XYLD


S&P 500 Covered Call ETF

Morningstar Rating™ - Overall rating out of 77 Derivative Income funds, based on risk-adjusted returns as of 02/28/2025

Reasons to Consider XYLD

High Income Potential

XYLD seeks to generate income through covered call writing, which historically produces higher yields in periods of volatility.1

Monthly Distributions

XYLD has made monthly distributions 11 years running.

Efficient Options Execution

XYLD writes call options on the S&P 500 Index, saving investors the time and potential expense of doing so individually.

1Covered call writing can limit the upside potential of the underlying security

Key Information As of 03/13/25

Inception Date 06/21/13
Total Expense Ratio 0.60%
Net Assets $3.02 billion
NAV $38.99
Fact Sheet View the document

ETF Summary

The Global X S&P 500 Covered Call ETF (XYLD) follows a “covered call” or “buy-write” strategy, in which the Fund buys the stocks in the S&P 500 Index and “writes” or “sells” corresponding call options on the same index.

ETF Objective

The Global X S&P 500 Covered Call ETF (XYLD) seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the Cboe S&P 500 BuyWrite Index.

Trading Details As of 03/13/25

Ticker XYLD
Bloomberg Index Ticker BXM
CUSIP 37954Y475
ISIN US37954Y4750
Primary Exchange NYSE Arca
Shares Outstanding 77,400,000
Number of Holdings 504
30-Day Median Bid-Ask Spread 0.02%

Distributions As of 03/13/25

30-Day SEC Yield 0.70%
Trailing 12-Month Distribution (%) 1 12.86%
Distribution Rate 2 8.78%
Distribution Frequency Monthly

1The distribution as a percentage an investor would have received if they had held the fund over the last twelve months, assuming the most recent NAV. The Trailing 12-Month Distribution (%) is calculated by summing any income, capital gains and return of capital distributions over the past twelve months and dividing by the sum of the most recent NAV and any capital gain distributions made over the same period. The distribution is estimated to include a return of capital. For information on the breakdown of the distributions, please see the “19a Notice” here. These do not imply rates for any future distributions.

2The annual rate an investor would receive if the most recent fund distribution remained the same going forward. The rate represents a single distribution from the fund and does not represent total return of the fund. The distribution rate is calculated by annualizing the most recent distribution and dividing by the most recent fund NAV. The distribution is estimated to include a return of capital. For information on the breakdown of the distributions, please see the “19a Notice” here. These do not imply rates for any future distributions.

ETF Prices As of 03/13/25

NAV $38.99 Daily Change -$0.55 -1.39%
Market Price $39.02 Daily Change -$0.50 -1.27%

Performance History

As of recent
(12/31/24)
As of recent
(12/31/24)
Fund NAV Market Price Index
1 Year 19.23% 19.48% 20.12%
3 Years 5.20% 5.29% 5.99%
5 Years 6.72% 6.80% 7.50%
10 Years 7.14% 7.16% 7.60%
Since Inception 7.99% 8.06% 8.40%
1 Year 17.12% 17.08% 17.69%
3 Years 6.89% 6.85% 7.70%
5 Years 8.95% 8.97% 9.75%
10 Years 7.18% 7.15% 7.67%
Since Inception 8.02% 8.07% 8.43%
Year-to-Date 19.23% 19.48% 20.12%
1 Month 2.16% 2.27% 2.22%
3 Months 5.60% 5.72% 5.78%
Since Inception 142.78% 144.64% 153.70%
Year-to-Date 1.51% 1.39% 1.63%
1 Month -0.64% -0.59% -0.56%
3 Months 3.70% 3.69% 3.89%
Since Inception 146.45% 148.03% 157.84%

The Fund’s investment objective and investment strategies changed effective December 15, 2017 and again on August 21, 2020. Hybrid index performance (noted as "Index" above in the chart) reflects the performance of the S&P 500 Stock Covered Call Index through December 14, 2017, the Cboe S&P 500 2% OTM BuyWrite Index through August 20, 2020, and the Cboe S&P 500 BuyWrite Index thereafter. The Fund was also re-organized effective December 24, 2018. Fund returns (NAV & Closing Price) presented above reflect the performance of the predecessor Fund through December 21, 2018.

