ETF Components for XRMI - Global X S&P 500


Below is a list of stocks held by this ETF. We only list holdings in the same market. If this is a global ETF, there may be additional components other than those listed here.

Holdings

Symbol Grade Price % Change Allocation
NVDA C -3.22 7.30
AAPL C 0.59 7.02
MSFT F 1.00 6.42
AMZN C -0.64 3.99
META D -0.70 2.54
GOOGL C -1.71 2.08
TSLA B 3.80 1.74
BRK.A B 0.99 1.73
GOOG C -1.58 1.72
AVGO D 0.18 1.60
JPM A 1.55 1.39
LLY F -0.25 1.25
UNH C -1.11 1.11
XOM B -0.11 1.08
V A 0.01 1.03
MA C 1.12 0.86
COST B 0.87 0.83
HD A 2.33 0.81
PG A 2.04 0.79
JNJ D -0.21 0.74
WMT A 2.32 0.74
NFLX A 0.03 0.73
CRM B 1.86 0.65
BAC A 1.16 0.62
ORCL B -0.07 0.60
ABBV D 3.04 0.60
CVX A 0.45 0.55
WFC A 1.51 0.50
MRK F -0.68 0.50
KO D 0.25 0.49
CSCO B 1.72 0.47
ADBE C 1.53 0.47
AMD F 0.63 0.45
ACN C -0.66 0.45
PEP F 1.04 0.45
LIN D -0.06 0.44
MCD D 0.63 0.43
NOW A 1.29 0.43
DIS B 0.81 0.40
PM B -0.93 0.40
ABT B 0.43 0.40
TMO F -0.55 0.40
ISRG A -0.50 0.39
GE D 1.37 0.39
IBM C 0.26 0.39
INTU C -5.68 0.39
CAT B 2.03 0.38
GS A 1.12 0.38
TXN C -0.10 0.38
QCOM F 0.86 0.36
CMCSA B -0.07 0.34
VZ C 1.53 0.34
MS A -0.22 0.33
AXP A 2.83 0.33
SPGI C 0.60 0.33
BKNG A -0.65 0.33
AMAT F -0.50 0.32
RTX C 0.20 0.32
AMGN D 1.60 0.32
T A 0.87 0.32
DHR F 0.34 0.31
LOW D -0.20 0.31
PGR A 0.99 0.31
NEE D -1.10 0.31
PFE D 2.07 0.30
UBER D 2.69 0.30
BLK C 0.82 0.30
HON B 1.34 0.30
ETN A 1.74 0.29
UNP C 1.41 0.29
SYK C -1.36 0.27
BSX B -1.64 0.27
C A 1.29 0.27
TJX A 1.42 0.27
COP C -0.13 0.27
VRTX F 0.13 0.26
ADP B 0.19 0.26
BX A 2.60 0.26
FI A 1.91 0.25
PANW C -3.61 0.25
BMY B 1.10 0.24
SCHW B 0.57 0.24
TMUS B 0.72 0.24
PLTR B 4.87 0.24
MDT D 1.73 0.23
GILD C 0.48 0.23
LMT D 0.04 0.23
SBUX A 2.44 0.23
CB C 0.04 0.22
ADI D 0.29 0.22
PLD D 1.61 0.22
MMC B 1.52 0.22
MU D -0.12 0.22
DE A 2.08 0.21
INTC D 0.25 0.21
KKR A 0.61 0.20
ANET C 0.37 0.20
BA F 4.10 0.20
TT A 0.51 0.19
SHW A 1.30 0.19
NKE D 3.06 0.19
MO A 1.25 0.19
AMT D 0.74 0.19
SO D -0.61 0.19
UPS C 2.63 0.19
LRCX F -0.67 0.19
ELV F -0.26 0.19
ICE C 0.59 0.18
KLAC D 1.01 0.18
PYPL B 2.30 0.18
SNPS B 1.28 0.18
PH A 0.60 0.18
GEV B 2.74 0.18
CI F -0.49 0.18
CME A 1.09 0.17
