
PACCAR   30    3,687 
Parker-Hannifin   7    6,551 
Paychex   19    1,959 
Paycom Software   3    404 
 

 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X S&P U.S. Revenue Leaders ETF  

 

   Shares   Value 
COMMON STOCK — continued          
Industrials — continued          
Pentair PLC   10   $1,054 
Quanta Services   9    4,272 
Republic Services, Cl A   12    2,581 
Rockwell Automation   7    2,952 
Rollins   17    1,077 
RTX   78    15,672 
Snap-On   3    1,098 
Southwest Airlines   30    1,426 
Stanley Black & Decker   9    708 
Textron   10    881 
Trane Technologies PLC   13    5,467 
TransDigm Group   3    4,283 
Union Pacific   34    7,993 
United Airlines Holdings *   19    1,944 
United Parcel Service, Cl B   43    4,567 
United Rentals   4    3,128 
Verisk Analytics, Cl A   8    1,740 
Waste Management   22    4,889 
WW Grainger   3    3,240 
Xylem   14    1,930 
         227,494 
Information Technology — 27.4%          
Adobe *   52    15,249 
Akamai Technologies *   18    1,749 
AppLovin, Cl A *   33    15,613 
Arista Networks *   128    18,143 
CDW   16    2,022 
Cisco Systems   486    38,064 
Cognizant Technology Solutions, Cl A   59    4,842 
CrowdStrike Holdings, Cl A *   31    13,684 
Datadog, Cl A *   40    5,173 
Dell Technologies, Cl C   37    4,234 
EPAM Systems *   7    1,460 
F5 *   7    1,929 
Fair Isaac *   3    4,390 
First Solar *   13    2,932 
Gartner *   9    1,886 
Gen Digital   69    1,655 
 

 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X S&P U.S. Revenue Leaders ETF  

 

   Shares   Value 
COMMON STOCK — continued          
Information Technology — continued          
GoDaddy, Cl A *   17   $1,709 
Intuit   34    16,963 
Micron Technology   139    57,668 
Microsoft   427    183,734 
Motorola Solutions   21    8,453 
Oracle   208    34,233 
Palantir Technologies, Cl A *   282    41,338 
Palo Alto Networks *   84    14,865 
Roper Technologies   13    4,826 
Salesforce   118    25,050 
ServiceNow *   128    14,977 
Skyworks Solutions   18    1,004 
Super Micro Computer *   62    1,805 
Teledyne Technologies *   6    3,722 
Trimble *   29    1,960 
Tyler Technologies *   5    1,847 
VeriSign   10    2,442 
Workday, Cl A *   27    4,742 
         554,363 
Materials — 1.3%          
CF Industries Holdings   9    839 
CRH PLC   39    4,774 
Ecolab   15    4,230 
International Paper   30    1,210 
Martin Marietta Materials   4    2,608 
Nucor   13    2,310 
Packaging Corp of America   5    1,113 
Sherwin-Williams   13    4,610 
Steel Dynamics   8    1,437 
Vulcan Materials   8    2,404 
         25,535 
Real Estate — 2.9%          
Alexandria Real Estate Equities    9    492 
American Tower    27    4,841 
AvalonBay Communities    8    1,421 
BXP    8    517 
Camden Property Trust    6    654 
 

 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X S&P U.S. Revenue Leaders ETF  

 

   Shares   Value 
COMMON STOCK — continued          
Real Estate — continued          
CBRE Group, Cl A *   17   $2,896 
CoStar Group *   24    1,476 
Crown Castle    25    2,170 
Digital Realty Trust    19    3,153 
Equity Residential    20    1,246 
Essex Property Trust    4    1,007 
Extra Space Storage    12    1,656 
Federal Realty Investment Trust    5    506 
Healthpeak Properties    41    707 
Host Hotels & Resorts    37    686 
Invitation Homes    32    855 
Iron Mountain    17    1,566 
Kimco Realty    39    822 
Mid-America Apartment Communities    7    940 
ProLogis    54    7,050 
Public Storage    9    2,486 
Realty Income    53    3,241 
Regency Centers    9    656 
SBA Communications, Cl A    6    1,105 
Simon Property Group    19    3,635 
UDR    17    632 
Ventas    27    2,097 
VICI Properties, Cl A    62    1,741 
Welltower    40    7,534 
Weyerhaeuser    42    1,083 
         58,871 
Utilities — 3.8%          
Alliant Energy   15    989 
Ameren   16    1,653 
American Electric Power   31    3,713 
American Water Works   11    1,420 
Atmos Energy   9    1,497 
CenterPoint Energy   38    1,508 
CMS Energy   18    1,287 
Consolidated Edison   21    2,239 
Constellation Energy   18    5,052 
Dominion Energy   49    2,948 
DTE Energy   12    1,613 
 

 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X S&P U.S. Revenue Leaders ETF  

 

   Shares   Value 
COMMON STOCK — continued          
Utilities — continued          
Duke Energy   45   $5,461 
Edison International   22    1,370 
Entergy   26    2,493 
Evergy   13    998 
Eversource Energy   22    1,521 
Exelon   58    2,597 
FirstEnergy   30    1,420 
NextEra Energy   121    10,636 
NiSource   27    1,196 
NRG Energy   11    1,679 
PG&E   128    1,974 
Pinnacle West Capital   7    655 
PPL   43    1,559 
Public Service Enterprise Group   29    2,388 
Sempra   38    3,306 
Southern   64    5,716 
Vistra   18    2,850 
WEC Energy Group   19    2,103 
Xcel Energy   34    2,586 
         76,427 
TOTAL UNITED STATES        2,021,707 
TOTAL COMMON STOCK
(Cost $1,954,044)
        2,021,707 
TOTAL INVESTMENTS — 99.9%
(Cost $1,954,044)
       $2,021,707 

 

Percentages are based on Net Assets of $2,023,229.

 

* Non-income producing security.
Real Estate Investment Trust

 

As of January 31, 2026, 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.

 

 

 

Schedules of Investments   January 31, 2026 (Unaudited)
  Global X S&P U.S. Revenue Leaders ETF  

 

See “Glossary” for abbreviations.

 

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.

 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P 500® Christian Values ETF

 

   Shares   Value 
COMMON STOCK — 99.9%          
NETHERLANDS — 0.1%          
Information Technology — 0.1%          
NXP Semiconductors   14   $3,166 
           
SWITZERLAND — 0.1%          
Information Technology — 0.1%          
TE Connectivity PLC   16    3,564 
           
UNITED STATES — 99.7%          
Communication Services — 11.1%          
Alphabet, Cl A   329    111,202 
Alphabet, Cl C   263    89,033 
AT&T   402    10,536 
Charter Communications, Cl A *   5    1,031 
Comcast, Cl A   206    6,128 
Fox, Cl A   12    873 
Fox, Cl B   8    525 
Live Nation Entertainment *   8    1,164 
Match Group   12    374 
Meta Platforms, Cl A   123    88,129 
Netflix *   240    20,038 
News, Cl A   20    541 
News, Cl B   8    249 
Omnicom Group   18    1,399 
Paramount Skydance Corp, Cl B   16    179 
TKO Group Holdings, Cl A   4    810 
T-Mobile US   28    5,522 
Trade Desk, Cl A *   24    728 
Verizon Communications   240    10,685 
Walt Disney   101    11,393 
Warner Bros Discovery *   143    3,938 
         364,477 
Consumer Discretionary — 10.5%          
Airbnb, Cl A *   24    3,105 
Amazon.com *   546    130,658 
APTIV PLC *   12    909 
AutoZone *   1    3,704 
Best Buy   12    781 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P 500® Christian Values ETF

 

   Shares   Value 
COMMON STOCK — continued          
Consumer Discretionary — continued          
Booking Holdings   2   $10,004 
Carnival *   60    1,801 
Carvana, Cl A *   8    3,209 
Chipotle Mexican Grill, Cl A *   76    2,954 
Darden Restaurants   7    1,395 
Deckers Outdoor *   8    955 
Domino’s Pizza   2    821 
DoorDash, Cl A *   21    4,297 
DR Horton   16    2,381 
eBay   26    2,372 
Expedia Group   7    1,854 
Ford Motor   223    3,095 
Garmin   9    1,815 
General Motors   52    4,368 
Genuine Parts   8    1,112 
Hasbro   8    714 
Hilton Worldwide Holdings   13    3,881 
Home Depot   56    20,977 
Lennar, Cl A   12    1,312 
Lowe’s   31    8,279 
Lululemon Athletica *   6    1,047 
Marriott International, Cl A   12    3,784 
McDonald’s   40    12,600 
NIKE, Cl B   68    4,203 
Norwegian Cruise Line Holdings *   24    527 
O’Reilly Automotive *   48    4,724 
Pool   2    508 
PulteGroup   11    1,376 
Ralph Lauren, Cl A   2    707 
Ross Stores   19    3,584 
Royal Caribbean Cruises   14    4,545 
Starbucks   64    5,885 
Tapestry   12    1,523 
Tesla *   158    68,005 
TJX   63    9,438 
Tractor Supply   32    1,628 
Ulta Beauty *   3    1,942 
Williams-Sonoma   7    1,432 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P 500® Christian Values ETF

 

   Shares   Value 
COMMON STOCK — continued          
Consumer Discretionary — continued          
Yum! Brands   16   $2,488 
         346,699 
Consumer Staples — 5.0%          
Archer-Daniels-Midland   32    2,154 
Bunge Global   8    911 
Church & Dwight   16    1,540 
Clorox   8    902 
Coca-Cola   253    18,927 
Colgate-Palmolive   53    4,785 
Conagra Brands   32    592 
Costco Wholesale   29    27,267 
Dollar General   15    2,151 
Dollar Tree *   12    1,411 
Estee Lauder, Cl A   16    1,845 
General Mills   36    1,665 
Hershey   10    1,948 
Hormel Foods   20    492 
J M Smucker   7    734 
Keurig Dr Pepper   92    2,525 
Kimberly-Clark   23    2,300 
Kraft Heinz   56    1,329 
Kroger   40    2,514 
Lamb Weston Holdings   8    367 
McCormick   16    989 
Mondelez International, Cl A   84    4,912 
Monster Beverage *   48    3,877 
PepsiCo   89    13,673 
Procter & Gamble   153    23,221 
Sysco   32    2,683 
Target   31    3,270 
The Campbell’s Company   12    336 
Tyson Foods, Cl A   20    1,307 
Walmart   287    34,193 
         164,820 
Energy — 3.2%          
APA   20    528 
Baker Hughes, Cl A   56    3,138 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P 500® Christian Values ETF

 

   Shares   Value 
COMMON STOCK — continued          
Energy — continued          
Chevron   106   $18,751 
ConocoPhillips   69    7,192 
Coterra Energy   44    1,269 
Devon Energy   36    1,448 
Diamondback Energy   10    1,639 
EOG Resources   30    3,364 
EQT   36    2,078 
Expand Energy   12    1,349 
Exxon Mobil   236    33,370 
Halliburton   48    1,609 
Kinder Morgan   112    3,415 
Marathon Petroleum   16    2,819 
Occidental Petroleum   40    1,816 
ONEOK   36    2,851 
Phillips 66   23    3,302 
SLB   84    4,064 
Targa Resources   12    2,412 
Texas Pacific Land   3    1,045 
Valero Energy   18    3,266 
Williams   68    4,574 
         105,299 
Financials — 12.9%          
Aflac   28    3,107 
Allstate   15    2,985 
American Express   31    10,917 
American International Group   32    2,396 
Ameriprise Financial   5    2,636 
Aon PLC, Cl A   12    4,196 
Apollo Global Management   27    3,633 
Arch Capital Group *   20    1,921 
Ares Management, Cl A   12    1,796 
Arthur J Gallagher   15    3,741 
Assurant   3    714 
Bank of America   390    20,748 
Bank of New York Mellon   40    4,797 
Berkshire Hathaway, Cl B *   106    50,936 
Blackrock   8    8,951 
Blackstone   43    6,124 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P 500® Christian Values ETF

 

   Shares   Value 
COMMON STOCK — continued          
Financials — continued          
Block, Cl A *   32   $1,934 
Brown & Brown   16    1,154 
Capital One Financial   37    8,100 
CBOE Global Markets   6    1,590 
Charles Schwab   97    10,080 
Chubb   21    6,501 
Cincinnati Financial   9    1,448 
Citigroup   104    12,034 
Citizens Financial Group   24    1,511 
CME Group, Cl A   21    6,070 
Coinbase Global, Cl A *   13    2,532 
Corpay *   4    1,258 
Erie Indemnity, Cl A   1    283 
Everest Group   2    663 
FactSet Research Systems   2    509 
Fidelity National Information Services   30    1,657 
Fifth Third Bancorp   40    2,009 
Fiserv *   32    2,039 
Franklin Resources   16    426 
Global Payments   14    1,004 
Globe Life   4    561 
Goldman Sachs Group   17    15,902 
Hartford Financial Services Group   16    2,161 
Huntington Bancshares   86    1,503 
Interactive Brokers Group, Cl A   24    1,797 
Intercontinental Exchange   33    5,735 
Invesco   24    655 
Jack Henry & Associates   4    717 
JPMorgan Chase   158    48,331 
KeyCorp   55    1,184 
KKR   40    4,570 
Loews   10    1,056 
M&T Bank   9    1,994 
Marsh & McLennan   28    5,269 
Mastercard, Cl A   47    25,323 
MetLife   32    2,524 
Moody’s   9    4,640 
Morgan Stanley   71    12,979 
MSCI, Cl A   4    2,437 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P 500® Christian Values ETF

 

   Shares   Value 
COMMON STOCK — continued          
Financials — continued          
Nasdaq   27   $2,616 
Northern Trust   11    1,644 
PayPal Holdings   54    2,845 
PNC Financial Services Group   23    5,136 
Principal Financial Group   12    1,137 
Progressive   34    7,072 
Prudential Financial   20    2,222 
Raymond James Financial   11    1,824 
Regions Financial   52    1,482 
Robinhood Markets, Cl A *   46    4,576 
S&P Global   18    9,500 
State Street   16    2,094 
Synchrony Financial   20    1,453 
T Rowe Price Group   12    1,268 
Travelers   13    3,699 
Truist Financial   74    3,805 
US Bancorp   92    5,162 
Visa, Cl A   98    31,539 
W R Berkley   16    1,097 
Willis Towers Watson PLC   6    1,905 
         423,814 
Health Care — 9.3%          
Abbott Laboratories   172    18,800 
AbbVie   175    39,027 
Agilent Technologies   27    3,614 
Align Technology *   7    1,141 
Amgen   53    18,120 
Baxter International   48    963 
Becton Dickinson   28    5,697 
Biogen *   14    2,518 
Bio-Techne   16    1,025 
Boston Scientific *   146    13,655 
Cardinal Health   23    4,942 
Cencora   19    6,825 
Charles River Laboratories International *   5    1,052 
Cigna Group   26    7,127 
Cooper *   20    1,628 
CVS Health   125    9,315 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P 500® Christian Values ETF

 

   Shares   Value 
COMMON STOCK — continued          
Health Care — continued          
Danaher   62   $13,571 
DaVita *   3    328 
Dexcom *   39    2,849 
Edwards Lifesciences *   56    4,556 
Elevance Health   22    7,606 
GE HealthCare Technologies   44    3,475 
Gilead Sciences   123    17,460 
Henry Schein *   8    604 
Hologic *   20    1,499 
Humana   12    2,342 
IDEXX Laboratories *   8    5,364 
Incyte *   16    1,601 
Insulet *   7    1,791 
Intuitive Surgical *   35    17,648 
IQVIA Holdings *   17    3,913 
Labcorp Holdings   8    2,172 
McKesson   12    9,975 
Medtronic PLC   127    13,076 
Mettler-Toledo International *   2    2,746 
Molina Healthcare *   5    898 
Quest Diagnostics   11    2,057 
ResMed   14    3,616 
Revvity   12    1,306 
Solventum *   15    1,155 
STERIS PLC   10    2,626 
Stryker   34    12,565 
Thermo Fisher Scientific   37    21,409 
Viatris   111    1,453 
Waters *   6    2,224 
West Pharmaceutical Services   7    1,618 
Zimmer Biomet Holdings   19    1,654 
Zoetis, Cl A   44    5,492 
         306,098 
Industrials — 8.5%          
3M   34    5,207 
A O Smith   8    588 
Allegion PLC   5    827 
AMETEK   15    3,360 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P 500® Christian Values ETF

 

   Shares   Value 
COMMON STOCK — continued          
Industrials — continued          
Automatic Data Processing   26   $6,417 
Axon Enterprise *   5    2,418 
Boeing *   49    11,452 
Broadridge Financial Solutions   7    1,380 
Builders FirstSource *   7    801 
Carrier Global   50    2,979 
Caterpillar   30    19,721 
CH Robinson Worldwide   8    1,560 
Cintas   22    4,211 
Comfort Systems USA   2    2,284 
Copart *   56    2,272 
CSX   116    4,380 
Cummins   9    5,209 
Dayforce *   10    693 
Deere   16    8,448 
Delta Air Lines   40    2,636 
Dover   8    1,612 
Eaton PLC   25    8,785 
EMCOR Group   3    2,162 
Emerson Electric   36    5,291 
Equifax   8    1,611 
Expeditors International of Washington   8    1,284 
Fastenal   72    3,122 
FedEx   14    4,512 
Fortive   20    1,056 
GE Aerospace   67    20,555 
GE Vernova   17    12,348 
Generac Holdings *   4    672 
Honeywell International   40    9,101 
Howmet Aerospace   25    5,202 
Hubbell, Cl B   3    1,464 
Huntington Ingalls Industries   2    841 
IDEX   4    794 
Illinois Tool Works   17    4,441 
Ingersoll Rand   24    2,066 
Jacobs Solutions   8    1,082 
JB Hunt Transport Services   4    811 
Johnson Controls International PLC   40    4,770 
Leidos Holdings   8    1,506 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P 500® Christian Values ETF

 

   Shares   Value 
COMMON STOCK — continued          
Industrials — continued          
Lennox International   2   $990 
Masco   12    793 
Nordson   4    1,098 
Norfolk Southern   14    4,077 
Old Dominion Freight Line   12    2,078 
Otis Worldwide   24    2,050 
PACCAR   32    3,933 
Parker-Hannifin   8    7,487 
Paychex   20    2,063 
Paycom Software   3    404 
Pentair PLC   10    1,054 
Quanta Services   9    4,272 
Republic Services, Cl A   13    2,796 
Rockwell Automation   7    2,952 
Rollins   16    1,013 
Snap-On   3    1,098 
Southwest Airlines   32    1,521 
Stanley Black & Decker   8    629 
Textron   12    1,057 
Trane Technologies PLC   14    5,888 
TransDigm Group   4    5,710 
Uber Technologies *   132    10,567 
Union Pacific   37    8,699 
United Airlines Holdings *   20    2,046 
United Parcel Service, Cl B   48    5,099 
United Rentals   4    3,128 
Veralto   16    1,584 
Verisk Analytics, Cl A   9    1,957 
Wabtec   11    2,532 
Waste Management   23    5,112 
WW Grainger   3    3,240 
Xylem   16    2,206 
         281,064 
Information Technology — 33.2%          
Accenture PLC, Cl A   35    9,227 
Adobe *   23    6,745 
Advanced Micro Devices *   91    21,542 
Akamai Technologies *   8    777 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P 500® Christian Values ETF

 

   Shares   Value 
COMMON STOCK — continued          
Information Technology — continued          
Amphenol, Cl A   68   $9,798 
Analog Devices   28    8,705 
Apple   826    214,331 
Applied Materials   45    14,504 
AppLovin, Cl A *   15    7,097 
Arista Networks *   58    8,221 
Autodesk *   12    3,034 
Broadcom   264    87,463 
Cadence Design Systems *   15    4,445 
CDW   8    1,011 
Cisco Systems   221    17,309 
Cognizant Technology Solutions, Cl A   28    2,298 
Corning   44    4,543 
CrowdStrike Holdings, Cl A *   14    6,180 
Datadog, Cl A *   19    2,457 
Dell Technologies, Cl C   16    1,831 
EPAM Systems *   3    626 
F5 *   3    827 
Fair Isaac *   1    1,463 
First Solar *   6    1,353 
Fortinet *   36    2,925 
Gartner *   4    838 
Gen Digital   32    768 
GoDaddy, Cl A *   8    804 
Hewlett Packard Enterprise   72    1,549 
HP   52    1,011 
Intel *   247    11,478 
International Business Machines   52    15,948 
Intuit   16    7,983 
Jabil   6    1,423 
Keysight Technologies *   10    2,163 
KLA   7    9,996 
Lam Research   70    16,342 
Microchip Technology   32    2,429 
Micron Technology   63    26,137 
Microsoft   415    178,570 
Monolithic Power Systems   3    3,373 
Motorola Solutions   9    3,623 
NetApp   11    1,060 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P 500® Christian Values ETF

