Global X Funds (QRMI)

Perusahaan Manajemen · XNAS · Seri S000072535 · Lihat di SEC EDGAR ↗

$15,68
Per 10 Maret 2026
▲ +0,02 (+0,12%)
Perubahan 1 hari
$15,54 $16,92
Rentang 52 minggu
Aset bersih
$16.3M
Kepemilikan
105
Per tanggal
30 April 2026 usang
Bobot 10 kepemilikan teratas
48,27%
Jumlah posisi efektif
29,2
Posisi di atas 1%
24
Di halaman ini

QRMI Grafik Harga Saham OHLCV harian dengan indikator teknis — geser, perbesar, dan sesuaikan tampilan Anda

Performa per 10 Maret 2026

Periode Imbal hasil harga Imbal hasil total
1M ▼ -1,35%
3M ▼ -2,03%
6M ▼ -1,13%
YTD ▼ -2,09%
1Y ▼ -6,50%
3Y
5Y
Maks sejak 27 Feb. 2024 ▼ -9,35%
Volatilitas 1T
8,12%
Volatilitas 3Y
Penurunan Maksimum 3Y
Beta 3Y
Sharpe 1Y*
-0,80

Pengembalian total ditampilkan setelah riwayat dividen untuk dana ini dikumpulkan — pengembalian harga saja akan menduplikasinya secara menyesatkan. Pengembalian tidak dibandingkan dengan indeks. * Rasio Sharpe dihitung dengan suku bunga bebas risiko 0%.

Aliran dana (dilaporkan SEC)

Bulan lalu (Apr 2026)
+$159K
Kuartal berakhir Apr 2026
+$160K
12 bulan terakhir
-$2.1M

Mei 2025 – Apr 2026

Based on the fund's own SEC Form N-PORT monthly flow disclosures (Item C.9 "Flow Information") — sales minus redemptions, reinvested distributions excluded. This is a different, independent metric from the "Net flows" estimate above (which is derived from daily shares-outstanding changes). SEC N-PORT filing lag is up to ~60 days; the most recent month/quarter may not yet be fully reflected.

Komposisi Penuh 105 saham

NamaCUSIP Nilai % Saldo Kategori Negara
NVIDIA CORPORATION 67066G104 $1.4M 8,84 7.200 EC US
APPLE INC. $1.2M 7,26 4.350 EC US
MICROSOFT CORPORATION 594918104 $897K 5,52 2.200 EC US
AMAZON.COM, INC. $843K 5,18 3.180 EC US
ALPHABET INC. 02079K305 $663K 4,08 1.724 EC US
ALPHABET INC. 02079K107 $615K 3,78 1.611 EC US
BROADCOM INC. 11135F101 $586K 3,60 1.404 EC US
TESLA, INC. 88160R101 $564K 3,47 1.478 EC US
META PLATFORMS, INC. 30303M102 $535K 3,29 874 EC US
WALMART INC. 931142103 $527K 3,24 3.996 EC US
MICRON TECHNOLOGY, INC. 595112103 $476K 2,93 920 EC US
ADVANCED MICRO DEVICES, INC. $473K 2,91 1.333 EC US
INTEL CORPORATION 458140100 $386K 2,37 4.082 EC US
COSTCO WHOLESALE CORPORATION 22160K105 $368K 2,27 363 EC US
NETFLIX, INC. 64110L106 $323K 1,99 3.451 EC US
CISCO SYSTEMS, INC. 17275R102 $295K 1,82 3.228 EC US
LAM RESEARCH CORPORATION 512807306 $263K 1,62 1.021 EC US
PALANTIR TECHNOLOGIES INC. 69608A108 $261K 1,60 1.873 EC US
APPLIED MATERIALS, INC. $256K 1,57 649 EC US
TEXAS INSTRUMENTS INCORPORATED 882508104 $208K 1,28 741 EC US
LINDE PUBLIC LIMITED COMPANY G54950103 $190K 1,17 379 EC US
KLA CORPORATION 482480100 $187K 1,15 107 EC US
Pepsico, Inc. 713448108 $177K 1,09 1.116 EC US
T-MOBILE US, INC. 872590104 $176K 1,08 900 EC US
ANALOG DEVICES, INC. $161K 0,99 399 EC US
QUALCOMM INCORPORATED 747525103 $156K 0,96 871 EC US
AMGEN INC. $152K 0,94 440 EC US
INTUITIVE SURGICAL, INC. 46120E602 $133K 0,82 290 EC US
GILEAD SCIENCES, INC. 375558103 $133K 0,82 1.014 EC US
SANDISK CORPORATION 80004C200 $132K 0,81 120 EC US
SHOPIFY INC. 82509L107 $121K 0,75 1.001 EC US
WESTERN DIGITAL CORPORATION 958102105 $120K 0,74 277 EC US
SEAGATE TECHNOLOGY HOLDINGS PUBLIC LIMITED COMPANY G7997R103 $120K 0,74 178 EC US
PALO ALTO NETWORKS, INC. 697435105 $119K 0,73 666 EC US
MARVELL TECHNOLOGY, INC. 573874104 $117K 0,72 711 EC US
APPLOVIN CORPORATION 03831W108 $112K 0,69 251 EC US
HONEYWELL INTERNATIONAL INCORPORATION 438516106 $111K 0,68 519 EC US
BOOKING HOLDINGS INC. 09857L108 $109K 0,67 646 EC US
ASML Holding N.V. N07059210 $104K 0,64 72 EC US
STARBUCKS CORPORATION 855244109 $98K 0,60 929 EC US
CONSTELLATION ENERGY CORPORATION. 21037T109 $92K 0,57 295 EC US
CROWDSTRIKE HOLDINGS, INC. 22788C105 $92K 0,56 206 EC US
VERTEX PHARMACEUTICALS INCORPORATED 92532F100 $88K 0,54 207 EC US
INTUIT INC. 461202103 $88K 0,54 226 EC US
ADOBE INC. 00724F101 $82K 0,50 332 EC US
COMCAST CORPORATION 20030N101 $79K 0,49 2.926 EC US
MARRIOTT INTERNATIONAL, INC. 571903202 $78K 0,48 216 EC US
SYNOPSYS, INC. 871607107 $75K 0,46 156 EC US
CADENCE DESIGN SYSTEMS, INC. 127387108 $74K 0,46 225 EC US
MercadoLibre, Inc. 58733R102 $73K 0,45 41 EC US
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Rincian sektor

