Global X Adaptive U.S. Risk Management ETF (ONOF)

Description

The investment seeks to track the performance of the Adaptive Wealth Strategies U.S. Risk Management Index. The ONOF ETF contains constituents. It is focused on holdings in the region.

Price $25.53 as of 2022-10-20

Cost/Risk/Yield

Dividend yield1.22%
Expense ratio0.39%
Average spread0.274%
1Y roundtrip cost0.664%

Historic prices

Total Returns (including dividends)

Monthly returns heatmap

Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec
2022-9.6%-7.1%0.8%-2.9%2.6%-10.8%8.1%1.9%-0.9%0.6%-17.4%
20212.0%3.8%5.1%0.5%2.9%2.3%3.0%-4.5%6.7%-1.0%4.6%25.6%
-9.6%-5.1%4.6%2.2%3.2%-7.8%10.4%4.9%-5.5%7.2%-1.0%4.6%

Historical Dividends

Monthly dividend heatmap

Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec
20220.180.18
20210.090.130.22
0.000.000.000.000.000.270.000.000.000.000.000.13

Sectors and Top Holdings

Security % Assets
Apple Inc.6.20%
Microsoft Corporation6.13%
Amazon.com, Inc.3.53%
Tesla Inc2.25%
Alphabet Inc. Class A2.12%
Alphabet Inc. Class C2.00%
Meta Platforms Inc. Class A1.94%
NVIDIA Corporation1.56%
JPMorgan Chase & Co.1.27%
Johnson & Johnson1.08%
UnitedHealth Group Incorporated1.06%
Home Depot, Inc.0.97%
Berkshire Hathaway Inc. Class B0.92%
Bank of America Corp0.90%
Visa Inc. Class A0.87%
Top 15 Weights32.80%

Compare with similar ETFs

ONOF ESGU GSUS ILCB PBUS VV
Product nameGlobal X Adaptive U.S. Risk Management ETFiShares MSCI USA ESG Optimized ETFGoldman Sachs MarketBeta U.S. Equity ETFiShares Morningstar U.S. Equity ETFPowerShares PureBeta MSCI USA PortfolioVanguard Large-Cap ETF
IssuerGlobal XiSharesGoldman SachsiSharesInvescoVanguard
Price$25.53$83.04$49.79$50.39$36.534$167.06
Expense Ratio0.39%better0.15%better0.07%better0.03%better0.04%better0.04%
Average Spread0.274%0.012%0.100%0.060%0.219%0.030%
AUM$95,185,300$18,579,100,000$344,950,000$728,449,000$1,983,960,000$21,122,300,000
Shares3,728,371223,736,6286,928,09414,456,22154,304,579126,435,634
Average Daily Volume7,6032,019,187147,82322,17320,077740,100
Home pageVisit external siteVisit external siteVisit external siteVisit external siteVisit external site
Inception Date2021-01-122016-12-012020-05-122004-06-282017-09-222004-01-27
Index TrackedAdaptive Wealth Strategies U.S. Risk Management IndexMSCI USA Extended ESG Focus IndexSolactive GBS United States Large & Mid Cap IndexMorningstar U.S. Large-Mid Cap IndexMSCI USA IndexCRSP US Large Cap
Categoryn/aLarge Cap Growth EquitiesLarge Cap Growth EquitiesLarge Cap Growth EquitiesLarge Cap Growth EquitiesLarge Cap Growth Equities
Asset ClassEquityEquityEquityEquityEquity
Asset Class SizeLarge CapsLarge CapsLarge CapsLarge CapsLarge Caps
Value or GrowthBlendBlendGrowthBlendBlend
RegionNorth AmericaNorth AmericaNorth AmericaNorth AmericaNorth America
CountriesU.S.U.S.U.S.U.S.U.S.U.S.
Annual Dividend Rate$0.312$1.302$0.545$0.852$0.497$2.825
Annual Dividend Yield0.012%0.016%0.011%0.017%0.014%0.017%
Number of Holdings332515780612577
YTD Return-17.45%-22.18%-23.78%-23.27%-23.48%-23.55%
Beta0.661.000.980.931.000.99
Upside Beta-0.290.620.440.200.650.23
Downside Beta-0.480.27-0.160.030.540.04
Volatility 1Y15.33%23.49%23.08%23.22%22.85%23.26%
Sharpe Ratio 3Y0.000.620.000.440.540.52
Treynor Ratio 3Y0.000.010.000.010.010.01

Historic volatility

Implied volatility

Put/Call Ratio (option volume)

Put/Call Ratio (open interest)

Volatility Spread

Volatility Skew