 

   Shares   Value 
COMMON STOCK — continued          
Information Technology — continued          
NVIDIA   1,358   $259,555 
ON Semiconductor *   24    1,437 
Oracle   94    15,471 
Palantir Technologies, Cl A *   128    18,764 
Palo Alto Networks *   38    6,725 
PTC *   7    1,093 
QUALCOMM   60    9,095 
Roper Technologies   6    2,227 
Salesforce   53    11,251 
Seagate Technology Holdings   12    4,892 
ServiceNow *   58    6,787 
Skyworks Solutions   8    446 
Super Micro Computer *   28    815 
Synopsys *   10    4,651 
Teledyne Technologies *   3    1,861 
Teradyne   9    2,170 
Texas Instruments   51    10,993 
Trimble *   12    811 
Tyler Technologies *   2    739 
VeriSign   5    1,221 
Western Digital   20    5,005 
Workday, Cl A *   12    2,108 
Zebra Technologies, Cl A *   3    705 
         1,093,029 
Materials — 1.9%          
Air Products & Chemicals   12    3,270 
Albemarle   7    1,194 
Amcor PLC   26    1,150 
Avery Dennison   4    742 
Ball   16    910 
CF Industries Holdings   8    746 
Corteva   38    2,766 
CRH PLC   37    4,529 
Dow   40    1,102 
DuPont de Nemours   24    1,054 
Ecolab   14    3,948 
Freeport-McMoRan   80    4,818 
International Flavors & Fragrances   16    1,117 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P 500® Christian Values ETF

 

   Shares   Value 
COMMON STOCK — continued          
Materials — continued          
International Paper   28   $1,129 
Linde PLC   26    11,881 
LyondellBasell Industries, Cl A   16    784 
Martin Marietta Materials   3    1,956 
Mosaic   16    440 
Newmont   62    6,966 
Nucor   12    2,133 
Packaging Corp of America   5    1,113 
PPG Industries   12    1,388 
Sherwin-Williams   13    4,610 
Smurfit WestRock PLC   28    1,166 
Steel Dynamics   8    1,437 
Vulcan Materials   7    2,104 
         64,453 
Real Estate — 1.9%          
American Tower    28    5,020 
AvalonBay Communities    8    1,421 
BXP    8    517 
Camden Property Trust    6    654 
CBRE Group, Cl A *   18    3,066 
CoStar Group *   26    1,599 
Crown Castle    27    2,344 
Digital Realty Trust    20    3,319 
Equinix    6    4,926 
Equity Residential    20    1,246 
Essex Property Trust    4    1,008 
Extra Space Storage    12    1,656 
Federal Realty Investment Trust    4    405 
Host Hotels & Resorts    40    741 
Invitation Homes    36    962 
Iron Mountain    19    1,751 
Kimco Realty    40    843 
Mid-America Apartment Communities    8    1,074 
ProLogis    56    7,311 
Public Storage    10    2,762 
Realty Income    56    3,425 
Regency Centers    12    875 
SBA Communications, Cl A    7    1,289 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P 500® Christian Values ETF

 

   Shares   Value 
COMMON STOCK — continued          
Real Estate — continued          
Simon Property Group    20   $3,826 
UDR    20    743 
Welltower    41    7,723 
Weyerhaeuser    44    1,134 
         61,640 
Utilities — 2.2%          
AES   40    586 
Alliant Energy   16    1,055 
Ameren   16    1,652 
American Electric Power   31    3,713 
American Water Works   11    1,420 
Atmos Energy   9    1,497 
CenterPoint Energy   36    1,429 
CMS Energy   16    1,144 
Consolidated Edison   20    2,133 
Constellation Energy   17    4,772 
Dominion Energy   48    2,888 
DTE Energy   12    1,613 
Duke Energy   43    5,218 
Edison International   20    1,246 
Entergy   24    2,301 
Evergy   12    921 
Eversource Energy   20    1,383 
Exelon   56    2,508 
FirstEnergy   28    1,325 
NextEra Energy   116    10,196 
NiSource   28    1,240 
NRG Energy   11    1,679 
PG&E   124    1,912 
Pinnacle West Capital   7    655 
PPL   40    1,450 
Public Service Enterprise Group   28    2,306 
Sempra   36    3,132 
Southern   62    5,537 
Vistra   18    2,850 
WEC Energy Group   19    2,103 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P 500® Christian Values ETF

 

   Shares   Value 
COMMON STOCK — continued          
Utilities — continued          
Xcel Energy   32   $2,434 
         74,298 
TOTAL UNITED STATES        3,285,691 
TOTAL COMMON STOCK
(Cost $3,209,374)
        3,292,421 
TOTAL INVESTMENTS — 99.9%
(Cost $3,209,374)
       $3,292,421 

 

Percentages are based on Net Assets of $3,295,759.

 

* Non-income producing security.
Real Estate Investment Trust

 

As of January 31, 2026, 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.

 

See “Glossary” for abbreviations.

 

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.

 

 

Schedules of Investments January 31, 2026 (Unaudited)
Glossary (abbreviations used in preceding Schedules of Investments):

 

Fund Abbreviations

ADR — American Depositary Receipt
CDI — Chess Depositary Interest
Cl — Class
ETF — Exchange-Traded Fund
GDR — Global Depositary Receipt
H15T5Y — Harmonized Index of Consumer Prices
ICE — Intercontinental Exchange
KSCP — Kuwaiti Shareholding Company Public
LIBOR — London Interbank Offered Rate
MSCI — Morgan Stanley Capital International
NVDR — Non-Voting Depositary Receipt
PJSC — Public Joint-Stock Company
PLC — Public Limited Company
REIT — Real Estate Investment Trust
S&P — Standard & Poor’s
TSFR3M — Term Secured Overnight Financing Rate 3 Month
US0003M — ICE LIBOR USD 3 Month

 

GLX-QH-003-2900

 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P 500® Covered Call ETF

 

   Shares   Value
COMMON STOCK(A) — 101.1%        
NETHERLANDS — 0.1%        
Information Technology — 0.1%        
NXP Semiconductors   13,719   $3,102,415 
           
SWITZERLAND — 0.1%          
Information Technology — 0.1%          
TE Connectivity PLC   15,849    3,530,840 
           
UNITED STATES — 100.9%          
Communication Services — 11.1%          
Alphabet, Cl A   314,966    106,458,508 
Alphabet, Cl C   251,726    85,216,803 
AT&T   383,068    10,040,212 
Charter Communications, Cl A *   4,680    964,642 
Comcast, Cl A   196,108    5,834,213 
Electronic Arts   12,238    2,495,573 
Fox, Cl A   11,244    818,338 
Fox, Cl B   7,832    513,544 
Live Nation Entertainment *   8,502    1,236,616 
Match Group   12,385    385,793 
Meta Platforms, Cl A   117,896    84,472,484 
Netflix *   229,214    19,137,077 
News, Cl A   19,767    534,302 
News, Cl B   6,529    203,052 
Omnicom Group   17,295    1,332,407 
Paramount Skydance Corp, Cl B   15,556    174,383 
Take-Two Interactive Software *   9,413    2,073,684 
TKO Group Holdings, Cl A   3,497    708,422 
T-Mobile US   25,927    5,113,064 
Trade Desk, Cl A *   23,747    720,246 
Verizon Communications   227,817    10,142,413 
Walt Disney   96,485    10,883,508 
Warner Bros Discovery *   133,506    3,676,755 
         353,136,039 
Consumer Discretionary — 10.6%          
Airbnb, Cl A *   23,147    2,994,527 
Amazon.com *   526,708    126,041,224 
APTIV PLC *   11,561    875,746 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P 500® Covered Call ETF

 

   Shares   Value
COMMON STOCK — continued          
Consumer Discretionary — continued          
AutoZone *   894   $3,311,635 
Best Buy   10,398    676,910 
Booking Holdings   1,733    8,668,189 
Carnival *   58,157    1,745,873 
Carvana, Cl A *   7,703    3,089,750 
Chipotle Mexican Grill, Cl A *   71,117    2,764,318 
Darden Restaurants   6,286    1,253,114 
Deckers Outdoor *   7,788    929,420 
Domino’s Pizza   1,661    681,558 
DoorDash, Cl A *   20,167    4,126,572 
DR Horton   14,964    2,227,242 
eBay   24,507    2,235,529 
Expedia Group   6,278    1,662,666 
Ford Motor   210,793    2,925,807 
Garmin   8,757    1,765,761 
General Motors   50,259    4,221,756 
Genuine Parts   7,469    1,038,116 
Hasbro   7,076    631,958 
Hilton Worldwide Holdings   12,539    3,743,017 
Home Depot   53,853    20,172,795 
Las Vegas Sands   16,397    864,614 
Lennar, Cl A   11,683    1,277,536 
Lowe’s   30,304    8,092,986 
Lululemon Athletica *   5,841    1,019,254 
Marriott International, Cl A   12,175    3,838,777 
McDonald’s   38,503    12,128,445 
MGM Resorts International *   10,530    353,176 
NIKE, Cl B   64,093    3,961,588 
Norwegian Cruise Line Holdings *   24,084    528,885 
NVR *   155    1,183,538 
O’Reilly Automotive *   45,511    4,478,738 
Pool   1,732    440,084 
PulteGroup   10,584    1,323,953 
Ralph Lauren, Cl A   2,035    719,189 
Ross Stores   17,675    3,334,389 
Royal Caribbean Cruises   13,674    4,439,264 
Starbucks   61,362    5,642,236 
Tapestry   11,011    1,397,406 
Tesla *   152,133    65,479,565 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P 500® Covered Call ETF

 

   Shares   Value
COMMON STOCK — continued          
Consumer Discretionary — continued          
TJX   60,155   $9,011,821 
Tractor Supply   28,590    1,454,659 
Ulta Beauty *   2,418    1,565,316 
Williams-Sonoma   6,583    1,347,211 
Wynn Resorts   4,515    485,137 
Yum! Brands   15,085    2,345,717 
         334,496,967 
Consumer Staples — 5.0%          
Altria Group   90,604    5,616,542 
Archer-Daniels-Midland   25,954    1,746,964 
Brown-Forman, Cl B   8,962    245,290 
Bunge Global   7,209    820,961 
Church & Dwight   12,994    1,250,673 
Clorox   6,501    733,248 
Coca-Cola   209,371    15,663,045 
Colgate-Palmolive   43,438    3,922,017 
Conagra Brands   25,073    464,101 
Constellation Brands, Cl A   7,600    1,190,920 
Costco Wholesale   23,975    22,542,494 
Dollar General   11,956    1,714,849 
Dollar Tree *   10,344    1,216,351 
Estee Lauder, Cl A   13,312    1,534,607 
General Mills   28,629    1,324,378 
Hershey   7,926    1,543,588 
Hormel Foods   14,984    368,756 
J M Smucker   5,674    594,976 
Kenvue   102,614    1,785,484 
Keurig Dr Pepper   73,006    2,003,285 
Kimberly-Clark   17,950    1,794,820 
Kraft Heinz   45,897    1,089,595 
Kroger   33,050    2,077,193 
Lamb Weston Holdings   7,214    331,339 
McCormick   13,417    829,573 
Molson Coors Beverage, Cl B   8,860    425,634 
Mondelez International, Cl A   69,541    4,066,062 
Monster Beverage *   38,379    3,099,488 
PepsiCo   73,931    11,358,020 
Philip Morris International   84,189    15,106,874 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P 500® Covered Call ETF

 

   Shares   Value
COMMON STOCK — continued          
Consumer Staples — continued          
Procter & Gamble   126,391   $19,182,362 
Sysco   25,931    2,174,314 
Target   24,426    2,576,210 
The Campbell’s Company   10,086    282,206 
Tyson Foods, Cl A   15,177    991,513 
Walmart   237,309    28,272,994 
         159,940,726 
Energy — 3.2%          
APA   18,426    486,631 
Baker Hughes, Cl A   53,070    2,974,043 
Chevron   102,369    18,109,076 
ConocoPhillips   66,735    6,955,789 
Coterra Energy   40,911    1,180,282 
Devon Energy   33,931    1,364,365 
Diamondback Energy   10,040    1,646,058 
EOG Resources   29,208    3,275,093 
EQT   33,675    1,944,058 
Expand Energy   12,561    1,411,982 
Exxon Mobil   228,198    32,267,197 
Halliburton   45,407    1,522,043 
Kinder Morgan   105,344    3,211,938 
Marathon Petroleum   16,335    2,878,064 
Occidental Petroleum   38,895    1,765,444 
ONEOK   34,148    2,704,180 
Phillips 66   21,930    3,148,271 
SLB   80,473    3,893,284 
Targa Resources   11,654    2,342,221 
Texas Pacific Land   3,062    1,066,678 
Valero Energy   16,569    3,006,114 
Williams   65,798    4,425,573 
         101,578,384 
Financials — 13.0%          
Aflac   25,626    2,843,205 
Allstate   14,251    2,835,806 
American Express   29,054    10,231,947 
American International Group   28,967    2,169,049 
Ameriprise Financial   5,178    2,729,790 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P 500® Covered Call ETF

 

   Shares   Value
COMMON STOCK — continued          
Financials — continued          
Aon PLC, Cl A   11,563   $4,042,887 
Apollo Global Management   25,003    3,363,904 
Arch Capital Group *   19,362    1,859,526 
Ares Management, Cl A   11,026    1,650,261 
Arthur J Gallagher   14,005    3,492,427 
Assurant   2,629    626,044 
Bank of America   363,446    19,335,327 
Bank of New York Mellon   37,612    4,510,431 
Berkshire Hathaway, Cl B *   99,268    47,701,252 
Blackrock   7,881    8,818,366 
Blackstone   39,865    5,677,573 
Block, Cl A *   29,592    1,788,245 
Brown & Brown   15,659    1,129,014 
Capital One Financial   34,329    7,515,648 
Cboe Global Markets   5,679    1,505,276 
Charles Schwab   90,281    9,382,002 
Chubb   19,774    6,121,239 
Cincinnati Financial   8,420    1,354,694 
Citigroup   96,711    11,190,430 
Citizens Financial Group   23,050    1,451,689 
CME Group, Cl A   19,478    5,630,311 
Coinbase Global, Cl A *   12,293    2,393,939 
Corpay *   3,709    1,166,963 
Erie Indemnity, Cl A   1,516    429,043 
Everest Group   2,201    729,147 
FactSet Research Systems   1,952    496,511 
Fidelity National Information Services   28,101    1,552,580 
Fifth Third Bancorp   35,501    1,782,860 
Fiserv *   28,849    1,838,547 
Franklin Resources   15,790    420,330 
Global Payments   12,928    927,455 
Globe Life   4,266    598,179 
Goldman Sachs Group   16,390    15,331,370 
Hartford Financial Services Group   15,124    2,042,647 
Huntington Bancshares   84,075    1,469,631 
Interactive Brokers Group, Cl A   24,079    1,803,036 
Intercontinental Exchange   30,767    5,346,689 
Invesco   23,315    636,266 
Jack Henry & Associates   3,839    687,987 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P 500® Covered Call ETF

 

   Shares   Value
COMMON STOCK — continued          
Financials — continued          
JPMorgan Chase   147,352   $45,073,503 
KeyCorp   49,970    1,075,354 
KKR   37,031    4,231,162 
Loews   9,083    958,892 
M&T Bank   8,315    1,842,355 
Marsh & McLennan   26,407    4,969,533 
Mastercard, Cl A   44,377    23,909,884 
MetLife   30,083    2,372,947 
Moody’s   8,270    4,263,681 
Morgan Stanley   65,290    11,935,012 
MSCI, Cl A   4,057    2,471,606 
Nasdaq   24,484    2,372,255 
Northern Trust   10,187    1,522,243 
PayPal Holdings   50,348    2,652,836 
PNC Financial Services Group   21,405    4,779,737 
Principal Financial Group   10,696    1,013,125 
Progressive   31,655    6,584,240 
Prudential Financial   18,955    2,106,090 
Raymond James Financial   9,535    1,581,475 
Regions Financial   47,312    1,348,392 
Robinhood Markets, Cl A *   42,388    4,216,758 
S&P Global   16,918    8,929,151 
State Street   15,234    1,993,521 
Synchrony Financial   19,289    1,400,960 
T Rowe Price Group   11,717    1,238,253 
Travelers   12,190    3,468,177 
Truist Financial   68,895    3,542,581 
US Bancorp   83,831    4,703,757 
Visa, Cl A   91,338    29,395,309 
W R Berkley   16,156    1,107,978 
Wells Fargo   169,773    15,362,759 
Willis Towers Watson PLC   5,225    1,658,781 
         412,691,830 
Health Care — 9.5%          
Abbott Laboratories   94,000    10,274,200 
AbbVie   95,603    21,320,425 
Agilent Technologies   15,274    2,044,425 
Align Technology *   3,489    568,812 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P 500® Covered Call ETF

 

   Shares   Value
COMMON STOCK — continued          
Health Care — continued          
Amgen   29,112   $9,952,811 
Baxter International   27,199    545,884 
Becton Dickinson   15,595    3,173,271 
Biogen *   7,921    1,424,909 
Bio-Techne   8,200    525,538 
Boston Scientific *   80,046    7,486,702 
Bristol-Myers Squibb   109,885    6,049,169 
Cardinal Health   12,791    2,748,530 
Cencora   10,490    3,768,218 
Centene *   24,704    1,070,177 
Charles River Laboratories International *   2,566    540,092 
Cigna Group   14,568    3,993,234 
Cooper *   10,552    858,722 
CVS Health   68,506    5,105,067 
Danaher   33,946    7,430,440 
DaVita *   1,746    190,908 
Dexcom *   20,994    1,533,402 
Edwards Lifesciences *   31,543    2,566,338 
Elevance Health   12,155    4,202,470 
Eli Lilly   43,003    44,600,561 
GE HealthCare Technologies   24,550    1,938,713 
Gilead Sciences   67,044    9,516,896 
HCA Healthcare   8,694    4,245,019 
Henry Schein *   5,277    398,308 
Hologic *   11,742    879,828 
Humana   6,444    1,257,869 
IDEXX Laboratories *   4,316    2,893,705 
Incyte *   8,828    883,418 
Insulet *   3,723    952,381 
Intuitive Surgical *   19,329    9,746,068 
IQVIA Holdings *   9,135    2,102,420 
Johnson & Johnson   130,386    29,630,219 
Labcorp Holdings   4,436    1,204,463 
McKesson   6,747    5,608,174 
Medtronic PLC   69,261    7,131,113 
Merck   134,216    14,799,998 
Mettler-Toledo International *   1,130    1,551,761 
Moderna *   18,433    812,342 
Molina Healthcare *   2,666    478,787 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P 500® Covered Call ETF

 

   Shares   Value
COMMON STOCK — continued          
Health Care — continued          
Pfizer   307,154   $8,121,152 
Quest Diagnostics   6,005    1,123,115 
Regeneron Pharmaceuticals   5,443    4,035,712 
ResMed   7,830    2,022,567 
Revvity   6,032    656,282 
Solventum *   7,743    595,979 
STERIS PLC   5,329    1,399,395 
Stryker   18,751    6,929,620 
Thermo Fisher Scientific   20,330    11,763,141 
UnitedHealth Group   48,981    14,054,118 
Universal Health Services, Cl B   2,904    584,459 
Vertex Pharmaceuticals *   13,870    6,517,513 
Viatris   61,489    804,891 
Waters *   3,158    1,170,734 
West Pharmaceutical Services   3,844    888,425 
Zimmer Biomet Holdings   10,498    914,061 
Zoetis, Cl A   23,966    2,991,436 
         302,578,387 
Industrials — 8.7%          
3M   28,666    4,390,485 
A O Smith   5,949    437,192 
Allegion PLC   4,630    765,756 
AMETEK   12,547    2,810,277 
Automatic Data Processing   21,835    5,389,315 
Axon Enterprise *   4,401    2,128,236 
Boeing *   41,975    9,810,397 
Broadridge Financial Solutions   6,269    1,235,683 
Builders FirstSource *   5,895    674,388 
Carrier Global   42,549    2,535,069 
Caterpillar   25,301    16,631,865 
CH Robinson Worldwide   6,371    1,242,026 
Cintas   18,563    3,552,773 
Comfort Systems USA   1,883    2,150,574 
Copart *   48,243    1,957,701 
CSX   100,310    3,787,706 
Cummins   7,640    4,422,185 
Dayforce *   8,478    587,271 
Deere   13,747    7,258,416 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P 500® Covered Call ETF