WM A 1.30 0.17
REGN F -0.87 0.17
AON A 0.94 0.17
DUK C -0.14 0.17
PNC B 2.10 0.17
MCK B -0.81 0.17
CDNS B 1.75 0.17
APH A 1.43 0.17
MDLZ F -0.60 0.17
MSI B 1.22 0.17
USB A 2.14 0.16
WELL A 0.02 0.16
CRWD B 4.11 0.16
MCO B 0.75 0.16
CMG B 3.38 0.16
EQIX A 1.38 0.16
ZTS D 0.14 0.16
TDG D 1.63 0.15
TGT F 2.81 0.15
CL D 0.71 0.15
NOC D 0.09 0.15
CTAS B 0.12 0.15
GD F 0.67 0.15
EMR A 1.40 0.15
EOG A 0.63 0.15
ADSK A 1.86 0.14
BDX F -0.64 0.14
CSX B 1.25 0.14
ORLY B 1.88 0.14
CVS D 1.59 0.14
CEG D -0.77 0.14
COF B 2.42 0.14
MMM D 0.86 0.14
ITW B 1.52 0.14
APD A 0.90 0.14
PCAR B 0.61 0.13
GM B 5.12 0.13
TFC A 2.46 0.13
OKE A 0.26 0.13
MAR B 0.30 0.13
CARR D 1.30 0.13
FDX B 1.63 0.13
AJG B 0.61 0.13
WMB A -0.15 0.13
HCA F -2.20 0.13
FTNT C -1.33 0.12
TRV B 0.64 0.12
HLT A 0.46 0.12
SLB C 0.39 0.12
ABNB C 3.06 0.12
NSC B 1.77 0.12
FCX D -0.09 0.12
ECL D 0.77 0.12
CPRT A 10.19 0.11
AMP A 0.33 0.11
MPC D -0.51 0.11
CMI A 1.52 0.11
URI B 1.02 0.11
PSX C 1.42 0.11
KMI A -0.18 0.11
RCL A 1.65 0.11
FICO B 0.75 0.11
SPG B -0.36 0.11
DLR B 1.32 0.11
SRE A -0.44 0.11
PSA D 0.52 0.11
JCI C -0.64 0.11
NXPI D 0.81 0.11
BK A 1.60 0.11
AFL B 0.59 0.11
ROP B 1.06 0.11
AIG B 0.11 0.10
FAST B 0.87 0.10
D C -0.39 0.10
HWM A 1.25 0.10
GWW B 1.02 0.10
DHI D 1.03 0.10
AZO C 1.00 0.10
PWR A 0.56 0.10
FIS C 0.68 0.10
O D 0.10 0.10
MET A 1.64 0.10
AEP D -0.50 0.10
ALL A 0.16 0.10
ODFL B 0.85 0.09
KMB D 1.01 0.09
OTIS C 1.25 0.09
LEN D 0.65 0.09
VRSK A 1.10 0.09
CCI D 0.90 0.09
IR B 0.93 0.09
BKR B -1.40 0.09
MSCI C 1.42 0.09
PRU A 1.29 0.09
VST B -2.81 0.09
NEM D 0.14 0.09
F C 3.52 0.09
COR B -0.27 0.09
LHX C 0.63 0.09
PAYX C 0.26 0.09
VLO C -0.14 0.09
KVUE A -0.04 0.09
AME A 0.83 0.09
PCG A 0.66 0.09
ROST C 2.19 0.09
RMD C 0.07 0.08
EA A -0.77 0.08
KR B 1.09 0.08
HES B 0.45 0.08
DELL C 3.81 0.08
IT C 0.10 0.08
MTB A 2.08 0.08
SYY B 0.95 0.08
DAL C 0.00 0.08
XEL A -0.04 0.08
STZ D -0.46 0.08
VMC B 1.22 0.08
EXC C -1.53 0.08
AXON A 0.90 0.08
TRGP B -0.18 0.08
MNST C 0.15 0.08
CBRE B 2.87 0.08
EW C 0.14 0.08
RSG A 1.28 0.08
CTVA C 0.77 0.08
DFS B 2.50 0.08
PEG A 0.05 0.08
CTSH B 0.86 0.08
HIG B 0.90 0.07
CNC D 0.03 0.07
NDAQ A 0.23 0.07
IDXX F -0.31 0.07
EBAY D 2.98 0.07
