QDIV


S&P 500 Quality Dividend ETF

Reasons to Consider QDIV

Focus on Quality

QDIV invests in companies that score in the top 200 of the S&P 500 based on a variety of quality metrics including return-on-equity, accruals, and financial leverage.

High Income Potential

To qualify for QDIV, a company must score in the top 200 of the S&P 500 in dividend yield.

Monthly Distributions

QDIV has made monthly distributions 6 years running.

Key Information As of 04/23/25

Inception Date 07/13/18
Total Expense Ratio 0.20%
Net Assets $28.92 million
NAV $32.49
Fact Sheet View the document

ETF Summary

The Global X S&P 500 Quality Dividend ETF (QDIV) invests in U.S. equity securities included in the S&P 500 Index that rank within the top 200 of the index’s universe by both quality score and dividend yield.

ETF Objective

The Global X S&P 500 Quality Dividend ETF (QDIV) seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the S&P 500 Quality High Dividend Index.

Trading Details As of 04/23/25

Ticker QDIV
Bloomberg Index Ticker SPXQHDUT
CUSIP 37954Y616
ISIN US37954Y6169
Primary Exchange NYSE Arca
Shares Outstanding 890,002
Number of Holdings 61
30-Day Median Bid-Ask Spread 0.35%

Distributions As of 04/23/25

30-Day SEC Yield 2.88%
Trailing 12-Month Distribution (%) 1 3.13%
Distribution Rate 2 3.28%
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 04/23/25

NAV $32.49 Daily Change -$0.02 -0.06%
Market Price $32.53 Daily Change $0.00 0.00%

Performance History

As of recent month & quarter-end (03/31/25)
As of recent month & quarter-end (03/31/25)
Fund NAV Market Price Index
1 Year 4.24% 4.24% 4.50%
3 Years 4.40% 4.35% 4.66%
5 Years 17.10% 17.12% 17.42%
Since Inception 8.40% 8.42% 8.72%
1 Year 4.24% 4.24% 4.50%
3 Years 4.40% 4.35% 4.66%
5 Years 17.10% 17.12% 17.42%
Since Inception 8.40% 8.42% 8.72%
Year-to-Date 1.71% 1.79% 1.76%
1 Month -1.44% -1.30% -1.43%
3 Months 1.71% 1.79% 1.76%
Since Inception 72.00% 72.18% 75.36%
Year-to-Date 1.71% 1.79% 1.76%
1 Month -1.44% -1.30% -1.43%
3 Months 1.71% 1.79% 1.76%
Since Inception 72.00% 72.18% 75.36%

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.