 

   Shares   Value
COMMON STOCK — continued          
Industrials — continued          
Delta Air Lines   34,881   $2,298,309 
Dover   7,417    1,494,451 
Eaton PLC   20,989    7,375,954 
EMCOR Group   2,414    1,739,842 
Emerson Electric   30,297    4,452,447 
Equifax   6,547    1,318,566 
Expeditors International of Washington   7,220    1,159,099 
Fastenal   61,731    2,676,656 
FedEx   11,713    3,774,514 
Fortive   17,024    899,037 
GE Aerospace   57,045    17,500,836 
GE Vernova   14,835    10,775,699 
Generac Holdings *   3,037    510,338 
General Dynamics   13,687    4,805,369 
Honeywell International   34,275    7,798,248 
Howmet Aerospace   21,937    4,564,651 
Hubbell, Cl B   2,920    1,424,785 
Huntington Ingalls Industries   2,069    870,035 
IDEX   3,976    789,435 
Illinois Tool Works   14,229    3,717,469 
Ingersoll Rand   19,492    1,678,066 
Jacobs Solutions   6,419    868,234 
JB Hunt Transport Services   4,068    824,665 
Johnson Controls International PLC   32,917    3,925,681 
L3Harris Technologies   10,062    3,449,757 
Leidos Holdings   6,854    1,290,471 
Lennox International   1,683    833,220 
Lockheed Martin   11,068    7,019,547 
Masco   11,282    745,627 
Nordson   2,809    771,155 
Norfolk Southern   12,103    3,524,878 
Northrop Grumman   7,239    5,011,270 
Old Dominion Freight Line   9,926    1,719,183 
Otis Worldwide   21,084    1,800,995 
PACCAR   28,296    3,477,861 
Parker-Hannifin   6,898    6,455,424 
Paychex   17,540    1,808,900 
Paycom Software   2,505    337,549 
Pentair PLC   8,763    923,357 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P 500® Covered Call ETF

 

   Shares   Value
COMMON STOCK — continued          
Industrials — continued          
Quanta Services   8,222   $3,902,408 
Republic Services, Cl A   10,789    2,320,606 
Rockwell Automation   6,043    2,548,031 
Rollins   15,648    991,144 
RTX   72,495    14,566,420 
Snap-On   2,749    1,006,436 
Southwest Airlines   27,893    1,325,475 
Stanley Black & Decker   8,213    646,035 
Textron   9,415    829,085 
Trane Technologies PLC   12,134    5,103,318 
TransDigm Group   3,067    4,378,265 
Uber Technologies *   112,270    8,987,214 
Union Pacific   32,031    7,530,488 
United Airlines Holdings *   17,532    1,793,874 
United Parcel Service, Cl B   39,832    4,230,955 
United Rentals   3,417    2,672,299 
Veralto   13,279    1,314,355 
Verisk Analytics, Cl A   7,462    1,622,687 
Wabtec   9,166    2,109,463 
Waste Management   20,244    4,499,027 
WW Grainger   2,473    2,670,692 
Xylem   13,221    1,822,779 
         275,049,951 
Information Technology — 33.6%          
Accenture PLC, Cl A   33,501    8,832,204 
Adobe *   22,607    6,629,503 
Advanced Micro Devices *   88,062    20,846,917 
Akamai Technologies *   7,664    744,558 
Amphenol, Cl A   66,177    9,534,782 
Analog Devices   26,559    8,256,662 
Apple   800,072    207,602,683 
Applied Materials   43,098    13,891,347 
AppLovin, Cl A *   14,629    6,921,126 
Arista Networks *   55,761    7,903,564 
Autodesk *   11,442    2,893,338 
Broadcom   255,667    84,702,477 
Cadence Design Systems *   14,852    4,401,539 
CDW   7,001    884,856 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P 500® Covered Call ETF

 

   Shares   Value
COMMON STOCK — continued          
Information Technology — continued          
Cisco Systems   213,119   $16,691,480 
Cognizant Technology Solutions, Cl A   26,167    2,147,264 
Corning   42,026    4,339,184 
Crowdstrike Holdings, Cl A *   13,724    6,057,842 
Datadog, Cl A *   17,656    2,283,274 
Dell Technologies, Cl C   16,330    1,868,805 
EPAM Systems *   2,898    604,523 
F5 *   3,036    836,752 
Fair Isaac *   1,301    1,903,584 
First Solar *   5,828    1,314,330 
Fortinet *   33,959    2,759,508 
Gartner *   3,919    821,462 
Gen Digital   30,050    720,899 
GoDaddy, Cl A *   7,255    729,273 
Hewlett Packard Enterprise   70,663    1,520,668 
HP   50,284    977,521 
Intel *   242,387    11,263,724 
International Business Machines   50,574    15,511,046 
Intuit   15,240    7,603,541 
Jabil   5,720    1,356,727 
Keysight Technologies *   9,250    2,001,052 
KLA   7,106    10,146,942 
Lam Research   67,939    15,861,039 
Microchip Technology   29,317    2,225,747 
Micron Technology   60,736    25,198,152 
Microsoft   402,433    173,162,896 
Monolithic Power Systems   2,613    2,937,404 
Motorola Solutions   8,965    3,608,771 
NetApp   10,728    1,033,643 
NVIDIA   1,315,739    251,477,195 
ON Semiconductor *   21,704    1,299,853 
Oracle   90,991    14,975,299 
Palantir Technologies, Cl A *   123,589    18,116,911 
Palo Alto Networks *   36,946    6,538,334 
PTC *   6,468    1,009,849 
QNITY Electronics   11,182    1,075,485 
QUALCOMM   57,856    8,770,391 
Roper Technologies   5,901    2,190,628 
Salesforce   51,483    10,929,326 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P 500® Covered Call ETF

 

   Shares   Value
COMMON STOCK — continued          
Information Technology — continued          
SANDISK *   7,493   $4,317,841 
Seagate Technology Holdings   11,611    4,733,689 
ServiceNow *   56,018    6,554,666 
Skyworks Solutions   7,724    430,690 
Super Micro Computer *   26,723    777,906 
Synopsys *   10,031    4,665,569 
Teledyne Technologies *   2,527    1,567,498 
Teradyne   8,468    2,041,211 
Texas Instruments   49,089    10,581,134 
Trimble *   12,640    854,464 
Tyler Technologies *   2,275    840,385 
VeriSign   4,458    1,088,777 
Western Digital   18,577    4,648,523 
Workday, Cl A *   11,670    2,049,602 
Zebra Technologies, Cl A *   2,653    623,402 
         1,063,691,237 
Materials — 2.0%          
Air Products & Chemicals   11,998    3,269,455 
Albemarle   6,333    1,080,600 
Amcor PLC   24,807    1,097,710 
Avery Dennison   4,172    773,948 
Ball   14,323    814,549 
CF Industries Holdings   8,561    798,142 
Corteva   36,329    2,644,751 
CRH PLC   36,154    4,425,611 
Dow   38,111    1,049,958 
DuPont de Nemours   22,487    987,629 
Ecolab   13,986    3,943,912 
Freeport-McMoRan   77,595    4,673,547 
International Flavors & Fragrances   13,581    948,090 
International Paper   28,223    1,137,951 
Linde PLC   25,232    11,530,267 
LyondellBasell Industries, Cl A   13,680    670,320 
Martin Marietta Materials   3,304    2,154,043 
Mosaic   16,563    455,482 
Newmont   58,941    6,622,021 
Nucor   12,300    2,185,956 
Packaging Corp of America   4,769    1,061,341 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P 500® Covered Call ETF

 

   Shares   Value
COMMON STOCK — continued          
Materials — continued          
PPG Industries   12,052   $1,393,573 
Sherwin-Williams   12,600    4,468,464 
Smurfit WestRock PLC   27,873    1,160,353 
Steel Dynamics   7,412    1,330,973 
Vulcan Materials   7,096    2,132,632 
         62,811,278 
Real Estate — 1.9%          
Alexandria Real Estate Equities    8,117    443,513 
American Tower    25,494    4,570,564 
AvalonBay Communities    7,621    1,354,023 
BXP    7,793    503,973 
Camden Property Trust    5,674    618,750 
CBRE Group, Cl A *   15,761    2,684,571 
CoStar Group *   22,786    1,401,339 
Crown Castle    23,619    2,050,365 
Digital Realty Trust    17,551    2,912,588 
Equinix    5,500    4,515,115 
Equity Residential    18,748    1,168,375 
Essex Property Trust    3,410    858,877 
Extra Space Storage    11,436    1,577,825 
Federal Realty Investment Trust    4,085    413,239 
Healthpeak Properties    36,609    631,139 
Host Hotels & Resorts    33,613    622,849 
Invitation Homes    30,188    806,925 
Iron Mountain    15,848    1,460,076 
Kimco Realty    36,163    762,316 
Mid-America Apartment Communities    6,288    844,478 
ProLogis    50,137    6,545,887 
Public Storage    8,482    2,342,644 
Realty Income    49,485    3,026,503 
Regency Centers    8,722    635,572 
SBA Communications, Cl A    5,759    1,060,290 
Simon Property Group    17,743    3,394,413 
UDR    15,931    591,837 
Ventas    24,402    1,895,303 
VICI Properties, Cl A    57,196    1,606,064 
Welltower    37,074    6,983,259 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P 500® Covered Call ETF

 

   Shares   Value
COMMON STOCK — continued        
Real Estate — continued        
Weyerhaeuser    38,669   $996,887 
         59,279,559 
Utilities — 2.3%          
AES   37,600    550,840 
Alliant Energy   13,623    897,892 
Ameren   14,629    1,510,883 
American Electric Power   28,836    3,453,832 
American Water Works   10,466    1,351,475 
Atmos Energy   8,664    1,441,170 
CenterPoint Energy   35,286    1,400,501 
CMS Energy   15,975    1,142,053 
Consolidated Edison   19,615    2,091,547 
Constellation Energy   16,840    4,726,651 
Dominion Energy   45,929    2,763,548 
DTE Energy   11,313    1,520,241 
Duke Energy   41,933    5,088,570 
Edison International   20,521    1,278,048 
Entergy   24,037    2,304,908 
Evergy   12,381    949,994 
Eversource Energy   19,835    1,371,194 
Exelon   54,423    2,437,062 
FirstEnergy   27,735    1,312,975 
NextEra Energy   112,525    9,890,947 
NiSource   25,636    1,135,418 
NRG Energy   10,236    1,562,321 
PG&E   117,789    1,816,306 
Pinnacle West Capital   6,284    587,931 
PPL   39,937    1,447,716 
Public Service Enterprise Group   27,101    2,232,038 
Sempra   35,195    3,062,317 
Southern   59,424    5,307,157 
Vistra   17,225    2,727,579 
WEC Energy Group   17,321    1,916,915 
Xcel Energy   32,115    2,442,667 
         71,722,696 
TOTAL UNITED STATES        3,196,977,054 
TOTAL COMMON STOCK
(Cost $1,986,796,670)
        3,203,610,309 
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P 500® Covered Call ETF

 

   Shares   Value
EXCHANGE-TRADED FUND — 0.1%        
Domestic Equity — 0.1%        
Global X U.S. 500 ETF (A)(B)   40,000   $3,324,860 
TOTAL EXCHANGE-TRADED FUND
(Cost $3,178,873)
        3,324,860 
TOTAL INVESTMENTS — 101.2%
(Cost $1,989,975,543)
       $3,206,935,169 
           
WRITTEN OPTIONS— (1.4)%          
(Premiums Received  $(55,947,053))       $(42,919,500)

 

Percentages are based on Net Assets of $3,167,757,366.

 

A list of exchange-traded option contracts held by the Fund at January 31, 2026, is as follows:

 

Description  Number of
Contracts
  Notional
Amount
  Exercise
Price
  Expiration
Date
  Value
WRITTEN OPTIONS — (1.4)%                   
Call Options                   
S&P 500 Index   (4,615)  $(3,202,362,345)  $6,945.00   2/20/2026  $(42,919,500)

 

* Non-income producing security.
Real Estate Investment Trust
(A) All or a portion of these securities have been segregated as collateral for options contracts. The Fair Value of the securities pledged as collateral is $3,205,843,433.
(B) Affiliated investment.

 

The following is a summary of the level of inputs used as of January 31, 2026, in valuing the Fund’s investments and other financial instruments carried at value:

 

Investments in Securities  Level 1  Level 2    Level 3    Total
Common Stock  $3,203,610,309   $   $   $3,203,610,309 
Exchange-Traded Fund   3,324,860            3,324,860 
Total Investments in Securities  $3,206,935,169   $   $   $3,206,935,169 
                     
Other Financial Instruments    Level 1      Level 2      Level 3      Total  
Written Options  $(42,919,500)  $   $   $(42,919,500)
Total Other Financial Instruments  $(42,919,500)  $   $   $(42,919,500)
 

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X S&P 500® Covered Call ETF

 

The following is a summary of the Fund’s transactions with affiliates for the period ended January 31, 2026:

Value
10/31/2025
   Purchases
at Cost
   Proceeds
from Sales
   Change in
Unrealized
Appreciation
(Depreciation)
   Realized Gain
(Loss)
   Value
1/31/2026
   Income   Capital Gains 
Global X U.S. 500 ETF                         
$3,295,964   $   $   $28,896   $   $3,324,860   $9,807   $ 

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

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.

 
Schedules of Investments January 31, 2026 (Unaudited)
Global X NASDAQ 100® Covered Call ETF

 

   Shares   Value
COMMON STOCK(A) — 101.9%          
BRAZIL — 0.6%          
Consumer Discretionary — 0.6%          
MercadoLibre *   22,809   $48,988,942 
           
CANADA — 1.1%          
Industrials — 0.3%          
Thomson Reuters   200,258    22,154,543 
           
Information Technology — 0.8%          
Shopify, Cl A *   547,640    71,866,797 
           
TOTAL CANADA        94,021,340 
CHINA — 0.4%          
Consumer Discretionary — 0.4%          
PDD Holdings ADR *   287,686    29,070,670 
           
NETHERLANDS — 1.0%          
Information Technology — 1.0%          
ASML Holding   37,764    53,738,172 
NXP Semiconductors    113,312    25,624,376 
           
TOTAL NETHERLANDS        79,362,548 
UNITED KINGDOM — 0.3%          
Consumer Staples — 0.2%          
Coca-Cola Europacific Partners PLC   203,699    18,679,198 
           
Information Technology — 0.1%          
ARM Holdings PLC ADR *   58,200    6,131,952 
           
TOTAL UNITED KINGDOM        24,811,150 
UNITED STATES — 98.5%          
Communication Services — 16.2%          
Alphabet, Cl A    945,236    319,489,768 
Alphabet, Cl C   878,481    297,392,173 
Charter Communications, Cl A *   58,069    11,969,182 
Comcast, Cl A   1,641,237    48,826,801 
Electronic Arts   112,488    22,938,553 
Meta Platforms, Cl A   477,116    341,853,614 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X NASDAQ 100® Covered Call ETF

 

   Shares   Value
COMMON STOCK — continued          
Communication Services — continued          
Netflix *   1,899,755   $158,610,545 
Take-Two Interactive Software *   83,115    18,310,234 
T-Mobile US   501,098    98,821,537 
Warner Bros Discovery *   1,117,261    30,769,368 
         1,348,981,775 
Consumer Discretionary — 12.1%          
Airbnb, Cl A *   191,502    24,774,614 
Amazon.com *   1,737,076    415,682,287 
Booking Holdings   14,393    71,991,483 
DoorDash, Cl A *   183,381    37,523,420 
Marriott International, Cl A   121,174    38,206,162 
O’Reilly Automotive *   380,787    37,473,249 
Ross Stores   146,532    27,643,262 
Starbucks   505,217    46,454,703 
Tesla *   718,680    309,327,059 
         1,009,076,239 
Consumer Staples — 7.7%          
Costco Wholesale   198,681    186,809,810 
Keurig Dr Pepper   603,602    16,562,839 
Kraft Heinz   512,536    12,167,605 
Mondelez International, Cl A   581,857    34,021,179 
Monster Beverage *   440,627    35,585,036 
PepsiCo   612,469    94,093,612 
Walmart   2,191,870    261,139,392 
         640,379,473 
Energy — 0.6%          
Baker Hughes, Cl A   443,988    24,881,087 
Diamondback Energy   127,509    20,905,101 
         45,786,188 
Financials — 0.3%          
PayPal Holdings   421,185    22,192,238 
           
Health Care — 5.0%          
Alnylam Pharmaceuticals *   58,792    19,875,224 
Amgen   241,133    82,438,550 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X NASDAQ 100® Covered Call ETF

 

   Shares   Value
COMMON STOCK — continued          
Health Care — continued          
Dexcom *   168,884   $12,335,287 
GE HealthCare Technologies   202,322    15,977,368 
Gilead Sciences   555,457    78,847,121 
IDEXX Laboratories *   35,998    24,135,219 
Insmed *   94,678    14,852,138 
Intuitive Surgical *   158,724    80,031,815 
Regeneron Pharmaceuticals   46,588    34,542,673 
Vertex Pharmaceuticals *   114,528    53,816,707 
         416,852,102 
Industrials — 4.0%          
Automatic Data Processing   179,596    44,327,885 
Axon Enterprise *   35,546    17,189,335 
Cintas   181,306    34,700,155 
Copart *   430,297    17,461,452 
CSX   839,438    31,697,179 
Fastenal   516,534    22,396,914 
Ferrovial   330,133    22,445,743 
Honeywell International   284,149    64,649,580 
Old Dominion Freight Line   92,886    16,087,855 
PACCAR   236,676    29,089,847 
Paychex   159,941    16,494,715 
Verisk Analytics, Cl A    60,562    13,169,813 
         329,710,473 
Information Technology — 50.0%          
Adobe *   186,179    54,596,992 
Advanced Micro Devices *   729,954    172,802,010 
Analog Devices   219,230    68,154,222 
Apple   2,397,386    622,073,719 
Applied Materials   357,049    115,084,034 
AppLovin, Cl A *   137,754    65,172,795 
Atlassian, Cl A *   77,755    9,189,086 
Autodesk *   95,452    24,136,947 
Broadcom   767,131    254,150,500 
Cadence Design Systems *   122,909    36,425,311 
Cisco Systems   1,770,953    138,701,039 
Cognizant Technology Solutions, Cl A   214,687    17,617,215 
Crowdstrike Holdings, Cl A *   111,656    49,285,517 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X NASDAQ 100® Covered Call ETF

 

   Shares   Value
COMMON STOCK — continued          
Information Technology — continued          
Datadog, Cl A *   144,624   $18,702,776 
Fortinet *   334,874    27,211,861 
Intel *   2,137,167    99,314,151 
Intuit   124,620    62,175,410 
KLA   58,826    83,999,999 
Lam Research   562,919    131,419,070 
Marvell Technology   388,657    30,672,810 
Microchip Technology   240,298    18,243,424 
Micron Technology   504,589    209,343,884 
Microsoft   1,205,742    518,818,725 
Monolithic Power Systems   21,278    23,919,664 
NVIDIA   3,942,927    753,611,638 
Palantir Technologies, Cl A *   1,024,188    150,135,719 
Palo Alto Networks *   310,041    54,867,956 
QUALCOMM   479,559    72,696,349 
Roper Technologies   47,898    17,781,175 
Seagate Technology Holdings   96,273    39,249,539 
Strategy, Cl A *   113,684    17,019,632 
Synopsys *   83,888    39,017,567 
Texas Instruments   406,933    87,714,408 
Western Digital   154,183    38,581,212 
Workday, Cl A *   94,699    16,631,985 
Zscaler *   70,846    14,169,909 
         4,152,688,250 
Materials — 1.1%          
Linde PLC   209,112    95,557,911 
           
Real Estate — 0.1%          
CoStar Group *   183,840    11,306,160 
           
Utilities — 1.4%          
American Electric Power   240,662    28,825,291 
Constellation Energy   160,983    45,184,708 
Exelon   449,689    20,137,073 
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X NASDAQ 100® Covered Call ETF

 

   Shares   Value
COMMON STOCK — continued          
Utilities — continued          
Xcel Energy   266,008   $20,232,569 
         114,379,641 
TOTAL UNITED STATES        8,186,910,450 
TOTAL COMMON STOCK
(Cost $4,662,478,931)
        8,463,165,100 
TOTAL INVESTMENTS — 101.9%
(Cost $4,662,478,931)
       $8,463,165,100 
           
WRITTEN OPTIONS— (1.9)%          
(Premiums Received  $(196,653,567))       $(161,907,900)

 

Percentages are based on Net Assets of $8,308,808,837.