MLM B 1.22 0.07
EXR D 0.76 0.07
FANG D 1.42 0.07
HPQ B 0.58 0.07
NVR D 0.68 0.07
VICI C -0.43 0.07
ETR B -0.32 0.07
FITB A 1.66 0.07
ED D -0.34 0.07
GLW B 1.42 0.07
IRM D 0.31 0.07
WAB B 0.57 0.07
OXY D 0.76 0.07
A D 1.35 0.07
KDP D 1.30 0.07
NUE C 1.29 0.07
CHTR C 1.15 0.07
DD D 0.69 0.07
IQV D 2.14 0.07
MCHP D 0.27 0.07
LULU C 0.63 0.07
YUM B 0.78 0.07
ACGL D 1.12 0.07
GEHC F 0.54 0.07
GIS D 1.37 0.07
PPG F -0.02 0.06
GPN B 0.64 0.06
ANSS B 0.30 0.06
DECK A 5.63 0.06
HAL C 0.22 0.06
STT A 1.20 0.06
VTR C -1.15 0.06
RJF A 0.85 0.06
GDDY A 1.73 0.06
CHD B -0.31 0.06
HPE B 1.66 0.06
HSY F -0.08 0.06
DOV A 1.11 0.06
TROW B 1.40 0.06
WTW B 0.08 0.06
TSCO D 2.95 0.06
DOW F 1.45 0.06
EFX F 0.42 0.06
EIX B -0.70 0.06
ON D 1.68 0.06
TTWO A 0.84 0.06
UAL A 0.89 0.06
GRMN B 0.58 0.06
ROK B 4.51 0.06
AVB B 0.57 0.06
HUM C 0.81 0.06
XYL D 1.20 0.06
CSGP D 3.65 0.06
CAH B -1.28 0.06
DXCM D -2.19 0.06
WEC A -0.30 0.06
WST C -1.34 0.05
LYB F 1.29 0.05
OMC C 0.43 0.05
WBD C -1.17 0.05
NTAP C -3.43 0.05
CPAY A 1.17 0.05
CFG B 1.88 0.05
BIIB F -0.07 0.05
SBAC D 0.56 0.05
NTRS A 0.48 0.05
PTC A 2.54 0.05
SYF B 1.30 0.05
RF A 2.02 0.05
CCL B -1.78 0.05
TYL B 1.99 0.05
WY D 2.09 0.05
BR A 1.22 0.05
MTD D 1.77 0.05
IFF D 1.15 0.05
AWK D -1.07 0.05
VLTO D 0.38 0.05
EQT B -2.07 0.05
AEE A -0.17 0.05
LDOS C 0.50 0.05
ATO A -0.14 0.05
ZBH C 1.68 0.05
CDW F 0.44 0.05
PHM D 1.28 0.05
KEYS A -0.09 0.05
DVN F 1.94 0.05
FTV C 1.91 0.05
KHC F 2.32 0.05
EQR B 0.99 0.05
MPWR F 1.46 0.05
PPL B -1.15 0.05
BRO B 1.17 0.05
HBAN A 1.53 0.05
ADM D -0.11 0.05
DTE C 0.50 0.05
SW A 0.48 0.05
MAA B 1.52 0.04
WRB A 0.21 0.04
ZBRA B 1.24 0.04
EXPD D 0.51 0.04
TRMB B 1.25 0.04
PNR A 0.83 0.04
MAS D 0.87 0.04
J F 1.43 0.04
TER D 2.55 0.04
ESS B 0.39 0.04
TSN B 0.00 0.04
GPC D 1.72 0.04
KEY B 1.98 0.04
PKG A 0.44 0.04
IP B 0.24 0.04
DG F 1.37 0.04
CTRA B 0.69 0.04
LH C -0.21 0.04
BBY D 3.50 0.04
HOLX D 0.32 0.04
NRG B -1.46 0.04
ARE D 2.28 0.04
CNP B 0.63 0.04
STX D -0.30 0.04
BALL D 1.69 0.04
MKC D -0.47 0.04
CLX B 0.09 0.04
LUV C 0.57 0.04
STLD B -0.96 0.04
INVH D 0.18 0.04
STE F -0.66 0.04
PFG D 1.22 0.04
TDY B 0.72 0.04
CMS C 0.45 0.04
EXPE B 0.77 0.04
FSLR F 2.25 0.04