Performance is shown on a total return basis (i.e., with gross income reinvested, where applicable). Cumulative return is the aggregate amount that an investment has gained or lost over time. Annualized return is the average return gained or lost by an investment each year over a given time period.

The performance data quoted represents past performance. Past performance does not guarantee future results. The investment return and principal value of an investment will fluctuate so that an investor's shares, when sold or redeemed, may be worth more or less than their original cost and current performance may be lower or higher than the performance quoted. High short-term performance, when observed, is unusual and investors should not expect such performance to be repeated.

Options Details As of 03/13/25

S&P 500 Price 5,521.52

Upside Cap Details

Option Positions Notional Exposure Strike Upside Before Cap Expiration Date Calendar Days to Expiry
Short S&P 500 Call Option -$3,015,302,072 6085 10.21% 03/21/2025 8

Top Holdings As of 03/13/25

Net Assets (%) Ticker Name SEDOL Market Price ($) Shares Held Market Value ($)
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2.03 GOOGL ALPHABET INC-CL A BYVY8G0 162.76 376,325 61,250,657.00
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0.91 MA MASTERCARD INC - A B121557 519.83 52,708 27,399,199.64
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0.84 COST COSTCO WHOLESALE CORP 2701271 890.62 28,488 25,371,982.56
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0.45 GE GE AEROSPACE BL59CR9 192.42 70,402 13,546,752.84
0.43 PEP PEPSICO INC 2681511 148.34 87,948 13,046,206.32
0.43 ACN ACCENTURE PLC-CL A B4BNMY3 317.07 40,575 12,865,115.25
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0.40 T AT&T INC 2831811 26.09 459,264 11,982,197.76
0.40 VZ VERIZON COMMUNIC 2090571 43.71 273,887 11,971,600.77
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0.37 ISRG INTUITIVE SURGICAL INC 2871301 476.78 23,202 11,062,249.56
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0.35 ADBE ADOBE INC 2008154 377.84 28,196 10,653,576.64
0.35 PLTR PALANTIR TECHN-A BN78DQ4 79.62 133,148 10,601,243.76
0.35 PGR PROGRESSIVE CORP 2705024 279.40 37,456 10,465,206.40
0.35 INTU INTUIT INC 2459020 581.32 18,000 10,463,760.00
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0.35 AMD ADVANCED MICRO DEVICES 2007849 98.11 106,004 10,400,052.44
0.34 TXN TEXAS INSTRUMENTS INC 2885409 173.60 59,595 10,345,692.00
0.32 SPGI S&P GLOBAL INC BYV2325 479.85 20,315 9,748,152.75
0.32 NEE NEXTERA ENERGY INC 2328915 72.73 131,312 9,550,321.76
0.31 UBER UBER TECHNOLOGIES INC BK6N347 69.51 134,624 9,357,714.24
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0.15 ZTS ZOETIS INC B95WG16 160.06 29,126 4,661,907.56
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0.15 PNC PNC FINANCIAL SE 2692665 168.84 26,333 4,446,063.72
0.15 PYPL PAYPAL HOLDINGS INC BYW36M8 66.91 65,931 4,411,443.21