Technology
40,3%
Communication Services
14,5%
Retail
7,1%
Consumer Discretionary
5,6%
Healthcare
3,4%
Industrials
3,3%
Consumer Staples
2,4%
Communications
1,8%
Materials
1,2%
Telecommunication
1,1%
Utilities
1,1%
Energy
0,6%
Financial Services
0,2%
Real Estate
0,1%
Lainnya/Tidak terpetakan
17,3%

Pemilik institusional (13F) 13 pengaju

Institusi yang melaporkan kepemilikan ETF ini dalam Formulir SEC 13F triwulanan mereka. Hanya posisi long; satu pengaju dapat muncul dua kali untuk leg opsi terpisah. Kaki put/call offset yang besar biasanya mencerminkan pembuatan pasar atau inventaris yang dilindungi, bukan keyakinan arah.

Institusi Nilai % dari 13F yang dilacak Saham Tipe Per tanggal
SUSQUEHANNA INTERNATIONAL GROUP, LLP $948.134 42,55% 60.700 Saham 30 Juni 2026
Tactive Advisors, LLC $702.074 31,51% 44.947 Saham 30 Juni 2026
Snowden Capital Advisors LLC $223.548 10,03% 14.312 Saham 30 Juni 2026
JANE STREET GROUP, LLC $166.087 7,45% 10.633 Saham 30 Juni 2026
SBI Securities Co., Ltd. $58.309 2,62% 3.733 Saham 30 Juni 2026
BANK OF MONTREAL /CAN/ $41.393 1,86% 2.650 Saham 30 Juni 2026
ARMSTRONG ADVISORY GROUP, INC $31.116 1,40% 1.992 Saham 30 Juni 2026
Triumph Capital Management $22.305 1,00% 1.428 Saham 30 Juni 2026
Cape Investment Advisory, Inc. $21.321 0,96% 1.365 Saham 30 Juni 2026
OLIVER LAGORE VANVALIN INVESTMENT GROUP $12.147 0,55% 730 Saham 30 Juni 2025
LANARK FINANCIAL, INC. $1.562 0,07% 100 Saham 30 Juni 2026
MORGAN STANLEY $16 0,00% 1 Saham 30 Juni 2026
WELLS FARGO & COMPANY/MN $14 0,00% 1 Saham 30 Juni 2026

Dana sejawat

Lainnya dari penerbit ini

Dana AUM
PAVE Global X Funds $13.5B
AIQ Global X Funds $10.9B
QYLD Global X Funds $8.3B
SHLD Global X Funds $8.0B
URA Global X Funds $7.8B
COPX Global X Funds $7.4B
SIL Global X Funds $5.3B
BOTZ Global X Funds $3.7B
MLPX Global X Funds $3.5B
XYLD Global X Funds $3.1B

Serupa berdasarkan ukuran

Dana AUM
TBX ProShares Trust $16.3M
HFEQ Tidal Trust I $16.4M
ESIM Strategy Shares $16.5M
MILK Pacer Funds Trust $16.6M
ZTOP RBB Fund, Inc. $16.6M
QLVE FlexShares Trust $15.9M
TWOX iShares Trust $15.9M
MRGR ProShares Trust $15.9M
DECO SSGA Active Trust $15.8M
RMCA Tidal Trust III $15.7M