CBOE B 1.08 0.04
DRI B 1.90 0.04
WAT B 1.35 0.04
WDC D 0.83 0.04
LYV A 1.24 0.04
HUBB B 0.95 0.04
BLDR D 1.48 0.04
ES D 1.00 0.04
FE C -0.97 0.04
K A 0.19 0.04
CINF A 1.05 0.04
JNPR F 1.35 0.03
BXP D -0.14 0.03
HST C 2.01 0.03
TECH D 0.32 0.03
DPZ C 1.68 0.03
CPT B 0.75 0.03
DAY B 1.39 0.03
REG B -0.30 0.03
JBL B 0.37 0.03
INCY C 1.89 0.03
EPAM C 0.02 0.03
JBHT C 0.46 0.03
CAG D 0.92 0.03
LW C 0.22 0.03
UDR B 0.62 0.03
TPR B 4.45 0.03
KMX B 1.20 0.03
MRNA F 7.48 0.03
EG C 1.00 0.03
ALGN D -1.02 0.03
APTV D 1.91 0.03
BG F -0.81 0.03
RVTY F 0.83 0.03
ROL B 2.01 0.03
SWK D 1.80 0.03
EVRG A -0.46 0.03
L A 1.06 0.03
SWKS F 0.42 0.03
AKAM D 2.00 0.03
AMCR D 0.19 0.03
DOC D -0.41 0.03
VTRS A 0.91 0.03
VRSN F -2.23 0.03
DLTR F 0.97 0.03
LNT A 0.19 0.03
AVY D 1.50 0.03
MRO B 0.00 0.03
GEN B 1.27 0.03
CF B -0.94 0.03
SNA A 1.26 0.03
MOH F -1.78 0.03
DGX A -0.18 0.03
EL F 4.62 0.03
ULTA F -0.12 0.03
IEX B 2.22 0.03
TXT D 1.69 0.03
BAX D 0.67 0.03
NI A -0.37 0.03
LVS C 0.02 0.03
FDS B 0.38 0.03
KIM A 0.24 0.03
PODD C 0.35 0.03
TFX F 0.56 0.02
GL B 1.37 0.02
RL B 2.43 0.02
BWA D 1.07 0.02
DVA B 0.83 0.02
IVZ B 0.34 0.02
APA D 1.47 0.02
CRL C 0.81 0.02
MTCH D 0.08 0.02
MOS F -0.08 0.02
AOS F 0.64 0.02
WYNN D -0.49 0.02
CZR F 0.11 0.02
ENPH F 4.28 0.02
HRL D 0.56 0.02
ERIE D 0.82 0.02
SMCI F 11.62 0.02
HAS D 0.99 0.02
CPB D 1.87 0.02
HSIC B 1.78 0.02
AIZ A 0.41 0.02
MKTX D 0.02 0.02
PNW B -0.74 0.02
MGM D -0.55 0.02
GNRC B 3.03 0.02
ALLE D -0.02 0.02
AES F -1.58 0.02
PAYC B 1.45 0.02
LKQ D 1.64 0.02
JKHY D 0.00 0.02
EMN D 1.92 0.02
ALB C -0.55 0.02
IPG D 1.48 0.02
SOLV C 1.69 0.02
FOXA B 0.45 0.02
UHS D 0.17 0.02
CTLT B 2.21 0.02
NWSA B -0.17 0.02
SJM D -0.52 0.02
POOL C 0.58 0.02
NCLH B 0.37 0.02
CHRW C -0.86 0.02
TAP C -0.18 0.02
FFIV B 1.10 0.02
NDSN B 1.83 0.02
NWS B -0.16 0.01
PARA C -1.89 0.01
QRVO F 2.03 0.01
FOX A 0.57 0.01
BEN C 1.10 0.01
WBA F 4.34 0.01
HII D 1.87 0.01
FMC D 0.70 0.01
FRT B 0.40 0.01
MHK D 0.93 0.01
CE F -0.40 0.01

Recent News for Global X S&P 500 & its Holdings

Date Stock Title
Nov 23 NVDA The Top S&P 500 Stock of 2024 (So Far) Isn't Nvidia. Here's Where History Says the Soaring Stock Is Headed in 2025.