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0.15 CDNS CADENCE DESIGN SYS INC 2302232 241.56 18,250 4,408,470.00
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0.11 ABNB AIRBNB INC-CLASS A BMGYYH4 119.38 27,349 3,264,923.62
0.11 JCI JOHNSON CONTROLS BY7QL61 77.46 42,104 3,261,375.84
0.11 WDAY WORKDAY INC-CLASS A B8K6ZD1 237.22 13,730 3,257,030.60
0.11 SPG SIMON PROPERTY GROUP INC 2812452 159.48 20,393 3,252,275.64
0.11 NXPI NXP SEMICONDUCTORS NV B505PN7 201.02 16,047 3,225,767.94
0.11 AIG AMERICAN INTERNA 2027342 81.55 39,330 3,207,361.50
0.11 KMB KIMBERLY-CLARK CORP 2491839 140.14 22,619 3,169,826.66
0.11 RSG REPUBLIC SERVICES INC 2262530 229.28 13,782 3,159,936.96
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0.10 PAYX PAYCHEX INC 2674458 143.56 21,510 3,087,975.60
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0.10 D DOMINION ENERGY INC 2542049 54.09 55,837 3,020,223.33
0.10 DLR DIGITAL REALTY TRUST INC B03GQS4 144.72 20,449 2,959,379.28
0.10 EXC EXELON CORP 2670519 43.47 66,216 2,878,409.52
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0.09 FAST FASTENAL CO 2332262 73.69 38,143 2,810,757.67
0.09 KVUE KENVUE INC BQ84ZQ6 23.18 120,873 2,801,836.14
0.09 CMI CUMMINS INC 2240202 312.92 8,876 2,777,477.92
0.09 MPC MARATHON PETROLEUM CORP B3K3L40 137.02 20,189 2,766,296.78
0.09 YUM YUM! BRANDS INC 2098876 153.42 17,948 2,753,582.16
0.09 COR CENCORA INC 2795393 256.01 10,717 2,743,659.17
0.09 CTVA CORTEVA INC BK73B42 58.59 46,358 2,716,115.22
0.09 ROST ROSS STORES INC 2746711 123.30 21,985 2,710,750.50
0.09 VRSK VERISK ANALYTICS INC B4P9W92 289.05 9,374 2,709,554.70
0.09 BKR BAKER HUGHES CO BDHLTQ5 41.74 64,432 2,689,391.68
0.09 LHX L3HARRIS TECHNOLOGIES INC BK9DTN5 211.18 12,733 2,688,954.94
0.09 CCI CROWN CASTLE INC BTGQCX1 93.53 28,699 2,684,073.98
0.09 AME AMETEK INC 2089212 172.60 15,430 2,663,218.00
0.09 MSCI MSCI INC B2972D2 541.46 4,907 2,656,944.22
0.09 EW EDWARDS LIFESCIENCES CORP 2567116 67.95 39,083 2,655,689.85
0.09 VLO VALERO ENERGY CORP 2041364 125.80 21,109 2,655,512.20
0.09 OTIS OTIS WORLDWIDE CORP BK531S8 99.61 26,429 2,632,592.69
0.09 OTHER PAYABLE & RECEIVABLES 1.00 2,597,104 2,597,104.34
0.09 AXON AXON ENTERPRISE INC BDT5S35 534.56 4,851 2,593,150.56
0.09 HES HESS CORP 2023748 143.92 17,994 2,589,696.48
0.09 PEG PUB SERV ENTERP 2707677 79.74 32,474 2,589,476.76
0.09 GWW WW GRAINGER INC 2380863 953.54 2,700 2,574,558.00
0.09 DFS DISCOVER FINANCI B1YLC43 159.23 16,153 2,572,042.19
0.09 CTSH COGNIZANT TECH-A 2257019 78.34 32,815 2,570,727.10
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0.08 XEL XCEL ENERGY INC 2614807 68.10 36,794 2,505,487.43
0.08 URI UNITED RENTALS INC 2134781 594.17 4,212 2,502,644.04
0.08 F FORD MOTOR CO 2615468 9.53 261,641 2,493,438.73
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0.08 FICO FAIR ISAAC CORP 2330299 1,743.54 1,406 2,451,417.24
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0.08 SYY SYSCO CORP 2868165 72.66 32,944 2,393,711.04
0.08 IT GARTNER INC 2372763 452.06 5,262 2,378,739.72
0.08 GEHC GE HEALTHCARE TECHNOLOGY BL6JPG8 81.45 28,992 2,361,398.40