 

A list of exchange-traded option contracts held by the Fund at January 31, 2026, is as follows:

 

Description  Number of
Contracts
   Notional
Amount
   Exercise
Price
   Expiration
Date
  Value 
WRITTEN OPTIONS — (1.9)%                   
Call Options                   
Nasdaq-100   (3,311)  $(8,460,396,329)  $25,550.00   2/20/2026  $(161,907,900)

 

* Non-income producing security.
(A) All or a portion of these securities have been segregated as collateral for options contracts. The Fair Value of the securities pledged as collateral is $8,460,947,599.
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X NASDAQ 100® Covered Call ETF

 

The following is a summary of the level of inputs used as of January 31, 2026, in valuing the Fund’s investments and other financial instruments carried at value:

 

Investments in Securities  Level 1  Level 2    Level 3    Total
Common Stock  $8,463,165,100   $   $   $8,463,165,100 
Total Investments in Securities  $8,463,165,100   $   $   $8,463,165,100 
                     
Other Financial Instruments  Level 1  Level 2   Level 3   Total
Written Options  $(161,907,900)  $   $   $(161,907,900)
Total Other Financial Instruments  $(161,907,900)  $   $   $(161,907,900)

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

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.

 
Schedules of Investments January 31, 2026
Global X Russell 2000 Covered Call ETF

 

   Shares   Value
EXCHANGE-TRADED FUND — 100.8%          
Domestic Equity — 100.8%          
Global X Russell 2000 ETF (A)(B)(C)   12,955,497   $1,317,789,106 
TOTAL EXCHANGE-TRADED FUND
(Cost $1,027,071,526)
        1,317,789,106 
           
    Number of
Rights
      
RIGHTS — 0.0%          
United States — 0.0%          
Cartesian Therapeutics CVR# *(D)   1     
Inhibrx CVR# *(D)   15,798    10,269 
Novartis CVR# *(D)   26,043    10,157 
OmniAb CVR# *(D)   2,421     
OmniAb CVR# *(D)   2,421     
Rain Oncology CVR# *(D)   1     
TOTAL RIGHTS
(Cost $–)
        20,426 
           
    Number of
Warrants
      
WARRANTS — 0.0%          
United States — 0.0%          
Pulse Biosciences, Expires 6/29/30 Strike Price $11.00*(D)   1,148    1,624 
TOTAL WARRANTS
(Cost $–)
        1,624 
TOTAL INVESTMENTS — 100.8%
(Cost $1,027,071,526)
       $1,317,811,156 
           
           
WRITTEN OPTIONS— (0.9)%          
(Premiums Received  $(34,082,775))       $(11,964,260)
           
Percentages are based on Net Assets of $1,306,710,799.          
 
Schedules of Investments January 31, 2026
Global X Russell 2000 Covered Call ETF

 

A list of exchange-traded option contracts held by the Fund at January 31, 2026, is as follows:

 

Description  Number of
Contracts
  Notional
Amount
  Exercise
Price
   Expiration
Date
   Value 
WRITTEN OPTIONS — (0.9)%                     
Call Options                     
Russell 2000 Index  (5,027)  $   (1,313,928,606) $2,680.00    2/20/2026   $(11,964,260)

 

* Non-income producing security.
# Expiration date not available.
(A) All or a portion of these securities have been segregated as collateral for options contracts. The Fair Value of the securities pledged as collateral is $1,317,786,106.
(B) For financial information on the Global X Russell 2000 ETF, please go to the Fund’s website at https://www.globalxetfs.com/explore/.
(C) Affiliated investment.
(D) Level 3 security in accordance with fair value hierarchy.

 

The following is a summary of the level of inputs used as of January 31, 2026, in valuing the Fund’s investments and other financial instruments carried at value:

 

Investments in Securities  Level 1  Level 2   Level 3(1)   Total
Exchange-Traded Fund  $1,317,789,106   $   $   $1,317,789,106 
Rights           20,426    20,426 
Warrants           1,624    1,624 
Total Investments in Securities  $1,317,789,106   $   $22,050   $1,317,811,156 
                     
Other Financial Instruments  Level 1  Level 2   Level 3   Total
Written Options  $(11,964,260)  $   $   $(11,964,260)
Total Other Financial Instruments  $(11,964,260)  $   $   $(11,964,260)

 

(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 end of the period in relation to Net Assets. Management has concluded that Level 3 investments are not material in relation to Net Assets.
 
Schedules of Investments January 31, 2026
Global X Russell 2000 Covered Call ETF

 

 The following is a summary of the Fund’s transactions with affiliates for the period ended January 31, 2026:

Value
10/31/2025
   Purchases
at Cost
   Proceeds
from Sales
   Change in
Unrealized
Appreciation
(Depreciation)
   Realized Gain
(Loss)
   Value
1/31/2026
   Income   Capital Gains
Global X Russell 2000 ETF                             
$1,290,083,051   $109,352,094   $(152,075,759)  $61,933,207   $8,496,513   $1,317,789,106   $6,451,117   $

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

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.

 

     
Schedules of Investments   January 31, 2026
     
Global X Nasdaq 100® Covered Call & Growth ETF
 

 

   Shares   Value
COMMON STOCK — 100.9%          
BRAZIL — 0.6%          
Consumer Discretionary — 0.6%          
MercadoLibre *   380   $816,160 
           
CANADA — 1.1%          
Industrials — 0.3%          
Thomson Reuters   3,303    365,411 
           
Information Technology — 0.8%          
Shopify, Cl A *   9,106    1,194,980 
           
TOTAL CANADA        1,560,391 
CHINA — 0.4%          
Consumer Discretionary — 0.4%          
PDD Holdings ADR *   5,101    515,456 
           
NETHERLANDS — 1.0%          
Information Technology — 1.0%          
ASML Holding (A)   661    940,603 
NXP Semiconductors    1,870    422,882 
           
TOTAL NETHERLANDS        1,363,485 
UNITED KINGDOM — 0.3%          
Consumer Staples — 0.2%          
Coca-Cola Europacific Partners PLC   3,259    298,851 
           
Information Technology — 0.1%          
ARM Holdings PLC ADR *   1,075    113,262 
           
TOTAL UNITED KINGDOM        412,113 
UNITED STATES — 97.5%          
Communication Services — 16.1%          
Alphabet, Cl A (A)   15,717    5,312,346 
Alphabet, Cl C (A)   14,609    4,945,585 
Charter Communications, Cl A *   964    198,700 
Comcast, Cl A (A)   27,017    803,756 
Electronic Arts   1,857    378,679 
Meta Platforms, Cl A (A)   7,938    5,687,577 
 

     
Schedules of Investments   January 31, 2026
     
Global X Nasdaq 100® Covered Call & Growth ETF
 

 

   Shares   Value
COMMON STOCK — continued          
Communication Services — continued          
Netflix *(A)   31,584   $2,636,948 
Take-Two Interactive Software *   1,371    302,031 
T-Mobile US   8,326    1,641,970 
Warner Bros Discovery *   18,390    506,461 
         22,414,053 
Consumer Discretionary — 12.0%          
Airbnb, Cl A *(A)   3,150    407,515 
Amazon.com *(A)   28,884    6,911,941 
Booking Holdings (A)   238    1,190,438 
DoorDash, Cl A *   3,019    617,748 
Marriott International, Cl A   1,995    629,023 
O’Reilly Automotive *   6,265    616,539 
Ross Stores   2,415    455,590 
Starbucks    8,459    777,805 
Tesla *   11,956    5,145,982 
         16,752,581 
Consumer Staples — 7.6%          
Costco Wholesale (A)   3,289    3,092,482 
Keurig Dr Pepper   10,314    283,016 
Kraft Heinz   8,824    209,482 
Mondelez International, Cl A    9,581    560,201 
Monster Beverage *   7,251    585,591 
PepsiCo   10,183    1,564,414 
Walmart    36,446    4,342,177 
         10,637,363 
Energy — 0.6%          
Baker Hughes, Cl A   7,304    409,316 
Diamondback Energy   2,167    355,280 
         764,596 
Financials — 0.3%          
PayPal Holdings    6,937    365,510 
           
Health Care — 5.0%          
Alnylam Pharmaceuticals *   979    330,961 
Amgen (A)   4,011    1,371,281 
 

     
Schedules of Investments   January 31, 2026
     
Global X Nasdaq 100® Covered Call & Growth ETF
 

 

   Shares   Value
COMMON STOCK — continued          
Health Care — continued          
Dexcom *   2,908   $212,400 
GE HealthCare Technologies    3,461    273,315 
Gilead Sciences (A)   9,233    1,310,624 
IDEXX Laboratories *   602    403,617 
Insmed *   1,611    252,718 
Intuitive Surgical *   2,638    1,330,132 
Regeneron Pharmaceuticals    773    573,141 
Vertex Pharmaceuticals *   1,890    888,111 
         6,946,300 
Industrials — 3.9%          
Automatic Data Processing   3,008    742,435 
Axon Enterprise *   594    287,246 
Cintas   2,986    571,490 
Copart *   7,346    298,101 
CSX   13,815    521,654 
Fastenal   8,506    368,820 
Ferrovial    5,438    369,730 
Honeywell International (A)   4,721    1,074,122 
Old Dominion Freight Line    1,579    273,483 
PACCAR   3,900    479,349 
Paychex   2,720    280,514 
Verisk Analytics, Cl A    1,040    226,158 
         5,493,102 
Information Technology — 49.5%          
Adobe *(A)   3,113    912,887 
Advanced Micro Devices *(A)   12,137    2,873,192 
Analog Devices    3,642    1,132,225 
Apple (A)   39,846    10,339,240 
Applied Materials (A)   5,940    1,914,581 
AppLovin, Cl A *   2,296    1,086,261 
Atlassian, Cl A *   1,241    146,661 
Autodesk *   1,570    397,006 
Broadcom (A)   12,754    4,225,400 
Cadence Design Systems *   2,023    599,536 
Cisco Systems (A)   29,445    2,306,132 
Cognizant Technology Solutions, Cl A    3,657    300,093 
Crowdstrike Holdings, Cl A *   1,870    825,427 
 

     
Schedules of Investments   January 31, 2026
     
Global X Nasdaq 100® Covered Call & Growth ETF
 

 

   Shares   Value
COMMON STOCK — continued          
Information Technology — continued          
Datadog, Cl A *   2,323   $300,410 
Fortinet *   5,514    448,068 
Intel *   35,534    1,651,265 
Intuit   2,070    1,032,764 
KLA   980    1,399,381 
Lam Research   9,354    2,183,785 
Marvell Technology    6,403    505,325 
Microchip Technology    4,091    310,589 
Micron Technology (A)   8,395    3,482,918 
Microsoft (A)   20,040    8,623,012 
Monolithic Power Systems    358    402,446 
NVIDIA (A)   65,541    12,526,851 
Palantir Technologies, Cl A *   17,034    2,497,014 
Palo Alto Networks *   5,184    917,413 
QUALCOMM    7,978    1,209,385 
Roper Technologies   802    297,727 
Seagate Technology Holdings   1,583    645,373 
Strategy, Cl A *   2,033    304,360 
Synopsys *   1,384    643,719 
Texas Instruments    6,761    1,457,334 
Western Digital   2,539    635,334 
Workday, Cl A *   1,614    283,467 
Zscaler *   1,197    239,412 
         69,055,993 
Materials — 1.1%          
Linde PLC (A)   3,480    1,590,256 
           
Real Estate — 0.1%          
CoStar Group *   3,150    193,725 
           
Utilities — 1.3%          
American Electric Power   3,964    474,788 
Constellation Energy   2,652    744,363 
Exelon   7,214    323,043 
 

     
Schedules of Investments   January 31, 2026
     
Global X Nasdaq 100® Covered Call & Growth ETF
 

 

   Shares   Value
COMMON STOCK — continued          
Utilities — continued          
Xcel Energy   4,224   $321,278 
         1,863,472 
TOTAL UNITED STATES        136,076,951 
TOTAL COMMON STOCK
(Cost $92,621,630)
        140,744,556 
TOTAL INVESTMENTS — 100.9%
(Cost $92,621,630)
       $140,744,556 
           
WRITTEN OPTIONS— (1.0)%          
(Premiums Received  $(1,613,396))       $(1,369,200)

 

Percentages are based on Net Assets of $139,498,919.

 

A list of exchange-traded option contracts held by the Fund at January 31, 2026, is as follows:

 

Description   Number of
Contracts
  Notional
Amount
  Exercise
Price
  Expiration Date     Value  
WRITTEN OPTIONS — (1.0)%                                
Call Options                                
Nasdaq-100   (28)   $ (71,546,692)     $ 25,550.00     2/20/2026     $ (1,369,200 )

 

* Non-income producing security.
(A) All or a portion of these securities have been segregated as collateral for options contracts. The Fair Value of the securities pledged as collateral is $73,105,422.
 

     
Schedules of Investments   January 31, 2026
     
Global X Nasdaq 100® Covered Call & Growth ETF
 

 

The following is a summary of the level of inputs used as of January 31, 2026, in valuing the Fund’s investments and other financial instruments carried at value:

 

Investments in Securities  Level 1    Level 2      Level 3    Total
Common Stock  $140,744,556   $   $   $140,744,556 
Total Investments in Securities  $140,744,556   $   $   $140,744,556 
                     
Other Financial Instruments  Level 1    Level 2      Level 3    Total
Written Options  $(1,369,200)  $   $   $(1,369,200)
Total Other Financial Instruments  $(1,369,200)  $   $   $(1,369,200)

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

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.

 
Schedules of Investments January 31, 2026
Global X S&P 500® Covered Call & Growth ETF

 

   Shares   Value
COMMON STOCK — 100.5%          
NETHERLANDS — 0.1%          
Information Technology — 0.1%          
NXP Semiconductors (A)   275   $62,189 
           
SWITZERLAND — 0.1%          
Information Technology — 0.1%          
TE Connectivity PLC   321    71,512 
           
UNITED STATES — 100.3%          
Communication Services — 11.1%          
Alphabet, Cl A (A)   6,483    2,191,254 
Alphabet, Cl C (A)   5,184    1,754,939 
AT&T (A)   7,908    207,269 
Charter Communications, Cl A *(A)   94    19,375 
Comcast, Cl A (A)   4,036    120,071 
Electronic Arts (A)   263    53,631 
Fox, Cl A (A)   254    18,486 
Fox, Cl B (A)   191    12,524 
Live Nation Entertainment *   172    25,017 
Match Group    287    8,940 
Meta Platforms, Cl A (A)   2,427    1,738,945 
Netflix *   4,744    396,077 
News, Cl A    459    12,407 
News, Cl B   167    5,194 
Omnicom Group   349    26,887 
Paramount Skydance Corp, Cl B   343    3,845 
Take-Two Interactive Software *   192    42,298 
TKO Group Holdings, Cl A   73    14,788 
T-Mobile US   531    104,718 
Trade Desk, Cl A *   517    15,681 
Verizon Communications   4,703    209,378 
Walt Disney (A)   1,989    224,359 
Warner Bros Discovery *   2,741    75,487 
         7,281,570 
Consumer Discretionary — 10.5%          
Airbnb, Cl A *(A)   468    60,545 
Amazon.com *(A)   10,847    2,595,687 
APTIV PLC *   263    19,922 
 
Schedules of Investments January 31, 2026
Global X S&P 500® Covered Call & Growth ETF

 

   Shares   Value
COMMON STOCK — continued          
Consumer Discretionary — continued          
AutoZone *(A)   17   $62,973 
Best Buy (A)   238    15,494 
Booking Holdings (A)   35    175,064 
Carnival *(A)   1,188    35,664 
Carvana, Cl A *   159    63,776 
Chipotle Mexican Grill, Cl A *(A)   1,448    56,284 
Darden Restaurants (A)   128    25,517 
Deckers Outdoor *(A)   157    18,736 
Domino’s Pizza (A)   35    14,361 
DoorDash, Cl A *   416    85,122 
DR Horton (A)   325    48,373 
eBay (A)   492    44,880 
Expedia Group (A)   143    37,872 
Ford Motor (A)   4,298    59,656 
Garmin (A)   198    39,925 
General Motors (A)   1,028    86,352 
Genuine Parts (A)   180    25,018 
Hasbro (A)   142    12,682 
Hilton Worldwide Holdings (A)   256    76,419 
Home Depot (A)   1,117    418,417 
Las Vegas Sands    327    17,243 
Lennar, Cl A    230    25,150 
Lowe’s   628    167,714 
Lululemon Athletica *   132    23,034 
Marriott International, Cl A   246    77,564 
McDonald’s    792    249,480 
MGM Resorts International *   248    8,318 
NIKE, Cl B   1,318    81,466 
Norwegian Cruise Line Holdings *(A)   543    11,924 
NVR *   3    22,907 
O’Reilly Automotive *   934    91,915 
Pool    29    7,369 
PulteGroup    235    29,396 
Ralph Lauren, Cl A    36    12,723 
Ross Stores   362    68,291 
Royal Caribbean Cruises (A)   278    90,253 
Starbucks    1,258    115,673 
Tapestry    249    31,601 
Tesla *(A)   3,131    1,347,614 
 
Schedules of Investments January 31, 2026
Global X S&P 500® Covered Call & Growth ETF

 

   Shares   Value
COMMON STOCK — continued          
Consumer Discretionary — continued          
TJX   1,239   $185,615 
Tractor Supply   573    29,154 
Ulta Beauty *   50    32,368 
Williams-Sonoma    134    27,423 
Wynn Resorts    79    8,489 
Yum! Brands    313    48,671 
         6,890,094 
Consumer Staples — 5.0%          
Altria Group (A)   1,863    115,487 
Archer-Daniels-Midland (A)   525    35,338 
Brown-Forman, Cl B (A)   217    5,939 
Bunge Global (A)   146    16,627 
Church & Dwight (A)   290    27,913 
Clorox (A)   147    16,580 
Coca-Cola (A)   4,326    323,628 
Colgate-Palmolive (A)   891    80,448 
Conagra Brands (A)   555    10,273 
Constellation Brands, Cl A (A)   170    26,639 
Costco Wholesale (A)   495    465,424 
Dollar General (A)   263    37,722 
Dollar Tree *(A)   231    27,163 
Estee Lauder, Cl A    292    33,662 
General Mills (A)   582    26,923 
Hershey (A)   162    31,550 
Hormel Foods (A)   366    9,007 
J M Smucker    129    13,527 
Kenvue   2,077    36,140 
Keurig Dr Pepper   1,477    40,529 
Kimberly-Clark    364    36,396 
Kraft Heinz   923    21,912 
Kroger   665    41,795 
Lamb Weston Holdings    174    7,992 
McCormick    300    18,549 
Molson Coors Beverage, Cl B   212    10,185 
Mondelez International, Cl A    1,425    83,320 
Monster Beverage *   781    63,074 
PepsiCo   1,522    233,825 
Philip Morris International   1,737    311,687 
 
Schedules of Investments January 31, 2026
Global X S&P 500® Covered Call & Growth ETF

 

   Shares   Value
COMMON STOCK — continued          
Consumer Staples — continued          
Procter & Gamble    2,614   $396,727 
Sysco    525    44,021 
Target   496    52,313 
The Campbell’s Company (A)   237    6,631 
Tyson Foods, Cl A   322    21,036 
Walmart    4,914    585,454 
         3,315,436 
Energy — 3.2%          
APA (A)   371    9,798 
Baker Hughes, Cl A (A)   1,083    60,691 
Chevron (A)   2,117    374,497 
ConocoPhillips (A)   1,375    143,316 
Coterra Energy (A)   825    23,801 
Devon Energy (A)   682    27,423 
Diamondback Energy (A)   204    33,446 
EOG Resources (A)   601    67,390 
EQT (A)   683    39,430 
Expand Energy    278    31,250 
Exxon Mobil (A)   4,725    668,115 
Halliburton (A)   919    30,805 
Kinder Morgan    2,150    65,554 
Marathon Petroleum   326    57,438 
Occidental Petroleum    786    35,677 
ONEOK    690    54,641 
Phillips 66    443    63,597 
SLB (A)   1,643    79,488 
Targa Resources   253    50,848 
Texas Pacific Land   63    21,947 
Valero Energy   331    60,053 
Williams   1,352    90,936 
         2,090,141 
Financials — 12.9%          
Aflac (A)   516    57,250 
Allstate (A)   286    56,911 
American Express (A)   604    212,711 
American International Group (A)   595    44,554 
Ameriprise Financial (A)   95    50,083 
 
Schedules of Investments January 31, 2026
Global X S&P 500® Covered Call & Growth ETF

 