Top Holdings As of 04/23/25

Net Assets (%) Ticker Name SEDOL Market Price ($) Shares Held Market Value ($)
2.17 HII HUNTINGTON INGAL B40SSC9 217.93 2,884 628,510.12
2.11 CME CME GROUP INC 2965839 261.48 2,336 610,817.28
2.03 JNJ JOHNSON & JOHNSON 2475833 155.38 3,784 587,957.92
2.01 MMM 3M CO 2595708 136.06 4,277 581,928.62
1.96 RTX RTX CORPORATION BM5M5Y3 120.28 4,718 567,481.04
1.96 ABBV ABBVIE INC B92SR70 177.05 3,205 567,445.25
1.95 PAYX PAYCHEX INC 2674458 143.22 3,940 564,286.80
1.95 MDT MEDTRONIC PLC BTN1Y11 83.75 6,736 564,140.00
1.94 GD GENERAL DYNAMICS CORP 2365161 265.73 2,107 559,893.11
1.92 CTRA COTERRA ENERGY INC 2162340 25.36 21,933 556,220.88
1.90 ADP AUTOMATIC DATA PROCESSING 2065308 293.54 1,868 548,332.72
1.88 EG EVEREST GROUP LTD 2556868 356.20 1,527 543,917.40
1.88 BAX BAXTER INTERNATIONAL INC 2085102 29.60 18,325 542,420.00
1.86 XOM EXXON MOBIL CORP 2326618 107.37 5,012 538,138.44
1.80 LMT LOCKHEED MARTIN CORP 2522096 463.55 1,121 519,639.55
1.79 UNP UNION PACIFIC CORP 2914734 219.78 2,359 518,461.02
1.78 PSA PUBLIC STORAGE 2852533 295.23 1,744 514,881.12
1.78 KO COCA-COLA CO/THE 2206657 73.30 7,007 513,613.10
1.77 KR KROGER CO 2497406 72.00 7,126 513,072.00
1.77 MPC MARATHON PETROLEUM CORP B3K3L40 134.30 3,816 512,488.80
1.76 DVN DEVON ENERGY CORP 2480677 31.08 16,397 509,618.76
1.71 COP CONOCOPHILLIPS 2685717 89.93 5,499 494,525.07
1.70 QCOM QUALCOMM INC 2714923 140.46 3,504 492,171.84
1.69 CINF CINCINNATI FINANCIAL CORP 2196888 134.05 3,649 489,148.45
1.69 EOG EOG RESOURCES INC 2318024 111.57 4,382 488,899.74
1.67 ITW ILLINOIS TOOL WORKS 2457552 236.70 2,037 482,157.90
1.66 MDLZ MONDELEZ INTER-A B8CKK03 67.38 7,141 481,160.58
1.66 HON HONEYWELL INTL 2020459 197.31 2,434 480,252.54
1.66 CMCSA COMCAST CORP-CLASS A 2044545 34.47 13,913 479,581.11
1.64 SNA SNAP-ON INC 2818740 304.55 1,561 475,402.55
1.64 BKR BAKER HUGHES CO BDHLTQ5 35.89 13,180 473,030.20
1.62 IP INTERNATIONAL PAPER CO 2465254 46.75 10,001 467,546.75
1.59 KVUE KENVUE INC BQ84ZQ6 22.94 20,017 459,189.98
1.58 PPG PPG INDUSTRIES INC 2698470 101.83 4,473 455,485.59
1.57 K KELLANOVA 2486813 82.85 5,490 454,846.50
1.57 TSN TYSON FOODS INC-CL A 2909730 62.03 7,311 453,501.33
1.56 CHRW CH ROBINSON 2116228 90.61 4,987 451,872.07
1.56 OMC OMNICOM GROUP 2279303 73.25 6,149 450,414.25
1.55 KMB KIMBERLY-CLARK CORP 2491839 133.40 3,367 449,157.80
1.54 EMN EASTMAN CHEMICAL CO 2298386 78.84 5,639 444,578.76
1.54 CL COLGATE-PALMOLIVE CO 2209106 93.89 4,732 444,287.48
1.48 MRK MERCK & CO. INC. 2778844 78.74 5,445 428,739.30
1.48 CMI CUMMINS INC 2240202 283.67 1,508 427,774.36
1.48 PG PROCTER & GAMBLE CO/THE 2704407 165.73 2,580 427,583.40
1.47 TAP MOLSON COORS-B B067BM3 58.70 7,240 424,988.00
1.47 LYB LYONDELLBASELL INDU-CL A B3SPXZ3 57.78 7,341 424,162.98
1.45 MKC MCCORMICK-N/V 2550161 76.60 5,489 420,457.40
1.45 UPS UNITED PARCEL-B 2517382 97.21 4,313 419,266.73
1.43 NKE NIKE INC -CL B 2640147 57.39 7,191 412,691.49
1.41 ADM ARCHER-DANIELS-MIDLAND CO 2047317 48.12 8,484 408,250.08
1.40 HSY HERSHEY CO/THE 2422806 166.60 2,428 404,504.80
1.39 TROW T ROWE PRICE GROUP INC 2702337 86.66 4,645 402,535.70
1.39 BBY BEST BUY CO INC 2094670 63.47 6,339 402,336.33
1.38 PEP PEPSICO INC 2681511 142.26 2,795 397,616.70
1.37 CAG CONAGRA BRANDS INC 2215460 25.22 15,678 395,399.16
1.36 DOW DOW INC BHXCF84 29.00 13,594 394,226.00
1.34 MCHP MICROCHIP TECHNOLOGY INC 2592174 41.93 9,268 388,607.24
1.31 GIS GENERAL MILLS INC 2367026 57.28 6,618 379,079.04
1.24 SWKS SKYWORKS SOLUTIONS INC 2961053 58.66 6,096 357,591.36
1.17 BF/B BROWN-FORMAN CORP-CLASS B 2146838 34.58 9,806 339,091.48
1.04 TGT TARGET CORP 2259101 92.15 3,278 302,067.70
0.06 OTHER PAYABLE & RECEIVABLES 1.00 18,217 18,217.23
0.05 CASH 1.00 14,756 14,755.55
Holdings are subject to change. "Cash" denotes U.S. dollars.

Exposure As of 03/31/25

Sector Weight (%)
Consumer Staples 25.2
Industrials 24.7
Energy 13.3
Health Care 9.5
Materials 8.1
Financials 6.9
Information Technology 4.5
Communication Services 3.2
Consumer Discretionary 3.0
Real Estate 1.7

Source: new windowAltaVista Research, LLC

All Sector, Industry and Geographic breakdowns, where provided, are based on equity positions held by the ETF and exclude cash, currencies, and other holdings.

ETF Characteristics As of 04/23/25

Return on Equity 17.60%
Weighted Avg. Market Cap 96,647 M
2024 2025
Price-to-earnings 14.79 14.02
Price-to-book value 2.59 2.37

Source: new windowAltaVista Research, LLC

ETF Risk Stats As of 03/31/25

Versus Beta
S&P 500 0.82
NASDAQ-100 0.49
MSCI EAFE 0.83
MSCI Emg. Mkts 0.60
Standard Deviation 16.70%

Source: new windowAltaVista Research, LLC

ETF Research

Investing involves risk, including the possible loss of principal. There is no guarantee dividends will be paid. Companies may reduce or eliminate dividends at any time.

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.

Since the Fund’s shares did not trade in the secondary market until several days after the Fund’s inception, for the period from inception to the first day of secondary market trading in Shares, the NAV of the Fund is used to calculate market returns.

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 Standard & Poors, nor does Standard & Poors 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 Standard & Poors.