0.08 ED CONSOLIDATED EDISON INC 2216850 104.57 22,477 2,350,419.89
0.08 FIS FIDELITY NATIONA 2769796 69.75 33,557 2,340,600.75
0.08 KDP KEURIG DR PEPPER INC BD3W133 33.11 70,579 2,336,870.69
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0.08 ETR ENTERGY CORP 2317087 82.84 28,004 2,319,851.36
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0.07 HIG HARTFORD INSURANCE GROUP 2476193 116.50 18,894 2,201,151.00
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0.07 ACGL ARCH CAPITAL GROUP LTD 2740542 90.41 24,253 2,192,713.73
0.07 TTWO TAKE-TWO INTERAC 2122117 203.63 10,649 2,168,455.87
0.07 WEC WEC ENERGY GROUP INC BYY8XK8 105.11 20,579 2,163,058.69
0.07 CHTR CHARTER COMMUN-A BZ6VT82 345.40 6,219 2,148,042.60
0.07 WTW WILLIS TOWERS WATSON PLC BDB6Q21 319.10 6,633 2,116,590.30
0.07 A AGILENT TECHNOLOGIES INC 2520153 117.33 18,018 2,114,051.94
0.07 IR INGERSOLL-RAND INC BL5GZ82 80.00 26,255 2,100,400.00
0.07 EBAY EBAY INC 2293819 63.96 32,780 2,096,608.80
0.07 DD DUPONT DE NEMOURS INC BK0VN47 74.91 27,957 2,094,258.87
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0.07 IDXX IDEXX LABORATORIES INC 2459202 406.29 5,097 2,070,860.13
0.07 EA ELECTRONIC ARTS INC 2310194 137.72 15,030 2,069,931.60
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0.06 DELL DELL TECHNOLOGIES -C BHKD3S6 92.45 19,545 1,806,935.25
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0.02 MOS MOSAIC CO/THE B3NPHP6 25.06 24,326 609,609.56
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0.02 HSIC HENRY SCHEIN INC 2416962 69.81 8,655 604,205.55
0.02 ALB ALBEMARLE CORP 2046853 72.00 8,381 603,390.10
0.02 IPG INTERPUBLIC GRP 2466321 26.09 23,014 600,435.26
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0.02 WBA WALGREENS BOOTS BTN1Y44 11.26 52,303 588,931.78
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0.02 PARA PARAMOUNT GLOBAL-CLASS B BKTNTR9 11.64 45,835 533,519.40
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0.02 CZR CAESARS ENTERTAINMENT INC BMWWGB0 26.63 17,360 462,296.80
0.02 CPB THE CAMPBELL'S COMPANY 2162845 38.47 11,878 456,946.66
0.02 TFX TELEFLEX INC 2881407 136.28 3,243 441,956.04
0.01 APA APA CORP BNNF1C1 19.04 22,833 434,740.32
0.01 BWA BORGWARNER INC 2111955 27.78 15,232 423,144.96
0.01 MTCH MATCH GROUP INC BK80XH9 30.08 13,868 417,149.44
0.01 GNRC GENERAC HOLDINGS INC B6197Q2 127.74 3,250 415,155.00
0.01 MHK MOHAWK INDUSTRIES INC 2598699 110.92 3,734 414,175.28
0.01 CE CELANESE CORP B05MZT4 53.09 7,425 394,193.25
0.01 FOX FOX CORP - CLASS B BJJMGY5 47.12 8,305 391,331.60
0.01 MKTX MARKETAXESS HOLDINGS INC B03Q9D0 212.01 1,796 380,769.96
0.01 FMC FMC CORP 2328603 40.38 9,058 365,762.04
0.01 IVZ INVESCO LTD B28XP76 14.95 23,743 354,957.85
0.01 BEN FRANKLIN RESOURCES INC 2350684 18.92 18,680 353,425.60
0.01 DVA DAVITA INC 2898087 141.12 2,254 318,084.48
0.00 NWS NEWS CORP - CLASS B BBGVT51 30.10 3,164 95,236.40
0.00 SPX US 03/21/25 C6085 15.00 -5,461 -81,915.00
Holdings are subject to change. "Cash" denotes U.S. dollars.