   Shares   Value
COMMON STOCK — continued          
Financials — continued          
Aon PLC, Cl A (A)   238   $83,214 
Apollo Global Management   511    68,750 
Arch Capital Group *(A)   395    37,936 
Ares Management, Cl A    226    33,825 
Arthur J Gallagher (A)   282    70,322 
Assurant (A)   50    11,907 
Bank of America (A)   7,481    397,989 
Bank of New York Mellon (A)   769    92,219 
Berkshire Hathaway, Cl B *(A)   2,045    982,684 
Blackrock   164    183,506 
Blackstone (A)   817    116,357 
Block, Cl A *   599    36,198 
Brown & Brown (A)   347    25,019 
Capital One Financial (A)   709    155,221 
Cboe Global Markets (A)   119    31,542 
Charles Schwab    1,864    193,707 
Chubb (A)   409    126,610 
Cincinnati Financial (A)   170    27,351 
Citigroup (A)   1,994    230,726 
Citizens Financial Group (A)   468    29,475 
CME Group, Cl A (A)   403    116,491 
Coinbase Global, Cl A *   252    49,075 
Corpay *(A)   75    23,597 
Erie Indemnity, Cl A   29    8,207 
Everest Group (A)   44    14,576 
FactSet Research Systems (A)   32    8,140 
Fidelity National Information Services (A)   559    30,885 
Fifth Third Bancorp (A)   724    36,359 
Fiserv *(A)   589    37,537 
Franklin Resources (A)   382    10,169 
Global Payments (A)   289    20,733 
Globe Life (A)   77    10,797 
Goldman Sachs Group (A)   332    310,556 
Hartford Financial Services Group (A)   330    44,570 
Huntington Bancshares (A)   1,716    29,996 
Interactive Brokers Group, Cl A   488    36,541 
Intercontinental Exchange    635    110,350 
Invesco (A)   474    12,935 
Jack Henry & Associates (A)   76    13,620 
 
Schedules of Investments January 31, 2026
Global X S&P 500® Covered Call & Growth ETF

 

   Shares   Value
COMMON STOCK — continued          
Financials — continued          
JPMorgan Chase (A)   3,034   $928,070 
KeyCorp    1,004    21,606 
KKR    759    86,723 
Loews    207    21,853 
M&T Bank   169    37,445 
Marsh & McLennan   540    101,623 
Mastercard, Cl A   920    495,687 
MetLife   609    48,038 
Moody’s    172    88,676 
Morgan Stanley    1,352    247,146 
MSCI, Cl A    81    49,347 
Nasdaq   492    47,670 
Northern Trust    229    34,219 
PayPal Holdings    1,025    54,007 
PNC Financial Services Group   436    97,359 
Principal Financial Group   239    22,638 
Progressive   655    136,240 
Prudential Financial    385    42,777 
Raymond James Financial    216    35,826 
Regions Financial    954    27,189 
Robinhood Markets, Cl A *   875    87,045 
S&P Global    341    179,976 
State Street    332    43,446 
Synchrony Financial    395    28,689 
T Rowe Price Group   265    28,005 
Travelers    246    69,989 
Truist Financial   1,411    72,554 
US Bancorp   1,719    96,453 
Visa, Cl A   1,891    608,581 
W R Berkley (A)   324    22,220 
Wells Fargo    3,512    317,801 
Willis Towers Watson PLC (A)   111    35,239 
         8,495,338 
Health Care — 9.5%          
Abbott Laboratories (A)   1,940    212,042 
AbbVie (A)   1,976    440,668 
Agilent Technologies (A)   311    41,627 
Align Technology *(A)   70    11,412 
 
Schedules of Investments January 31, 2026
Global X S&P 500® Covered Call & Growth ETF

 

   Shares   Value
COMMON STOCK — continued          
Health Care — continued          
Amgen (A)   605   $206,837 
Baxter International (A)   540    10,838 
Becton Dickinson (A)   312    63,486 
Biogen *(A)   160    28,782 
Bio-Techne (A)   199    12,754 
Boston Scientific *(A)   1,651    154,418 
Bristol-Myers Squibb (A)   2,266    124,743 
Cardinal Health (A)   260    55,869 
Cencora (A)   215    77,232 
Centene *(A)   506    21,920 
Charles River Laboratories International *(A)   45    9,472 
Cigna Group (A)   293    80,314 
Cooper *(A)   241    19,613 
CVS Health (A)   1,409    104,999 
Danaher (A)   701    153,442 
DaVita *(A)   32    3,499 
Dexcom *(A)   426    31,115 
Edwards Lifesciences *(A)   639    51,989 
Elevance Health (A)   245    84,706 
Eli Lilly (A)   886    918,915 
GE HealthCare Technologies (A)   500    39,485 
Gilead Sciences (A)   1,384    196,459 
HCA Healthcare (A)   179    87,400 
Henry Schein *   132    9,963 
Hologic *(A)   262    19,632 
Humana (A)   147    28,694 
IDEXX Laboratories *   85    56,989 
Incyte *   202    20,214 
Insulet *   72    18,418 
Intuitive Surgical *   399    201,184 
IQVIA Holdings *   187    43,038 
Johnson & Johnson    2,695    612,439 
Labcorp Holdings    85    23,079 
McKesson    141    117,201 
Medtronic PLC (A)   1,426    146,821 
Merck    2,777    306,220 
Mettler-Toledo International *   23    31,585 
Moderna *   373    16,438 
Molina Healthcare *   51    9,159 
 
Schedules of Investments January 31, 2026
Global X S&P 500® Covered Call & Growth ETF

 

   Shares   Value
COMMON STOCK — continued          
Health Care — continued          
Pfizer   6,334   $167,471 
Quest Diagnostics    122    22,818 
Regeneron Pharmaceuticals    107    79,335 
ResMed   161    41,588 
Revvity    136    14,797 
Solventum *   176    13,547 
STERIS PLC (A)   112    29,411 
Stryker    386    142,650 
Thermo Fisher Scientific   422    244,173 
UnitedHealth Group (A)   1,011    290,086 
Universal Health Services, Cl B   58    11,673 
Vertex Pharmaceuticals *   280    131,572 
Viatris    1,233    16,140 
Waters *   63    23,355 
West Pharmaceutical Services   73    16,872 
Zimmer Biomet Holdings   242    21,071 
Zoetis, Cl A    484    60,413 
         6,232,082 
Industrials — 8.6%          
3M   588    90,058 
A O Smith    119    8,745 
Allegion PLC (A)   86    14,224 
AMETEK (A)   269    60,251 
Automatic Data Processing (A)   450    111,069 
Axon Enterprise *(A)   81    39,170 
Boeing *(A)   876    204,739 
Broadridge Financial Solutions (A)   142    27,990 
Builders FirstSource *(A)   133    15,215 
Carrier Global (A)   872    51,954 
Caterpillar (A)   521    342,485 
CH Robinson Worldwide (A)   143    27,878 
Cintas (A)   380    72,728 
Comfort Systems USA    41    46,826 
Copart *(A)   966    39,200 
CSX (A)   2,058    77,710 
Cummins (A)   156    90,296 
Dayforce *(A)   194    13,438 
Deere (A)   278    146,784 
 
Schedules of Investments January 31, 2026
Global X S&P 500® Covered Call & Growth ETF

 

   Shares   Value
COMMON STOCK — continued          
Industrials — continued          
Delta Air Lines (A)   709   $46,716 
Dover (A)   151    30,425 
Eaton PLC (A)   434    152,516 
EMCOR Group   43    30,991 
Emerson Electric (A)   624    91,703 
Equifax (A)   136    27,390 
Expeditors International of Washington (A)   145    23,278 
Fastenal (A)   1,254    54,374 
FedEx (A)   239    77,018 
Fortive (A)   333    17,586 
GE Aerospace (A)   1,180    362,012 
GE Vernova (A)   300    217,911 
Generac Holdings *(A)   61    10,251 
General Dynamics (A)   279    97,954 
Honeywell International (A)   706    160,629 
Howmet Aerospace (A)   446    92,804 
Hubbell, Cl B (A)   57    27,813 
Huntington Ingalls Industries   45    18,923 
IDEX    71    14,097 
Illinois Tool Works (A)   289    75,504 
Ingersoll Rand    391    33,661 
Jacobs Solutions    129    17,449 
JB Hunt Transport Services (A)   79    16,015 
Johnson Controls International PLC (A)   677    80,739 
L3Harris Technologies    207    70,970 
Leidos Holdings   140    26,359 
Lennox International    34    16,833 
Lockheed Martin   226    143,334 
Masco    251    16,589 
Nordson    51    14,001 
Norfolk Southern    247    71,936 
Northrop Grumman   152    105,224 
Old Dominion Freight Line    223    38,624 
Otis Worldwide   425    36,304 
PACCAR   574    70,550 
Parker-Hannifin   144    134,761 
Paychex   357    36,817 
Paycom Software   47    6,333 
Pentair PLC (A)   206    21,706 
 
Schedules of Investments January 31, 2026
Global X S&P 500® Covered Call & Growth ETF

 

   Shares   Value
COMMON STOCK — continued          
Industrials — continued          
Quanta Services   167   $79,263 
Republic Services, Cl A   221    47,535 
Rockwell Automation   127    53,550 
Rollins    345    21,852 
RTX   1,495    300,390 
Snap-On   56    20,502 
Southwest Airlines    560    26,611 
Stanley Black & Decker    184    14,473 
Textron   222    19,549 
Trane Technologies PLC (A)   245    103,042 
TransDigm Group    58    82,797 
Uber Technologies *   2,319    185,636 
Union Pacific   662    155,636 
United Airlines Holdings *   356    36,426 
United Parcel Service, Cl B    817    86,782 
United Rentals    66    51,616 
Veralto    284    28,110 
Verisk Analytics, Cl A    169    36,751 
Wabtec    188    43,266 
Waste Management   413    91,785 
WW Grainger (A)   45    48,597 
Xylem   280    38,604 
         5,641,633 
Information Technology — 33.4%          
Accenture PLC, Cl A (A)   692    182,439 
Adobe *(A)   467    136,948 
Advanced Micro Devices *(A)   1,825    432,032 
Akamai Technologies *(A)   187    18,167 
Amphenol, Cl A (A)   1,367    196,957 
Analog Devices (A)   545    169,430 
Apple (A)   16,477    4,275,452 
Applied Materials (A)   892    287,510 
AppLovin, Cl A *   300    141,933 
Arista Networks *   1,151    163,143 
Autodesk *(A)   235    59,425 
Broadcom (A)   5,264    1,743,963 
Cadence Design Systems *(A)   299    88,612 
CDW (A)   141    17,821 
 
Schedules of Investments January 31, 2026
Global X S&P 500® Covered Call & Growth ETF

 

   Shares   Value
COMMON STOCK — continued          
Information Technology — continued          
Cisco Systems (A)   4,411   $345,470 
Cognizant Technology Solutions, Cl A (A)   524    42,999 
Corning (A)   865    89,311 
Crowdstrike Holdings, Cl A *(A)   277    122,269 
Datadog, Cl A *   360    46,555 
Dell Technologies, Cl C   325    37,193 
EPAM Systems *(A)   52    10,847 
F5 *(A)   61    16,812 
Fair Isaac *(A)   25    36,579 
First Solar *(A)   131    29,543 
Fortinet *(A)   694    56,394 
Gartner *(A)   80    16,769 
Gen Digital   602    14,442 
GoDaddy, Cl A *(A)   145    14,575 
Hewlett Packard Enterprise (A)   1,441    31,010 
HP (A)   1,009    19,615 
Intel *(A)   4,998    232,257 
International Business Machines   1,042    319,581 
Intuit   308    153,667 
Jabil   131    31,072 
Keysight Technologies *   189    40,886 
KLA   147    209,907 
Lam Research   1,404    327,778 
Microchip Technology   591    44,869 
Micron Technology   1,253    519,845 
Microsoft (A)   8,287    3,565,813 
Monolithic Power Systems   49    55,083 
Motorola Solutions   186    74,872 
NetApp   238    22,931 
NVIDIA (A)   27,093    5,178,285 
ON Semiconductor *   438    26,232 
Oracle   1,882    309,740 
Palantir Technologies, Cl A *   2,560    375,270 
Palo Alto Networks *   759    134,320 
PTC *   131    20,453 
QNITY Electronics   254    24,430 
QUALCOMM   1,195    181,150 
Roper Technologies   122    45,290 
Salesforce   1,064    225,877 
 
Schedules of Investments January 31, 2026
Global X S&P 500® Covered Call & Growth ETF

 

   Shares   Value
COMMON STOCK — continued          
Information Technology — continued          
SANDISK *   154   $88,743 
Seagate Technology Holdings (A)   240    97,846 
ServiceNow *   1,157    135,381 
Skyworks Solutions    176    9,814 
Super Micro Computer *   589    17,146 
Synopsys *   207    96,279 
Teledyne Technologies *   50    31,015 
Teradyne    189    45,559 
Texas Instruments    1,010    217,706 
Trimble *   284    19,198 
Tyler Technologies *   46    16,992 
VeriSign    83    20,271 
Western Digital   380    95,087 
Workday, Cl A *   238    41,800 
Zebra Technologies, Cl A *   55    12,924 
         21,909,584 
Materials — 2.0%          
Air Products & Chemicals (A)   260    70,850 
Albemarle (A)   127    21,670 
Amcor PLC    498    22,036 
Avery Dennison (A)   79    14,655 
Ball (A)   320    18,198 
CF Industries Holdings (A)   185    17,248 
Corteva (A)   738    53,726 
CRH PLC   741    90,706 
Dow (A)   768    21,158 
DuPont de Nemours (A)   452    19,852 
Ecolab (A)   280    78,957 
Freeport-McMoRan (A)   1,590    95,766 
International Flavors & Fragrances    303    21,152 
International Paper   570    22,982 
Linde PLC (A)   519    237,167 
LyondellBasell Industries, Cl A (A)   304    14,896 
Martin Marietta Materials   62    40,421 
Mosaic    326    8,965 
Newmont    1,211    136,056 
Nucor   251    44,608 
Packaging Corp of America    90    20,030 
 
Schedules of Investments January 31, 2026
Global X S&P 500® Covered Call & Growth ETF

 

   Shares   Value
COMMON STOCK — continued          
Materials — continued          
PPG Industries   271   $31,336 
Sherwin-Williams    254    90,079 
Smurfit WestRock PLC (A)   566    23,563 
Steel Dynamics   166    29,809 
Vulcan Materials   147    44,179 
         1,290,065 
Real Estate — 1.8%          
Alexandria Real Estate Equities ‡(A)   191    10,436 
American Tower ‡(A)   516    92,509 
AvalonBay Communities ‡(A)   155    27,539 
BXP ‡(A)   175    11,317 
Camden Property Trust ‡(A)   145    15,812 
CBRE Group, Cl A *(A)   318    54,165 
CoStar Group *(A)   463    28,475 
Crown Castle ‡(A)   478    41,495 
Digital Realty Trust ‡(A)   359    59,576 
Equinix ‡(A)   104    85,377 
Equity Residential ‡(A)   377    23,495 
Essex Property Trust ‡(A)   68    17,127 
Extra Space Storage ‡(A)   258    35,596 
Federal Realty Investment Trust ‡(A)   75    7,587 
Healthpeak Properties ‡(A)   737    12,706 
Host Hotels & Resorts ‡(A)   678    12,563 
Invitation Homes    606    16,198 
Iron Mountain    313    28,837 
Kimco Realty    724    15,262 
Mid-America Apartment Communities    127    17,056 
ProLogis    1,029    134,346 
Public Storage    175    48,333 
Realty Income    1,007    61,588 
Regency Centers    204    14,865 
SBA Communications, Cl A    130    23,934 
Simon Property Group    364    69,637 
UDR    317    11,777 
Ventas    533    41,398 
VICI Properties, Cl A    1,169    32,826 
Welltower    762    143,530 
 
Schedules of Investments January 31, 2026
Global X S&P 500® Covered Call & Growth ETF

 

   Shares   Value
COMMON STOCK — continued        
Real Estate — continued        
Weyerhaeuser    779   $20,083 
         1,215,445 
Utilities — 2.3%          
AES (A)   747    10,944 
Alliant Energy (A)   304    20,037 
Ameren (A)   313    32,327 
American Electric Power (A)   594    71,146 
American Water Works (A)   240    30,991 
Atmos Energy (A)   175    29,110 
CenterPoint Energy (A)   711    28,220 
CMS Energy (A)   329    23,520 
Consolidated Edison (A)   397    42,332 
Constellation Energy (A)   343    96,273 
Dominion Energy (A)   937    56,379 
DTE Energy (A)   253    33,998 
Duke Energy (A)   865    104,968 
Edison International (A)   419    26,095 
Entergy (A)   487    46,698 
Evergy (A)   270    20,717 
Eversource Energy (A)   410    28,343 
Exelon (A)   1,107    49,571 
FirstEnergy (A)   565    26,747 
NextEra Energy    2,324    204,280 
NiSource    517    22,898 
NRG Energy   208    31,747 
PG&E    2,385    36,777 
Pinnacle West Capital   158    14,783 
PPL   804    29,145 
Public Service Enterprise Group    542    44,639 
Sempra   718    62,473 
Southern   1,220    108,958 
Vistra    349    55,264 
WEC Energy Group    357    39,509 
 
Schedules of Investments January 31, 2026
Global X S&P 500® Covered Call & Growth ETF

 

   Shares   Value
COMMON STOCK — continued          
Utilities — continued          
Xcel Energy   649   $49,363 
         1,478,252 
TOTAL UNITED STATES        65,839,640 
TOTAL COMMON STOCK
(Cost $52,542,707)
        65,973,341 
TOTAL INVESTMENTS — 100.5%
(Cost $52,542,707)
       $65,973,341 
           
WRITTEN OPTIONS— (0.7)%          
(Premiums Received  $(579,116))       $(446,400)

 

Percentages are based on Net Assets of $65,618,972.

 

A list of exchange-traded option contracts held by the Fund at January 31, 2026, is as follows:

 

Description  Number of
Contracts
   Notional
Amount
   Exercise
Price
   Expiration
Date
  Value 
WRITTEN OPTIONS — (0.7)%                       
Call Options                       
S&P 500 Index   (48)  $(33,307,344)  $6,945.00   2/20/2026  $(446,400)

 

* Non-income producing security.
Real Estate Investment Trust
(A) All or a portion of these securities have been segregated as collateral for options contracts. The Fair Value of the securities pledged as collateral is $36,627,244.
 
Schedules of Investments January 31, 2026
Global X S&P 500® Covered Call & Growth ETF

 

The following is a summary of the level of inputs used as of January 31, 2026, in valuing the Fund’s investments and other financial instruments carried at value:

 

Investments in Securities  Level 1  Level 2   Level 3   Total
Common Stock  $65,973,341   $   $   $65,973,341 
Total Investments in Securities  $65,973,341   $   $   $65,973,341 
                     
Other Financial Instruments  Level 1  Level 2   Level 3   Total
Written Options  $(446,400)  $   $   $(446,400)
Total Other Financial Instruments  $(446,400)  $   $   $(446,400)

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

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.