Nov 23 NFLX The Top S&P 500 Stock of 2024 (So Far) Isn't Nvidia. Here's Where History Says the Soaring Stock Is Headed in 2025.
Nov 23 NVDA Could Buying Archer Aviation Stock Today Set You Up for Life?
Nov 23 NVDA Meet the Newest Stock-Split Stock in the Dow Jones. It Has Soared 910% Since Early Last Year, and It's Still a Buy Right Now, According to Wall Street
Nov 23 TSLA Tesla, Rivian reach 'conditional' settlement in technology theft lawsuit: report
Nov 23 NVDA Missed Out on Investing in Nvidia? Here's 1 Artificial Intelligence (AI) Chip Stock to Buy on the Dip
Nov 23 SMCI Prediction: This Company Will Be the Biggest Beneficiary of Super Micro Computer's Problems
Nov 23 AMD Can Anything Stop Nvidia?
Nov 23 NVDA Can Anything Stop Nvidia?
Nov 23 TSLA ‘First buddy’ Elon Musk is a source of insight into Trump for TikTok’s CEO as key deadline looms, report says
Nov 23 TECH "I Knew If I Bought a Sink": What Does Elon Musk's Cryptic Tweet Mean?
Nov 23 GOOG Support Holds Firm Ahead of Holiday Week – The Market Breadth
Nov 23 NVDA Will Nvidia's Blackwell AI chips deliver?
Nov 23 WMT Over 70% of S&P 500 companies that reported earnings this week beat estimates-Earnings Scorecard
Nov 23 CPRT Over 70% of S&P 500 companies that reported earnings this week beat estimates-Earnings Scorecard
Nov 23 NVDA Over 70% of S&P 500 companies that reported earnings this week beat estimates-Earnings Scorecard
Nov 23 CRWD Over 70% of S&P 500 companies that reported earnings this week beat estimates-Earnings Scorecard
Nov 23 TSLA Tesla Cybertruck Part Of Donald Trump's Motorcade, Will Vehicle Land Government Deals?
Nov 23 TSLA Musk Tweet Sparks Dogecoin Surge, Fuels Speculation On X Payments
Nov 23 SMCI Super Micro Computer up 78% this week; What has changed since auditor exit?
Global X Funds - Global X S&P 500 Risk Managed Income ETF is an exchange traded fund launched and managed by Global X Management Company LLC. The fund invests in the public equity markets of the United States. It takes long and short positions to invest directly and through derivatives such as options in stocks of companies operating across diversified sectors. The fund invests in growth and value stocks of large-cap companies. It seeks to track the performance of the Cboe S&P 500 Risk Managed Income Index, by using full replication technique. Global X Funds - Global X S&P 500 Risk Managed Income ETF was formed on August 25, 2021 and is domiciled in the United States.
Exchange Traded Funds SPDR Synthetic Replication Chicago Board Options Exchange
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