ETF Characteristics As of 03/13/25

Return on Equity 20.80%
Weighted Avg. Market Cap 1,041,940 M
2024 2025
Price-to-earnings 22.93 20.26
Price-to-book value 4.54 3.93

Source: new windowAltaVista Research, LLC

ETF Risk Stats As of 02/28/25

Versus Beta
S&P 500 0.49
NASDAQ-100 0.37
MSCI EAFE 0.40
MSCI Emg. Mkts 0.26
Standard Deviation 9.60%

Source: new windowAltaVista Research, LLC

ETF Research

The Morningstar Rating™ for funds, or “star rating”, is calculated for managed products (including mutual funds, variable annuity and variable life subaccounts, exchange-traded funds, closed-end funds, and separate accounts) with at least a three-year history. Exchange-traded funds and open-ended mutual funds are considered a single population for comparative purposes. It is calculated based on a Morningstar Risk-Adjusted Return measure that accounts for variation in a managed product’s monthly excess performance, placing more emphasis on downward variations and rewarding consistent performance. The Morningstar Rating does not include any adjustment for sales load. The top 10% of products in each product category receive 5 stars, the next 22.5% receive 4 stars, the next 35% receive 3 stars, the next 22.5% receive 2 stars, and the bottom 10% receive 1 star. The Overall Morningstar Rating for a managed product is derived from a weighted average of the performance figures associated with its three-, five-, and 10-year (if applicable) Morningstar Rating metrics. The weights are: 100% three- year rating for 36-59 months of total returns, 60% five-year rating/40% three-year rating for 60-119 months of total returns, and 50% 10-year rating/30% five-year rating/20% three-year rating for 120 or more months of total returns. While the 10-year overall star rating formula seems to give the most weight to the 10-year period, the most recent three-year period actually has the greatest impact because it is included in all three rating periods.

As of 2/28, XYLD was rated against the following numbers of Derivative Income funds over the following time periods: 77 during the last 3 years, 66 during the last 5 years, 36 during the last 10 years. With respect to these Derivative Income funds, XYLD received a Morningstar Rating of 3, 3, 4 stars, respectively. Past performance is not indicative of future results.

© 2025 Morningstar, Inc. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) may not be copied or distributed; and (3) is not warranted to be accurate, complete, or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of this information. Past performance is no guarantee of future results.

Investing involves risk, including the possible loss of principal. Concentration in a particular industry or sector will subject XYLD to loss due to adverse occurrences that may affect that industry or sector. Investors in XYLD should be willing to accept a high degree of volatility in the price of the fund’s shares and the possibility of significant losses.

XYLD engages in options trading. An option is a contract sold by one party to another that gives the buyer the right, but not the obligation, to buy (call) or sell (put) a stock at an agreed upon price within a certain period or on a specific date. A covered call option involves holding a long position in a particular asset, in this case U.S. common equities, and writing a call option on that same asset with the goal of realizing additional income from the option premium. XYLD writes covered call index options on the S&P 500 Index. By selling covered call options, the fund limits its opportunity to profit from an increase in the price of the underlying index above the exercise price, but continues to bear the risk of a decline in the index. A liquid market may not exist for options held by the fund. While the fund receives premiums for writing the call options, the price it realizes from the exercise of an option could be substantially below the indices current market price.

Shares of ETFs are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Brokerage commissions will reduce returns. Beginning October 15, 2020, market price returns are based on the official closing price of an ETF share or, if the official closing price isn’t available, the midpoint between the national best bid and national best offer (“NBBO”) as of the time the ETF calculates current NAV per share. Prior to October 15, 2020, market price returns were based on the midpoint between the Bid and Ask price. NAVs are calculated using prices as of 4:00 PM Eastern Time. The returns shown do not represent the returns you would receive if you traded shares at other times. Indices are unmanaged and do not include the effect of fees, expenses or sales charges. One cannot invest directly in an index.

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

Global X Management Company LLC serves as an advisor to Global X Funds. The Funds are distributed by SEI Investments Distribution Co. (SIDCO), which is not affiliated with Global X Management Company LLC or Mirae Asset Global Investments. Global X Funds are not sponsored, endorsed, issued, sold or promoted by S&P or Cboe, nor do these entities make any representations regarding the advisability of investing in the Global X Funds. Neither SIDCO, Global X nor Mirae Asset Global Investments are affiliated with these entities.

XYLD traded under the ticker HSPX from inception until August 21, 2020.