 

 

Schedules of Investments   January 31, 2026
  Global X NASDAQ 100® Risk Managed Income ETF  

 

   Shares   Value
COMMON STOCK(A) — 101.4%          
BRAZIL — 0.6%          
Consumer Discretionary — 0.6%          
MercadoLibre *   45   $96,650 
           
CANADA — 1.1%          
Industrials — 0.3%          
Thomson Reuters   418    46,243 
           
Information Technology — 0.8%          
Shopify, Cl A *   1,092    143,303 
           
TOTAL CANADA        189,546 
CHINA — 0.4%          
Consumer Discretionary — 0.4%          
PDD Holdings ADR *   613    61,944 
           
NETHERLANDS — 1.0%          
Information Technology — 1.0%          
ASML Holding   78    110,994 
NXP Semiconductors   233    52,691 
           
TOTAL NETHERLANDS        163,685 
UNITED KINGDOM — 0.3%          
Consumer Staples — 0.2%          
Coca-Cola Europacific Partners PLC   427    39,156 
           
Information Technology — 0.1%          
ARM Holdings PLC ADR *   127    13,381 
           
TOTAL UNITED KINGDOM        52,537 
UNITED STATES — 98.0%          
Communication Services — 16.1%          
Alphabet, Cl A   1,893    639,834 
Alphabet, Cl C   1,759    595,474 
Charter Communications, Cl A *   109    22,467 
Comcast, Cl A   3,224    95,914 
Electronic Arts   232    47,309 
Meta Platforms, Cl A   955    684,258 
 

 

Schedules of Investments   January 31, 2026
  Global X NASDAQ 100® Risk Managed Income ETF  

 

   Shares   Value
COMMON STOCK — continued          
Communication Services — continued          
Netflix *   3,799   $317,179 
Take-Two Interactive Software *   174    38,332 
T-Mobile US   1,000    197,210 
Warner Bros Discovery *   2,292    63,122 
         2,701,099 
Consumer Discretionary — 12.0%          
Airbnb, Cl A *   376    48,643 
Amazon.com *   3,480    832,764 
Booking Holdings   28    140,052 
DoorDash, Cl A *   359    73,459 
Marriott International, Cl A   237    74,726 
O’Reilly Automotive *   750    73,807 
Ross Stores   303    57,161 
Starbucks   1,010    92,870 
Tesla *   1,440    619,790 
         2,013,272 
Consumer Staples — 7.7%          
Costco Wholesale   398    374,220 
Keurig Dr Pepper   1,264    34,684 
Kraft Heinz   1,092    25,924 
Mondelez International, Cl A   1,146    67,007 
Monster Beverage *   862    69,615 
PepsiCo   1,210    185,892 
Walmart   4,388    522,786 
         1,280,128 
Energy — 0.6%          
Baker Hughes, Cl A   862    48,306 
Diamondback Energy   265    43,447 
         91,753 
Financials — 0.3%          
PayPal Holdings   826    43,522 
           
Health Care — 5.0%          
Alnylam Pharmaceuticals *   122    41,243 
Amgen   481    164,444 
 

 

Schedules of Investments   January 31, 2026
  Global X NASDAQ 100® Risk Managed Income ETF  

 

   Shares   Value
COMMON STOCK — continued          
Health Care — continued          
Dexcom *   360   $26,294 
GE HealthCare Technologies   425    33,562 
Gilead Sciences   1,106    156,997 
IDEXX Laboratories *   70    46,932 
Insmed *   199    31,217 
Intuitive Surgical *   317    159,838 
Regeneron Pharmaceuticals   91    67,472 
Vertex Pharmaceuticals *   225    105,728 
         833,727 
Industrials — 4.0%          
Automatic Data Processing   358    88,361 
Axon Enterprise *   69    33,367 
Cintas   354    67,752 
Copart *   916    37,171 
CSX   1,639    61,889 
Fastenal   1,069    46,352 
Ferrovial   683    46,437 
Honeywell International   565    128,549 
Old Dominion Freight Line   195    33,774 
PACCAR   491    60,349 
Paychex   332    34,239 
Verisk Analytics, Cl A   128    27,835 
         666,075 
Information Technology — 49.7%          
Adobe *   373    109,382 
Advanced Micro Devices *   1,460    345,626 
Analog Devices   436    135,544 
Apple   4,813    1,248,877 
Applied Materials   713    229,814 
AppLovin, Cl A *   272    128,686 
Atlassian, Cl A *   153    18,082 
Autodesk *   198    50,068 
Broadcom   1,536    508,877 
Cadence Design Systems *   241    71,423 
Cisco Systems   3,539    277,175 
Cognizant Technology Solutions, Cl A   424    34,793 
Crowdstrike Holdings, Cl A *   223    98,433 
 

 

Schedules of Investments   January 31, 2026
  Global X NASDAQ 100® Risk Managed Income ETF  

 

   Shares   Value
COMMON STOCK — continued          
Information Technology — continued          
Datadog, Cl A *   304   $39,313 
Fortinet *   651    52,900 
Intel *   4,266    198,241 
Intuit   248    123,732 
KLA   117    167,069 
Lam Research   1,125    262,643 
Marvell Technology    797    62,899 
Microchip Technology    499    37,884 
Micron Technology   1,010    419,029 
Microsoft    2,421    1,041,732 
Monolithic Power Systems    42    47,214 
NVIDIA    7,916    1,512,985 
Palantir Technologies, Cl A *   2,049    300,363 
Palo Alto Networks *   620    109,721 
QUALCOMM    956    144,920 
Roper Technologies   100    37,123 
Seagate Technology Holdings   190    77,461 
Strategy, Cl A *   243    36,380 
Synopsys *   165    76,744 
Texas Instruments    811    174,811 
Western Digital   304    76,070 
Workday, Cl A *   200    35,126 
Zscaler *   146    29,202 
         8,320,342 
Materials — 1.1%          
Linde PLC   417    190,557 
           
Real Estate — 0.1%          
CoStar Group *   398    24,477 
           
Utilities — 1.4%          
American Electric Power   495    59,288 
Constellation Energy   323    90,660 
Exelon   941    42,138 
 

 

Schedules of Investments   January 31, 2026
  Global X NASDAQ 100® Risk Managed Income ETF  

 

   Shares   Value
COMMON STOCK — continued          
Utilities — continued          
Xcel Energy   547   $41,605 
         233,691 
TOTAL UNITED STATES        16,398,643 
TOTAL COMMON STOCK
(Cost $11,076,366)
        16,963,005 
           
PURCHASED OPTIONS — 0.5%
(Cost $129,096)
        91,294 
TOTAL INVESTMENTS — 101.9%
(Cost $11,205,462)
       $17,054,299 
           
WRITTEN OPTIONS — (2.1)%          
(Premiums Received  $(405,090))       $(343,208)

 

Percentages are based on Net Assets of $16,736,270.

 

A list of exchange-traded option contracts held by the Fund at January 31, 2026, is as follows:

 

Description   Number of
Contracts
    Notional
Amount
    Exercise
Price
    Expiration
Date
    Value 
PURCHASED OPTIONS — 0.5%                     
Put Options                         
Nasdaq-100   6   $15,331,434   $24,250.00    2/20/2026   $82,380 
Nasdaq-100 Micro Index   63    1,609,776    242.00    2/20/2026    8,914 
                          
Total Purchased Options       $16,941,210             $91,294 
WRITTEN OPTIONS — (2.1)%                     
Call Options                         
Nasdaq-100   (6)  $(15,331,434)  $25,525.00    2/20/2026   $(302,100)
Nasdaq-100 Micro Index   (63)   (1,609,776)   255.00    2/20/2026    (41,108)
                          
Total Written Options       $(16,941,210)            $(343,208)
 

 

Schedules of Investments   January 31, 2026
  Global X NASDAQ 100® Risk Managed Income ETF  

 

* Non-income producing security.
(A) All or a portion of these securities have been segregated as collateral for options contracts. The Fair Value of the securities pledged as collateral is $16,796,120.

 

The following is a summary of the level of inputs used as of January 31, 2026, in valuing the Fund’s investments and other financial instruments carried at value:

 

Investments in Securities  Level 1  Level 2    Level 3    Total
Common Stock  $16,963,005   $   $   $16,963,005 
Purchased Options   91,294            91,294 
Total Investments in Securities  $17,054,299   $   $   $17,054,299 
                     
Other Financial Instruments  Level 1  Level 2    Level 3   Total
Written Options  $(343,208)  $   $   $(343,208)
Total Other Financial Instruments  $(343,208)  $   $   $(343,208)
                       

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

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.

 

     
Schedules of Investments   January 31, 2026
     
Global X S&P 500® Risk Managed Income ETF
 

 

   Shares   Value
COMMON STOCK(A) — 101.0%          
NETHERLANDS — 0.1%          
Information Technology — 0.1%          
NXP Semiconductors   178   $40,253 
           
SWITZERLAND — 0.1%          
Information Technology — 0.1%          
TE Connectivity PLC   215    47,898 
           
UNITED STATES — 100.8%          
Communication Services — 11.2%          
Alphabet, Cl A   4,142    1,399,996 
Alphabet, Cl C   3,309    1,120,196 
AT&T   5,122    134,247 
Charter Communications, Cl A *   73    15,047 
Comcast, Cl A   2,623    78,034 
Electronic Arts   167    34,055 
Fox, Cl A   141    10,262 
Fox, Cl B   105    6,885 
Live Nation Entertainment *   124    18,036 
Match Group   155    4,828 
Meta Platforms, Cl A   1,549    1,109,858 
Netflix *   2,997    250,219 
News, Cl A   256    6,920 
News, Cl B   79    2,457 
Omnicom Group   226    17,411 
Paramount Skydance Corp, Cl B   191    2,141 
Take-Two Interactive Software *   126    27,758 
TKO Group Holdings, Cl A   57    11,547 
T-Mobile US   351    69,221 
Trade Desk, Cl A *   311    9,433 
Verizon Communications   3,047    135,652 
Walt Disney   1,286    145,061 
Warner Bros Discovery *   1,778    48,966 
         4,658,230 
Consumer Discretionary — 10.5%          
Airbnb, Cl A *   308    39,846 
Amazon.com *   6,927    1,657,631 
APTIV PLC *   148    11,211 
 

     
Schedules of Investments   January 31, 2026
     
Global X S&P 500® Risk Managed Income ETF
 

 

   Shares   Value
COMMON STOCK — continued          
Consumer Discretionary — continued          
AutoZone *   13   $48,156 
Best Buy   132    8,593 
Booking Holdings   23    115,042 
Carnival *   777    23,326 
Carvana, Cl A *   96    38,507 
Chipotle Mexican Grill, Cl A *   948    36,849 
Darden Restaurants   88    17,543 
Deckers Outdoor *   111    13,247 
Domino’s Pizza   23    9,438 
DoorDash, Cl A *   256    52,383 
DR Horton   201    29,917 
eBay   327    29,829 
Expedia Group   89    23,571 
Ford Motor   2,806    38,947 
Garmin   113    22,785 
General Motors   670    56,280 
Genuine Parts   102    14,177 
Hasbro   95    8,484 
Hilton Worldwide Holdings   164    48,956 
Home Depot   704    263,711 
Las Vegas Sands   213    11,231 
Lennar, Cl A   149    16,293 
Lowe’s   402    107,358 
Lululemon Athletica *   79    13,786 
Marriott International, Cl A   157    49,502 
McDonald’s   501    157,815 
MGM Resorts International *   133    4,461 
NIKE, Cl B   852    52,662 
Norwegian Cruise Line Holdings *   315    6,917 
NVR *   2    15,271 
O’Reilly Automotive *   603    59,341 
Pool   31    7,877 
PulteGroup   134    16,762 
Ralph Lauren, Cl A   32    11,309 
Ross Stores   221    41,692 
Royal Caribbean Cruises   173    56,164 
Starbucks   815    74,939 
Tapestry   141    17,894 
Tesla *   1,999    860,390 
 

     
Schedules of Investments   January 31, 2026
     
Global X S&P 500® Risk Managed Income ETF
 

 

   Shares   Value
COMMON STOCK — continued          
Consumer Discretionary — continued          
TJX   780   $116,852 
Tractor Supply   371    18,876 
Ulta Beauty *   34    22,010 
Williams-Sonoma   93    19,032 
Wynn Resorts   68    7,307 
Yum! Brands   201    31,256 
         4,405,426 
Consumer Staples — 5.0%          
Altria Group   1,212    75,132 
Archer-Daniels-Midland   346    23,289 
Brown-Forman, Cl B   108    2,956 
Bunge Global   98    11,160 
Church & Dwight   166    15,977 
Clorox   88    9,926 
Coca-Cola   2,730    204,231 
Colgate-Palmolive   584    52,729 
Conagra Brands   327    6,053 
Constellation Brands, Cl A   103    16,140 
Costco Wholesale   314    295,239 
Dollar General   153    21,945 
Dollar Tree *   138    16,227 
Estee Lauder, Cl A   179    20,635 
General Mills   374    17,301 
Hershey   110    21,423 
Hormel Foods   192    4,725 
J M Smucker   76    7,969 
Kenvue   1,363    23,716 
Keurig Dr Pepper   972    26,672 
Kimberly-Clark   244    24,398 
Kraft Heinz   597    14,173 
Kroger   434    27,277 
Lamb Weston Holdings   96    4,409 
McCormick   175    10,820 
Molson Coors Beverage, Cl B   109    5,236 
Mondelez International, Cl A   928    54,260 
Monster Beverage *   514    41,511 
PepsiCo   960    147,485 
Philip Morris International   1,098    197,025 
 

     
Schedules of Investments   January 31, 2026
     
Global X S&P 500® Risk Managed Income ETF
 

 

   Shares   Value
COMMON STOCK — continued          
Consumer Staples — continued          
Procter & Gamble   1,651   $250,572 
Sysco   346    29,012 
Target   329    34,700 
The Campbell’s Company   123    3,442 
Tyson Foods, Cl A   197    12,870 
Walmart   3,108    370,287 
         2,100,922 
Energy — 3.2%          
APA   240    6,338 
Baker Hughes, Cl A   706    39,564 
Chevron   1,337    236,515 
ConocoPhillips   890    92,765 
Coterra Energy   538    15,521 
Devon Energy   442    17,773 
Diamondback Energy   128    20,986 
EOG Resources   386    43,282 
EQT   444    25,632 
Expand Energy   176    19,784 
Exxon Mobil   2,990    422,786 
Halliburton   591    19,810 
Kinder Morgan   1,404    42,808 
Marathon Petroleum   215    37,881 
Occidental Petroleum   513    23,285 
ONEOK   450    35,635 
Phillips 66   291    41,776 
SLB   1,068    51,670 
Targa Resources   159    31,956 
Texas Pacific Land   35    12,193 
Valero Energy   218    39,552 
Williams   876    58,920 
         1,336,432 
Financials — 13.0%          
Aflac   343    38,056 
Allstate   194    38,604 
American Express   385    135,585 
American International Group   383    28,679 
Ameriprise Financial   62    32,686 
 

     
Schedules of Investments   January 31, 2026
     
Global X S&P 500® Risk Managed Income ETF
 

 

   Shares   Value
COMMON STOCK — continued          
Financials — continued          
Aon PLC, Cl A    151   $52,796 
Apollo Global Management   338    45,475 
Arch Capital Group *   258    24,778 
Ares Management, Cl A   150    22,450 
Arthur J Gallagher   188    46,882 
Assurant   39    9,287 
Bank of America   4,750    252,700 
Bank of New York Mellon   503    60,320 
Berkshire Hathaway, Cl B *   1,303    626,131 
Blackrock   101    113,013 
Blackstone   535    76,195 
Block, Cl A *   387    23,386 
Brown & Brown   207    14,925 
Capital One Financial   459    100,489 
Cboe Global Markets   77    20,410 
Charles Schwab   1,208    125,535 
Chubb   265    82,033 
Cincinnati Financial   115    18,502 
Citigroup   1,289    149,150 
Citizens Financial Group   307    19,335 
CME Group, Cl A   250    72,265 
Coinbase Global, Cl A *   165    32,132 
Corpay *   53    16,675 
Erie Indemnity, Cl A   17    4,811 
Everest Group   36    11,926 
FactSet Research Systems   34    8,648 
Fidelity National Information Services   365    20,166 
Fifth Third Bancorp   471    23,654 
Fiserv *   380    24,217 
Franklin Resources   204    5,430 
Global Payments   164    11,765 
Globe Life   57    7,993 
Goldman Sachs Group   216    202,049 
Hartford Financial Services Group   205    27,687 
Huntington Bancshares   1,114    19,473 
Interactive Brokers Group, Cl A   320    23,962 
Intercontinental Exchange   408    70,902 
Invesco   310    8,460 
Jack Henry & Associates   58    10,394 
 

     
Schedules of Investments   January 31, 2026
     
Global X S&P 500® Risk Managed Income ETF
 

 

   Shares   Value
COMMON STOCK — continued          
Financials — continued          
JPMorgan Chase   1,934   $591,591 
KeyCorp   652    14,031 
KKR   496    56,673 
Loews   114    12,035 
M&T Bank   118    26,145 
Marsh & McLennan   348    65,490 
Mastercard, Cl A   581    313,037 
MetLife   393    31,000 
Moody’s   105    54,134 
Morgan Stanley   871    159,219 
MSCI, Cl A   50    30,461 
Nasdaq   326    31,586 
Northern Trust   136    20,322 
PayPal Holdings   670    35,302 
PNC Financial Services Group   284    63,417 
Principal Financial Group   136    12,882 
Progressive   421    87,568 
Prudential Financial   260    28,889 
Raymond James Financial   123    20,401 
Regions Financial   617    17,585 
Robinhood Markets, Cl A *   571    56,803 
S&P Global   224    118,225 
State Street   207    27,088 
Synchrony Financial   257    18,666 
T Rowe Price Group   157    16,592 
Travelers   157    44,668 
Truist Financial   918    47,204 
US Bancorp   1,117    62,675 
Visa, Cl A   1,197    385,231 
W R Berkley   211    14,470 
Wells Fargo   2,214    200,345 
Willis Towers Watson PLC   62    19,683 
         5,443,429 
Health Care — 9.5%          
Abbott Laboratories   1,223    133,674 
AbbVie   1,250    278,763 
Agilent Technologies   201    26,904 
Align Technology *   52    8,478 
 

     
Schedules of Investments   January 31, 2026
     
Global X S&P 500® Risk Managed Income ETF
 

 

   Shares   Value
COMMON STOCK — continued          
Health Care — continued          
Amgen   386   $131,966 
Baxter International   346    6,944 
Becton Dickinson   212    43,138 
Biogen *   114    20,507 
Bio-Techne   110    7,050 
Boston Scientific *   1,066    99,703 
Bristol-Myers Squibb   1,471    80,979 
Cardinal Health   174    37,389 
Cencora   140    50,291 
Centene *   332    14,382 
Charles River Laboratories International *   41    8,630 
Cigna Group   196    53,726 
Cooper *   135    10,986 
CVS Health   914    68,111 
Danaher   453    99,157 
DaVita *   30    3,280 
Dexcom *   278    20,305 
Edwards Lifesciences *   414    33,683 
Elevance Health   157    54,281 
Eli Lilly   564    584,953 
GE HealthCare Technologies   329    25,981 
Gilead Sciences   895    127,045 
HCA Healthcare   109    53,221 
Henry Schein *   70    5,284 
Hologic *   152    11,389 
Humana   78    15,226 
IDEXX Laboratories *   54    36,205 
Incyte *   118    11,808 
Insulet *   53    13,558 
Intuitive Surgical *   249    125,551 
IQVIA Holdings *   121    27,848 
Johnson & Johnson   1,708    388,143 
Labcorp Holdings   63    17,106 
McKesson   85    70,653 
Medtronic PLC   925    95,238 
Merck   1,750    192,973 
Mettler-Toledo International *   16    21,972 
Moderna *   240    10,577 
Molina Healthcare *   40    7,184 
 

     
Schedules of Investments   January 31, 2026
     
Global X S&P 500® Risk Managed Income ETF
 

 

   Shares   Value
COMMON STOCK — continued          
Health Care — continued          
Pfizer   4,102   $108,457 
Quest Diagnostics   82    15,336 
Regeneron Pharmaceuticals   69    51,160 
ResMed   111    28,672 
Revvity   81    8,813 
Solventum *   106    8,159 
STERIS PLC   74    19,432 
Stryker   240    88,694 
Thermo Fisher Scientific   264    152,753 
UnitedHealth Group   639    183,348 
Universal Health Services, Cl B   44    8,855 
Vertex Pharmaceuticals *   176    82,702 
Viatris   794    10,393 
Waters *   44    16,312 
West Pharmaceutical Services   58    13,405 
Zimmer Biomet Holdings   145    12,625 
Zoetis, Cl A   320    39,942 
         3,983,300 
Industrials — 8.7%          
3M   379    58,048 
A O Smith   79    5,806 
Allegion PLC   67    11,081 
AMETEK   168    37,629 
Automatic Data Processing   294    72,565 
Axon Enterprise *   53    25,630 
Boeing *   550    128,546 
Broadridge Financial Solutions   91    17,937 
Builders FirstSource *   79    9,038 
Carrier Global   570    33,961 
Caterpillar   330    216,929 
CH Robinson Worldwide   87    16,961 
Cintas   246    47,082 
Comfort Systems USA   26    29,695 
Copart *   632    25,647 
CSX   1,336    50,447 
Cummins   95    54,988 
Dayforce *   125    8,659 
Deere   182    96,096 
 

     
Schedules of Investments   January 31, 2026
     
Global X S&P 500® Risk Managed Income ETF
 

 

   Shares   Value
COMMON STOCK — continued          
Industrials — continued          
Delta Air Lines   464   $30,573 
Dover   101    20,350 
Eaton PLC   282    99,100 
EMCOR Group   34    24,505 
Emerson Electric   401    58,931 
Equifax   78    15,709 
Expeditors International of Washington   101    16,215 
Fastenal   818    35,468 
FedEx   157    50,593 
Fortive   222    11,724 
GE Aerospace   746    228,865 
GE Vernova   190    138,010 
Generac Holdings *   45    7,562 
General Dynamics   180    63,196 
Honeywell International   458    104,204 
Howmet Aerospace   292    60,759 
Hubbell, Cl B   40    19,518 
Huntington Ingalls Industries   30    12,615 
IDEX   54    10,722 
Illinois Tool Works   192    50,162 
Ingersoll Rand   256    22,039 
Jacobs Solutions   89    12,038 
JB Hunt Transport Services   43    8,717 
Johnson Controls International PLC   438    52,236 
L3Harris Technologies   133    45,599 
Leidos Holdings   97    18,263 
Lennox International   26    12,872 
Lockheed Martin   147    93,230 
Masco   140    9,253 
Nordson   43    11,805 
Norfolk Southern   167    48,637 
Northrop Grumman   92    63,688 
Old Dominion Freight Line   130    22,516 
Otis Worldwide   280    23,918 
PACCAR   373    45,845 
Parker-Hannifin   88    82,354 
Paychex   231    23,823 
Paycom Software   41    5,525 
Pentair PLC   109    11,485 
 

     
Schedules of Investments   January 31, 2026
     
Global X S&P 500® Risk Managed Income ETF
 

 

   Shares   Value
COMMON STOCK — continued          
Industrials — continued          
Quanta Services   102   $48,412 
Republic Services, Cl A   143    30,758 
Rockwell Automation   85    35,840 
Rollins   205    12,985 
RTX   945    189,879 
Snap-On   31    11,349 
Southwest Airlines   360    17,107 
Stanley Black & Decker   111    8,731 
Textron   118    10,391 
Trane Technologies PLC   160    67,293 
TransDigm Group   39    55,674 
Uber Technologies *   1,505    120,475 
Union Pacific   427    100,388 
United Airlines Holdings *   231    23,636 
United Parcel Service, Cl B   534    56,721 
United Rentals   43    33,629 
Veralto   181    17,915 
Verisk Analytics, Cl A   106    23,051 
Wabtec   119    27,387 
Waste Management   268    59,560 
WW Grainger   29    31,318 
Xylem   181    24,954 
         3,626,822 
Information Technology — 33.5%          
Accenture PLC, Cl A   447    117,847 
Adobe *   305    89,441 
Advanced Micro Devices *   1,152    272,713 
Akamai Technologies *   111    10,784 
Amphenol, Cl A   882    127,079 
Analog Devices   350    108,808 
Apple   10,527    2,731,546 
Applied Materials   562    181,144 
AppLovin, Cl A *   194    91,783 
Arista Networks *   747    105,880 
Autodesk *   157    39,701 
Broadcom   3,361    1,113,499 
Cadence Design Systems *   187    55,419 
CDW   95    12,007 
 

     
Schedules of Investments   January 31, 2026
     
Global X S&P 500® Risk Managed Income ETF
 

 

   Shares   Value
COMMON STOCK — continued          
Information Technology — continued          
Cisco Systems   2,782   $217,886 
Cognizant Technology Solutions, Cl A   350    28,721 
Corning   565    58,336 
Crowdstrike Holdings, Cl A *   180    79,453 
Datadog, Cl A *   233    30,132 
Dell Technologies, Cl C   214    24,490 
EPAM Systems *   40    8,344 
F5 *   43    11,851 
Fair Isaac *   16    23,411 
First Solar *   68    15,335 
Fortinet *   452    36,730 
Gartner *   57    11,948 
Gen Digital   388    9,308 
GoDaddy, Cl A *   99    9,951 
Hewlett Packard Enterprise   940    20,229 
HP   658    12,792 
Intel *   3,238    150,470 
International Business Machines   660    202,422 
Intuit   195    97,289 
Jabil   68    16,129 
Keysight Technologies *   118    25,527 
KLA   92    131,370 
Lam Research   886    206,846 
Microchip Technology   382    29,001 
Micron Technology   794    329,415 
Microsoft   5,294    2,277,955 
Monolithic Power Systems   32    35,973 
Motorola Solutions   117    47,097 
NetApp   143    13,778 
NVIDIA   17,314    3,309,225 
ON Semiconductor *   286    17,129 
Oracle   1,188    195,521 
Palantir Technologies, Cl A *   1,616    236,889 
Palo Alto Networks *   477    84,415 
PTC *   90    14,052 
QNITY Electronics   143    13,754 
QUALCOMM   750    113,692 
Roper Technologies   72    26,729 
Salesforce   670    142,234 
 

     
Schedules of Investments   January 31, 2026
     
Global X S&P 500® Risk Managed Income ETF
 

 

   Shares   Value
COMMON STOCK — continued          
Information Technology — continued          
SANDISK *   94   $54,168 
Seagate Technology Holdings   160    65,230 
ServiceNow *   752    87,992 
Skyworks Solutions   116    6,468 
Super Micro Computer *   345    10,043 
Synopsys *   133    61,860 
Teledyne Technologies *   35    21,711 
Teradyne   116    27,962 
Texas Instruments   655    141,185 
Trimble *   164    11,086 
Tyler Technologies *   26    9,604 
VeriSign   63    15,386 
Western Digital   246    61,557 
Workday, Cl A *   154    27,047 
Zebra Technologies, Cl A *   42    9,869 
         13,984,648 
Materials — 2.0%          
Air Products & Chemicals   165    44,963 
Albemarle   91    15,527 
Amcor PLC   327    14,470 
Avery Dennison   63    11,687 
Ball   184    10,464 
CF Industries Holdings   112    10,442 
Corteva   484    35,235 
CRH PLC   483    59,124 
Dow   499    13,748 
DuPont de Nemours   296    13,000 
Ecolab   174    49,066 
Freeport-McMoRan   1,037    62,459 
International Flavors & Fragrances   177    12,356 
International Paper   368    14,838 
Linde PLC   328    149,886 
LyondellBasell Industries, Cl A   175    8,575 
Martin Marietta Materials   40    26,078 
Mosaic   212    5,830 
Newmont   791    88,869 
Nucor   170    30,212 
Packaging Corp of America   73    16,246 
 

     
Schedules of Investments   January 31, 2026
     
Global X S&P 500® Risk Managed Income ETF
 

 

   Shares   Value
COMMON STOCK — continued          
Materials — continued          
PPG Industries   164   $18,963 
Sherwin-Williams   163    57,806 
Smurfit WestRock PLC   363    15,112 
Steel Dynamics   101    18,137 
Vulcan Materials   100    30,054 
         833,147 
Real Estate — 1.9%          
Alexandria Real Estate Equities    109    5,956 
American Tower    341    61,134 
AvalonBay Communities    104    18,478 
BXP    105    6,790 
Camden Property Trust    76    8,288 
CBRE Group, Cl A *   217    36,962 
CoStar Group *   304    18,696 
Crown Castle    314    27,258 
Digital Realty Trust    241    39,994 
Equinix    67    55,002 
Equity Residential    245    15,268 
Essex Property Trust    54    13,601 
Extra Space Storage    147    20,282 
Federal Realty Investment Trust    62    6,272 
Healthpeak Properties    478    8,241 
Host Hotels & Resorts    440    8,153 
Invitation Homes    390    10,425 
Iron Mountain    208    19,163 
Kimco Realty    470    9,908 
Mid-America Apartment Communities    85    11,415 
ProLogis    669    87,345 
Public Storage    118    32,590 
Realty Income    658    40,243 
Regency Centers    115    8,380 
SBA Communications, Cl A    78    14,361 
Simon Property Group    243    46,488 
UDR    205    7,616 
Ventas    340    26,408 
VICI Properties, Cl A    762    21,397 
Welltower    478    90,036 
 

     
Schedules of Investments   January 31, 2026
     
Global X S&P 500® Risk Managed Income ETF
 

 

   Shares   Value
COMMON STOCK — continued          
Real Estate — continued          
Weyerhaeuser    507   $13,070 
         789,220 
Utilities — 2.3%          
AES   486    7,120 
Alliant Energy   178    11,732 
Ameren   199    20,553 
American Electric Power   381    45,634 
American Water Works   134    17,303 
Atmos Energy   126    20,959 
CenterPoint Energy   462    18,337 
CMS Energy   222    15,871 
Consolidated Edison   258    27,510 
Constellation Energy   216    60,627 
Dominion Energy   608    36,583 
DTE Energy   148    19,888 
Duke Energy   564    68,441 
Edison International   274    17,065 
Entergy   323    30,972 
Evergy   158    12,123 
Eversource Energy   267    18,458 
Exelon   724    32,421 
FirstEnergy   363    17,184 
NextEra Energy   1,509    132,641 
NiSource   340    15,059 
NRG Energy   136    20,758 
PG&E   1,564    24,117 
Pinnacle West Capital   94    8,795 
PPL   527    19,104 
Public Service Enterprise Group   352    28,991 
Sempra   468    40,721 
Southern   797    71,180 
Vistra   233    36,896 
WEC Energy Group   242    26,782 
Xcel Energy   421    32,021 
         955,846 
TOTAL UNITED STATES        42,117,422 
TOTAL COMMON STOCK
(Cost $26,804,102)
        42,205,573 
 

     
Schedules of Investments   January 31, 2026
     
Global X S&P 500® Risk Managed Income ETF
 

 

      Value
PURCHASED OPTIONS — 0.3%        
(Cost $184,708)   $ 126,153  
TOTAL INVESTMENTS — 101.3%        
(Cost $26,988,810)   $ 42,331,726  
         
WRITTEN OPTIONS— (1.4)%        
(Premiums Received  $(738,078))   $ (566,160 )

 

Percentages are based on Net Assets of $41,788,817.

 

A list of exchange-traded option contracts held by the Fund at January 31, 2026, is as follows:

 

Description  Number of
Contracts
   Notional
Amount
  Exercise
Price
   Expiration
Date
  Value
PURCHASED OPTIONS — 0.3%                       
Put Options                       
Mini-SPX Index   18   $1,249,020   $660.00   2/20/2026  $4,023 
S&P 500 Index   59    40,940,277    6,600.00   2/20/2026   122,130 
Total Purchased Options       $42,189,297           $126,153 
WRITTEN OPTIONS — (1.4)%                       
Call Options                       
Mini-SPX Index   (18)  $(1,249,020)  $694.00   2/20/2026  $(17,460)
S&P 500 Index   (59)   (40,940,277)   6,945.00   2/20/2026   (548,700)
Total Written Options       $(42,189,297)          $(566,160)
                        

 

* Non-income producing security.
Real Estate Investment Trust
(A) All or a portion of these securities have been segregated as collateral for options contracts. The Fair Value of the securities pledged as collateral is $42,205,573.
 

     
Schedules of Investments   January 31, 2026
     
Global X S&P 500® Risk Managed Income ETF
 

 

The following is a summary of the level of inputs used as of January 31, 2026, in valuing the Fund’s investments and other financial instruments carried at value:

 

Investments in Securities  Level 1  Level 2    Level 3    Total
Common Stock  $42,205,573   $   $   $42,205,573 
Purchased Options   126,153            126,153 
Total Investments in Securities  $42,331,726   $   $   $42,331,726 
                     
Other Financial Instruments  Level 1  Level 2   Level 3   Total
Written Options  $(566,160)  $   $   $(566,160)
Total Other Financial Instruments  $(566,160)  $   $   $(566,160)

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

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.

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Dow 30® Covered Call ETF

 

   Shares   Value
COMMON STOCK(A) — 100.9%          
UNITED STATES — 100.9%          
Communication Services — 2.0%          
Verizon Communications    20,558   $915,242 
Walt Disney   20,558    2,318,943 
         3,234,185 
Consumer Discretionary — 12.6%          
Amazon.com *   20,558    4,919,530 
Home Depot    20,558    7,700,821 
McDonald’s    20,558    6,475,770 
NIKE, Cl B   20,558    1,270,690 
         20,366,811 
Consumer Staples — 4.4%          
Coca-Cola    20,558    1,537,944 
Procter & Gamble    20,558    3,120,088 
Walmart    20,558    2,449,280 
         7,107,312 
Energy — 2.2%          
Chevron    20,558    3,636,710 
           
Financials — 27.9%          
American Express   20,558    7,239,911 
Goldman Sachs Group    20,558    19,230,159 
JPMorgan Chase    20,558    6,288,487 
Travelers    20,558    5,848,956 
Visa, Cl A   20,558    6,616,181 
         45,223,694 
Health Care — 12.3%          
Amgen    20,558    7,028,369 
Johnson & Johnson    20,558    4,671,805 
Merck    20,558    2,266,931 
UnitedHealth Group   20,558    5,898,707 
         19,865,812 
Industrials — 16.2%          
3M   20,558    3,148,663 
Boeing *   20,558    4,804,816 
 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Dow 30® Covered Call ETF

 

   Shares   Value
COMMON STOCK — continued          
Industrials — continued          
Caterpillar    20,558   $13,514,007 
Honeywell International    20,558    4,677,356 
         26,144,842 
Information Technology — 18.8%          
Apple   20,558    5,334,390 
Cisco Systems    20,558    1,610,102 
International Business Machines   20,558    6,305,139 
Microsoft    20,558    8,845,902 
NVIDIA    20,558    3,929,250 
Salesforce   20,558    4,364,258 
         30,389,041 
Materials — 4.5%          
Sherwin-Williams    20,558    7,290,689 
           
TOTAL UNITED STATES        163,259,096 
TOTAL COMMON STOCK
(Cost $123,533,892)
        163,259,096 
TOTAL INVESTMENTS — 100.9%
(Cost $123,533,892)
       $163,259,096 
           
WRITTEN OPTIONS— (1.0)%          
(Premiums Received  $(2,454,944))       $(1,668,500)

 

Percentages are based on Net Assets of $161,733,590.

 

A list of exchange-traded option contracts held by the Fund at January 31, 2026, is as follows:

 

Description  Number of
Contracts
   Notional
Amount
   Exercise
Price
   Expiration
Date
  Value 
WRITTEN OPTIONS — (1.0)%                       
Call Options                       
Dow Jones Industrial Average Index   (3,337)  $(163,152,604)  $495.00   2/20/2026  $(1,668,500)
 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Dow 30® Covered Call ETF

 

* Non-income producing security.
(A) All or a portion of these securities have been segregated as collateral for options contracts. The Fair Value of the securities pledged as collateral is $163,259,096.

 

The following is a summary of the level of inputs used as of January 31, 2026, in valuing the Fund’s investments and other financial instruments carried at value:

 

Investments in Securities  Level 1  Level 2   Level 3   Total
Common Stock  $163,259,096   $   $   $163,259,096 
Total Investments in Securities  $163,259,096   $   $   $163,259,096 
                     
Other Financial Instruments  Level 1  Level 2   Level 3   Total
Written Options  $(1,668,500)  $   $   $(1,668,500)
Total Other Financial Instruments  $(1,668,500)  $   $   $(1,668,500)

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

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.

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 Covered Call & Growth ETF

 

   Shares   Value
EXCHANGE-TRADED FUND — 100.4%          
Domestic Equity — 100.4%          
Global X Russell 2000 ETF (A)(B)(C)   78,685   $8,003,571 
TOTAL EXCHANGE-TRADED FUND
(Cost $6,296,002)
        8,003,571 
TOTAL INVESTMENTS — 100.4%
(Cost $6,296,002)
       $8,003,571 
           
WRITTEN OPTIONS— (0.5)%          
(Premiums Received  $(104,856))       $(36,757)

 

Percentages are based on Net Assets of $7,973,718.

 

A list of exchange-traded option contracts held by the Fund at January 31, 2026, is as follows:

 

Description  Number of Contracts   Notional
Amount
   Exercise
Price
   Expiration
Date
  Value 
WRITTEN OPTIONS — (0.5)%                       
Call Options                       
Cboe Mini-Russell 2000 Index   (3)  $(78,412)  $265.00   2/20/2026  $(1,057)
Russell 2000 Index   (15)   (3,920,615)   2,680.00   2/20/2026   (35,700)
                        
Total Written Options       $(3,999,027)          $(36,757)

 

(A) All or a portion of these securities have been segregated as collateral for options contracts. The Fair Value of the securities pledged as collateral is $4,998,455.
(B) For financial information on the Global X Russell 2000 ETF, please go to the Fund’s website at https://www.globalxetfs.com/explore/.
(C) Affiliated investment.
 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Russell 2000 Covered Call & Growth ETF

 

The following is a summary of the level of inputs used as of January 31, 2026, in valuing the Fund’s investments and other financial instruments carried at value:

 

Investments in Securities  Level 1  Level 2   Level 3   Total
Exchange-Traded Fund  $8,003,571   $   $   $8,003,571 
Total Investments in Securities  $8,003,571   $   $   $8,003,571 
                     
Other Financial Instruments  Level 1  Level 2   Level 3   Total
Written Options  $(36,757)  $   $   $(36,757)
Total Other Financial Instruments  $(36,757)  $   $   $(36,757)

 

The following is a summary of the Fund’s transactions with affiliates for the period ended January 31, 2026:

 

Value
10/31/2025
   Purchases at
Cost
   Proceeds
from Sales
   Change in
Unrealized
Appreciation
(Depreciation)
   Realized Gain
(Loss)
   Value
1/31/2026
   Income   Capital Gains
Global X Russell 2000 ETF                      
$            8,146,793   $313,152   $(889,738)   $309,914   $123,450   $8,003,571   $41,444   $

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

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.

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Information Technology Covered Call & Growth ETF

 

   Shares   Value
EXCHANGE-TRADED FUND — 52.6%          
Domestic Equity — 52.6%          
Technology Select Sector SPDR Fund (A)(B)   40,902   $5,884,980 
TOTAL EXCHANGE-TRADED FUND
(Cost $4,258,905)
        5,884,980 
           
COMMON STOCK — 48.2%          
NETHERLANDS — 0.2%          
Information Technology — 0.2%          
NXP Semiconductors    121    27,363 
           
SWITZERLAND — 0.3%          
Information Technology — 0.3%          
TE Connectivity PLC   141    31,412 
           
UNITED STATES — 47.7%          
Information Technology — 47.7%          
Accenture PLC, Cl A   285    75,137 
Adobe *   193    56,597 
Advanced Micro Devices *   752    178,021 
Akamai Technologies *   66    6,412 
Amphenol, Cl A   563    81,117 
Analog Devices    226    70,259 
Apple   2,636    683,989 
Applied Materials    367    118,291 
AppLovin, Cl A *   125    59,139 
Arista Networks *   475    67,326 
Autodesk *   103    26,046 
Broadcom   846    280,280 
Cadence Design Systems *   125    37,045 
CDW    62    7,836 
Cisco Systems    1,819    142,464 
Cognizant Technology Solutions, Cl A    243    19,941 
Corning   379    39,132 
Crowdstrike Holdings, Cl A *   115    50,762 
Datadog, Cl A *   154    19,915 
Dell Technologies, Cl C   146    16,708 
EPAM Systems *   29    6,049 
F5 *   29    7,993 
 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Information Technology Covered Call & Growth ETF

 

   Shares   Value
COMMON STOCK — continued          
Information Technology — continued          
Fair Isaac *   11   $16,095 
First Solar *   51    11,501 
Fortinet *   287    23,322 
Gartner *   38    7,965 
Gen Digital   283    6,789 
GoDaddy, Cl A *   65    6,534 
Hewlett Packard Enterprise   637    13,708 
HP    457    8,884 
Intel *   2,114    98,238 
International Business Machines   431    132,188 
Intuit   128    63,862 
Jabil    52    12,334 
Keysight Technologies *   84    18,172 
KLA   60    85,676 
Lam Research   579    135,173 
Microchip Technology    264    20,043 
Micron Technology   518    214,908 
Microsoft    1,325    570,134 
Monolithic Power Systems    23    25,855 
Motorola Solutions    76    30,593 
NetApp    95    9,153 
NVIDIA    4,336    828,740 
ON Semiconductor *   201    12,038 
Oracle    777    127,879 
Palantir Technologies, Cl A *   1,061    155,532 
Palo Alto Networks *   323    57,161 
PTC *   58    9,056 
QNITY Electronics    91    8,752 
QUALCOMM    493    74,734 
Roper Technologies   52    19,304 
Salesforce   439    93,195 
SANDISK *   62    35,727 
Seagate Technology Holdings   102    41,584 
ServiceNow *   477    55,814 
Skyworks Solutions    72    4,015 
Super Micro Computer *   239    6,957 
Synopsys *   85    39,535 
Teledyne Technologies *   22    13,647 
Teradyne    75    18,079 
 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Information Technology Covered Call & Growth ETF

 

   Shares   Value
COMMON STOCK — continued          
Information Technology — continued          
Texas Instruments    418   $90,100 
Trimble *   114    7,706 
Tyler Technologies *   20    7,388 
VeriSign    40    9,769 
Western Digital   156    39,036 
Workday, Cl A *   103    18,090 
Zebra Technologies, Cl A *   24    5,640 
           
TOTAL UNITED STATES        5,341,064 
TOTAL COMMON STOCK
(Cost $4,076,381)
        5,399,839 
TOTAL INVESTMENTS — 100.8%
(Cost $8,335,286)
       $11,284,819 
           
WRITTEN OPTIONS— (0.8)%          
(Premiums Received  $(180,838))       $(92,563)

 

Percentages are based on Net Assets of $11,195,746.

 

A list of exchange-traded option contracts held by the Fund at January 31, 2026, is as follows:

 

Description  Number of
Contracts
   Notional
Amount
   Exercise
Price
   Expiration
Date
  Value 
WRITTEN OPTIONS — (0.8)%                       
Call Options                       
The Technology Select Sector SPDR® Fund   (391)  $(5,625,708)  $146.00   2/20/2026  $(92,563)

 

* Non-income producing security.
(A) All or a portion of these securities have been segregated as collateral for options contracts. The Fair Value of the securities pledged as collateral is $5,625,708.
(B) For financial information on the Technology Select Sector SPDR Fund, please go to the Fund’s website at https://www.ssga.com/us/en/intermediary.
 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Information Technology Covered Call & Growth ETF

 

The following is a summary of the level of inputs used as of January 31, 2026, in valuing the Fund’s investments and other financial instruments carried at value:

 

Investments in Securities  Level 1  Level 2    Level 3    Total
Exchange-Traded Fund  $5,884,980   $   $   $5,884,980 
Common Stock   5,399,839            5,399,839 
Total Investments in Securities  $11,284,819   $   $   $11,284,819 
                     
Other Financial Instruments  Level 1  Level 2    Level 3    Total
Written Options  $(92,563)  $   $   $(92,563)
Total Other Financial Instruments  $(92,563)  $   $   $(92,563)

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

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.

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Dow 30® Covered Call & Growth ETF

 

   Shares   Value
COMMON STOCK — 100.4%          
UNITED STATES — 100.4%          
Communication Services — 2.0%          
Verizon Communications    745   $33,167 
Walt Disney (A)   745    84,036 
         117,203 
Consumer Discretionary — 12.5%          
Amazon.com *(A)   745    178,279 
Home Depot (A)   745    279,070 
McDonald’s (A)   745    234,675 
NIKE, Cl B   745    46,048 
         738,072 
Consumer Staples — 4.4%          
Coca-Cola (A)   745    55,733 
Procter & Gamble    745    113,069 
Walmart    745    88,759 
         257,561 
Energy — 2.2%          
Chevron (A)   745    131,791 
           
Financials — 27.8%          
American Express (A)   745    262,367 
Goldman Sachs Group (A)   745    696,881 
JPMorgan Chase (A)   745    227,888 
Travelers (A)   745    211,960 
Visa, Cl A (A)   745    239,763 
         1,638,859 
Health Care — 12.2%          
Amgen (A)   745    254,701 
Johnson & Johnson    745    169,301 
Merck    745    82,151 
UnitedHealth Group (A)   745    213,763 
         719,916 
Industrials — 16.1%          
3M   745    114,104 
Boeing *(A)   745    174,122 
 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Dow 30® Covered Call & Growth ETF

 

   Shares   Value
COMMON STOCK — continued          
Industrials — continued          
Caterpillar (A)   745   $489,733 
Honeywell International (A)   745    169,502 
         947,461 
Information Technology — 18.7%          
Apple (A)   745    193,313 
Cisco Systems (A)   745    58,348 
International Business Machines (A)   745    228,491 
Microsoft (A)   745    320,566 
NVIDIA    745    142,392 
Salesforce (A)   745    158,156 
         1,101,266 
Materials — 4.5%          
Sherwin-Williams (A)   745    264,207 
           
TOTAL UNITED STATES        5,916,336 
TOTAL COMMON STOCK
(Cost $5,188,520)
        5,916,336 
TOTAL INVESTMENTS — 100.4%
(Cost $5,188,520)
       $5,916,336 
           
WRITTEN OPTIONS— (0.5)%          
(Premiums Received  $(44,545))       $(30,000)

 

Percentages are based on Net Assets of $5,893,332.

 

A list of exchange-traded option contracts held by the Fund at January 31, 2026, is as follows:

 

Description  Number of
Contracts
   Notional
Amount
   Exercise
Price
   Expiration
Date
  Value 
WRITTEN OPTIONS — (0.5)%                       
Call Options                       
Dow Jones Industrial Average Index   (60)  $(2,933,520)  $495.00   2/20/2026  $(30,000)
 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Dow 30® Covered Call & Growth ETF

 

* Non-income producing security.
(A) All or a portion of these securities have been segregated as collateral for options contracts. The Fair Value of the securities pledged as collateral is $3,057,162.

 

The following is a summary of the level of inputs used as of January 31, 2026, in valuing the Fund’s investments and other financial instruments carried at value:

 

Investments in Securities  Level 1  Level 2   Level 3   Total
Common Stock  $5,916,336   $   $   $5,916,336 
Total Investments in Securities  $5,916,336   $   $   $5,916,336 
                     
Other Financial Instruments  Level 1  Level 2   Level 3   Total
Written Options  $(30,000)  $   $   $(30,000)
Total Other Financial Instruments  $(30,000)  $   $   $(30,000)

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

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.

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X MLP & Energy Infrastructure Covered Call ETF

 

   Shares   Value
EXCHANGE-TRADED FUND — 106.0%          
Domestic Equity — 106.0%          
Global X MLP & Energy Infrastructure ETF (A)(B)(C)   259,878   $16,983,027 
TOTAL EXCHANGE-TRADED FUND
(Cost $16,096,509)
        16,983,027 
TOTAL INVESTMENTS — 106.0%
(Cost $16,096,509)
       $16,983,027 
           
WRITTEN OPTIONS— (6.2)%          
(Premiums Received  $(330,329))       $(998,811)

 

Percentages are based on Net Assets of $16,022,916.

 

A list of exchange-traded option contracts held by the Fund at January 31, 2026, is as follows:

 

Description  Number of
Contracts
   Notional
Amount
   Exercise
Price
   Expiration
Date
  Value 
WRITTEN OPTIONS — (6.2)%                       
Call Options                       
Global X MLP & Energy Infrastructure ETF   (2,596)  $(16,964,860)  $61.00   2/20/2026  $(998,811)

 

(A) All or a portion of these securities have been segregated as collateral for options contracts. The Fair Value of the securities pledged as collateral is $16,983,027.
(B) For financial information on the Global X MLP & Energy Infrastructure ETF, please go to the Fund’s website at https://www.globalxetfs.com/explore/.
(C) Affiliated investment.
 

Schedules of Investments January 31, 2026 (Unaudited)
Global X MLP & Energy Infrastructure Covered Call ETF

 

The following is a summary of the level of inputs used as of January 31, 2026, in valuing the Fund’s investments and other financial instruments carried at value:

 

Investments in Securities  Level 1  Level 2   Level 3   Total
Exchange-Traded Fund  $16,983,027   $   $   $16,983,027 
Total Investments in Securities  $16,983,027   $   $   $16,983,027 
                     
Other Financial Instruments  Level 1  Level 2   Level 3   Total
Written Options  $(998,811)  $   $   $(998,811)
Total Other Financial Instruments  $(998,811)  $   $   $(998,811)

 

The following is a summary of the Fund’s transactions with affiliates for the period ended January 31, 2026:

Value
10/31/2025
   Purchases
at Cost
   Proceeds
from Sales
   Change in
Unrealized
Appreciation
(Depreciation)
   Realized Gain
(Loss)
   Value
1/31/2026
   Income   Capital Gains
  Global X MLP & Energy Infrastructure ETF                       
  $11,145,491   $7,466,009   $(3,263,296)  $1,540,121   $94,702   $16,983,027   $161,165   $

 

Amounts designated as “—” are $0 or have been rounded to $0. See “Glossary” for abbreviations.

 

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.

 

Schedules of Investments January 31, 2026
Glossary (abbreviations used in preceding Schedules of Investments):

 

Fund Abbreviations

ADR — American Depositary Receipt

Cl — Class

CVR — Contingent Value Right

ETF — Exchange-Traded Fund

MLP — Master Limited Partnership

S&P — Standard & Poor’s

SPDR — Standard & Poor’s Depository Receipt

 

GLX-QH-011-0400

 

 

Consolidated Schedule of Investments January 31, 2026 (Unaudited)
Global X Blockchain & Bitcoin Strategy ETF

 

   Shares   Value 
EXCHANGE-TRADED FUNDS — 86.0%          
International Equity — 53.7%          
Global X Blockchain ETF (A)(B)   222,500   $16,028,900 
Domestic Fixed Income — 32.3%          
Global X 1-3 Month T-Bill ETF (B)(C)   96,000    9,638,400 
TOTAL EXCHANGE-TRADED FUNDS
(Cost $22,804,182)
        25,667,300 
TOTAL INVESTMENTS — 86.0%
(Cost $22,804,182)
       $25,667,300 

 

Percentages are based on Net Assets of $29,858,365.

 

A list of the open futures contracts held by the Fund at January 31, 2026, is as follows:

Type of Contract  Number of
Contracts
  Expiration
Date
  Notional Amount   Value   Unrealized
Depreciation
 
Long Contracts                      
CME Bitcoin^  33  Feb-2026  $14,734,323   $13,877,325   $(856,998)

 

^ Security is held by the Global X Bitcoin Strategy Subsidiary I, as of January 31, 2026.
(A) For financial information on the Global X Blockchain ETF, please go to the Fund’s website at https://www.globalxetfs.com/explore/.
(B) Affiliated investment.
(C) For financial information on the Global X 1-3 Month T-Bill ETF, please go to the Fund’s website at https://www.globalxetfs.com/explore/.

 

The following is a summary of the level of inputs used as of January 31, 2026, in valuing the Fund’s investments and other financial instruments carried at value:

 

Investments in Securities  Level 1  Level 2  Level 3  Total
Exchange-Traded Funds  $25,667,300   $   $   $25,667,300 
Total Investments in Securities  $25,667,300   $   $   $25,667,300 
                 
Other Financial Instruments  Level 1  Level 2  Level 3  Total
Futures Contracts*                     
Unrealized Depreciation  $(856,998)  $   $   $(856,998)
Total Other Financial Instruments  $(856,998)  $   $   $(856,998)

 

* Futures contracts are valued at the unrealized depreciation on the instrument.
 

 

Consolidated Schedule of Investments January 31, 2026 (Unaudited)
Global X Blockchain & Bitcoin Strategy ETF

 

The following is a summary of the Fund’s transactions with affiliates for the period ended January 31, 2026:

Value
10/31/2025
   Purchases
at Cost
   Proceeds
from Sales
   Change in
Unrealized
Appreciation
(Depreciation)
   Realized Gain
(Loss)
   Value
1/31/2026
   Income   Capital Gains 
Global X Blockchain ETF
$24,125,040   $932,355   $(1,641,029)  $(7,750,328)  $362,862   $16,028,900   $267,959   $ 
Global X 1-3 Month T-Bill ETF
 13,809,125    600,800    (4,762,991)   (9,161)   627    9,638,400    113,056     
Totals:
$37,934,165   $1,533,155   $(6,404,020)  $(7,759,489)  $363,489   $25,667,300   $381,015   $ 

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

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.

 

 

Consolidated Schedule of Investments January 31, 2026 (Unaudited)
Global X Bitcoin Trend Strategy ETF

 

   Shares   Value 
EXCHANGE-TRADED FUND — 69.7%          
Domestic Fixed Income — 69.7%          
Global X 1-3 Month T-Bill ETF (A)(B)   19,060   $1,913,624 
TOTAL EXCHANGE-TRADED FUND
(Cost $1,911,444)
        1,913,624 
           
   Face Amount      
U.S. TREASURY OBLIGATION — 16.3%          
U.S. Treasury Bill
3.575%, 02/12/2026(C)
  $450,000    449,551 
TOTAL U.S. TREASURY OBLIGATION
(Cost $449,510)
        449,551 
TOTAL INVESTMENTS — 86.0%
(Cost $2,360,954)
       $2,363,175 

 

Percentages are based on Net Assets of $2,746,435.

 

(A) For financial information on the Global X 1-3 Month T-Bill ETF, please go to the Fund’s website at https://www.globalxetfs.com/explore/.
(B) Affiliated investment.
(C) Interest rate represents the security’s effective yield at the time of purchase.

 

The following is a summary of the level of inputs used as of January 31, 2026, in valuing the Fund’s investments carried at value:

 

Investments in Securities  Level 1   Level 2   Level 3   Total 
Exchange-Traded Fund  $1,913,624   $   $   $1,913,624 
U.S. Treasury Obligation       449,551        449,551 
Total Investments in Securities  $1,913,624   $449,551   $   $2,363,175 

 

The following is a summary of the Fund’s transactions with affiliates for the period ended January 31, 2026:

Value
10/31/2025
   Purchases
at Cost
   Proceeds
from Sales
   Change in
Unrealized
Appreciation
(Depreciation)
   Realized Gain
(Loss)
   Value
1/31/2026
   Income   Capital Gains 
Global X 1-3 Month T-Bill ETF
$3,671,721   $500,775   $(2,257,171)   $(3,258)   $1,557   $1,913,624   $33,013   $ 
 

 

Consolidated Schedule of Investments January 31, 2026 (Unaudited)
Global X Bitcoin Trend Strategy ETF

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

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.

 

 

Consolidated Schedule of Investments January 31, 2026 (Unaudited)
Global X Bitcoin Covered Call ETF

 

   Face Amount   Value 
U.S. TREASURY OBLIGATION — 24.4%          
U.S. Treasury Bill
3.641%, 03/03/2026(A)
  $2,700,000   $2,692,116 
TOTAL U.S. TREASURY OBLIGATION
(Cost $2,692,375)
        2,692,116 
          
   Shares      
EXCHANGE-TRADED FUND — 16.0%          
Domestic Equity — 16.0%          
VanEck Bitcoin ETF ^*(B)   74,650    1,769,205 
TOTAL EXCHANGE-TRADED FUND
(Cost $2,377,489)
        1,769,205 
           
PURCHASED OPTIONS^ — 16.3%
(Cost $1,804,644)
        1,800,690 
TOTAL INVESTMENTS — 56.7%
(Cost $6,874,508)
       $6,262,011 
           
WRITTEN OPTIONS^ — (3.7)%
(Premiums Received $(398,917))
       $(405,330) 

 

Percentages are based on Net Assets of $11,052,368.

 

A list of exchange-traded option contracts held by the Fund at January 31, 2026, is as follows:

 

Description  Number of
Contracts
  Notional
Amount
   Exercise
Price
   Expiration
Date
  Value 
PURCHASED OPTIONS — 16.3%                     
Call Options                     
iShares Bitcoin Trust ETF^  1,930  $9,165,570   $40.00   4/18/2026  $1,800,690 
WRITTEN OPTIONS — (3.7)%                     
Put Options                     
iShares Bitcoin Trust ETF^  (1,930)  $(9,165,570)  $40.00   4/18/2026  $(272,130)
 

 

Consolidated Schedule of Investments January 31, 2026 (Unaudited)
Global X Bitcoin Covered Call ETF

 

Description  Number of
Contracts
  Notional
Amount
   Exercise
Price
   Expiration
Date
  Value 
WRITTEN OPTIONS (continued)                     
Call Options                     
iShares Bitcoin Trust ETF^  (1,200)  $(5,698,800)  $47.49   2/21/2026  $(133,200)
                      
Total Written Options     $(14,864,370)          $(405,330)

 

^ Security is held by the Global X Bitcoin Covered Call Subsidiary Limited, as of January 31, 2026.
(A) Interest rate represents the security’s effective yield at the time of purchase.
(B) For financial information on the VanEck Bitcoin ETF, please go to the Fund’s website at https://www.vaneck.com/us/en/investments/bitcoin-etf-hodl.

 

The following is a summary of the level of inputs used as of January 31, 2026, in valuing the Fund’s investments and other financial instruments carried at value:

 

Investments in Securities  Level 1  Level 2  Level 3  Total
U.S. Treasury Obligation  $   $2,692,116   $   $2,692,116 
Exchange Traded Fund   1,769,205            1,769,205 
Purchased Options       1,800,690        1,800,690 
Total Investments in Securities  $1,769,205   $4,492,806   $   $6,262,011 
                 
Other Financial Instruments  Level 1  Level 2  Level 3  Total
Written Options  $   $(405,330)  $   $(405,330)
Total Other Financial Instruments  $   $(405,330)  $   $(405,330)

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

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.

 

 

January 31, 2026 (Unaudited)
Glossary (abbreviations which may be used in preceding Consolidated Schedules of Investments):

 

Fund Abbreviations

CME — Chicago Mercantile Exchange

ETF — Exchange-Traded Fund

 

GLX-QH-010-0900

 

Schedules of Investments January 31, 2026 (Unaudited)
Global X Treasury Bond Enhanced Income ETF

 

   Face Amount   Value 
U.S. TREASURY OBLIGATIONS — 57.9%          
U.S. Treasury Bonds          
4.750%, 05/15/2055  $170,000   $166,202 
4.750%, 08/15/2055   250,000    244,492 
4.625%, 02/15/2055   80,000    76,637 
4.625%, 11/15/2055   1,240,000    1,188,462 
         1,675,793 
U.S. Treasury STRIPS, PO          
5.046%, 11/15/2054(A)(B)   600,000    143,892 
5.018%, 02/15/2055(A)(B)   1,250,000    296,672 
5.007%, 05/15/2055(A)(B)   1,250,000    293,450 
4.744%, 11/15/2055(A)   3,700,000    849,429 
4.690%, 08/15/2055(A)(B)   2,180,000    506,329 
         2,089,772 
TOTAL U.S. TREASURY OBLIGATIONS
(Cost $3,866,670)
        3,765,565 
          
   Shares      
EXCHANGE-TRADED FUND — 41.7%          
Domestic Fixed Income — 41.7%          
Global X Long-Term Treasury Ladder ETF (C)(D)   59,500    2,708,928 
TOTAL EXCHANGE-TRADED FUND
(Cost $2,716,306)
        2,708,928 
TOTAL INVESTMENTS — 99.6%
(Cost $6,582,976)
       $6,474,493 
           
WRITTEN OPTIONS— (0.5)%
(Premiums Received  $(21,922))
       $(32,846)

 

Percentages are based on Net Assets of $6,501,396.

 

A list of exchange-traded option contracts held by the Fund at January 31, 2026, is as follows:

 

Description  Number of
Contracts
   Notional
Amount
   Exercise
Price
   Expiration
Date
  Value 
WRITTEN OPTIONS — (0.5)%                       
Call Options                       
iShares 20+ Year Treasury Bond ETF   (452)  $(3,938,276)  $86.87   02/06/2026  $(32,846)
 
Schedules of Investments January 31, 2026 (Unaudited)
Global X Treasury Bond Enhanced Income ETF

 

(A) Interest rate represents the security’s effective yield at the time of purchase.
(B) All or a portion of these securities have been segregated as collateral for options contracts. The Fair Value of the securities pledged as collateral is $825,054.
(C) For financial information on the Global X Long-Term Treasury Ladder ETF, please go to the Fund’s website at https://www.globalxetfs.com/explore/.
(D) Affiliated investment.

 

The following is a summary of the level of inputs used as of January 31, 2026, in valuing the Fund’s investments and other financial instruments carried at value:

 

Investments in Securities  Level 1  Level 2  Level 3  Total
U.S. Treasury Obligations  $   $3,765,565   $   $3,765,565 
Exchange-Traded Fund   2,708,928            2,708,928 
Total Investments in Securities  $2,708,928   $3,765,565   $   $6,474,493 
                 
Other Financial Instruments  Level 1  Level 2  Level 3  Total
Written Options  $   $(32,846)  $   $(32,846)
Total Other Financial Instruments  $   $(32,846)  $   $(32,846)

 

The following is a summary of the Fund’s transactions with affiliates for the period ended January 31, 2026:

Value
10/31/2025
   Purchases
at Cost
   Proceeds
from Sales
   Change in
Unrealized
Appreciation
(Depreciation)
   Realized Gain
(Loss)
   Value
1/31/2026
   Income   Capital Gains
Global X Long-Term Treasury Ladder ETF                     
$1,167,515   $1,709,062   $(115,211)  $(57,017)  $4,579   $2,708,928   $   $ 

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

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.

 
Schedules of Investments January 31, 2026 (Unaudited)
Glossary (abbreviations used in preceding Schedules of Investments):

 

Fund Abbreviations

ETF — Exchange-Traded Fund

PO — Principal Only

STRIPS — Separate Trading of Registered Interest and Principal of Securities

 

GLX-QH-016-0200