
GLOBAL X MSCI SUPERDIVIDEND EMERGING MARKETS ETF ETF · US37950E1192 (ARCX) Global X Management — real-time prices and quotes, company data, dividends, fundamentals, and AI-powered portfolio analysis on MoneyPeak
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Latest AI Analyses of GLOBAL X MSCI SUPERDIVIDEND EMERGING MARKETS ETF
No Price
Asset Allocation
| Asset | Percentage % |
|---|---|
| Equity | 77,13 % |
| Other | 1,97 % |
Largest Positions
Updated on 18.05.2026 20:36:16
| Symbol | ISIN | CUSIP | Name | Shares | Market Value | Percentage % |
|---|---|---|---|---|---|---|
| 3481.TW | TW0003481008 | INNOLUX CORP | 1,8 M IDX | 2,06 M EUR | 4,52 % | |
| VBBR3.SA | BRVBBRACNOR1 | VIBRA ENERGIA SA | 230.116 | 1,5 M EUR | 3,30 % | |
| 0857.HK | CNE1000003W8 | Y6883Q104 | PETROCHINA CO LTD-H | 914.900 | 1,27 M EUR | 2,79 % |
| CPLE3.SA | BRCPLEACNOR8 | COMPANHIA PARANAENSE DE ENER | 404.900 | 1,19 M EUR | 2,60 % | |
| 000651.SZ | CNE0000001D4 | GREE ELECTRIC APPLIANCES I-A | 194.500 | 1,15 M EUR | 2,52 % | |
| PTTEP-R.BK | TH0355010R16 | PTT EXPLOR & PROD PCL-NVDR | 245.100 | 1,13 M EUR | 2,47 % | |
| ABG.JO | ZAE000255915 | 000012442 | ABSA GROUP LTD | 79.526 | 1,1 M EUR | 2,41 % |
| ABEV3.SA | BRABEVACNOR1 | AMBEV SA | 345.800 | 1,07 M EUR | 2,35 % | |
| 600066.SS | CNE000000PY4 | YUTONG BUS CO LTD-A | 218.900 | 1,05 M EUR | 2,31 % | |
| PEO.WA | PLPEKAO00016 | BANK PEKAO SA | 15.302 | 972.061,44 EUR | 2,13 % |
Country Distribution
| Country | Percentage % |
|---|---|
| Brazil | 21,75 % |
| China | 18,53 % |
| Taiwan | 8,67 % |
| Other | 7,07 % |
| Indonesia | 5,30 % |
| Poland | 3,80 % |
| Hong Kong | 3,26 % |
| Thailand | 2,47 % |
| South Africa | 2,41 % |
| Insel Man | 1,80 % |
Sector Distribution
| Sector | Percentage % |
|---|---|
| Financial Services | 22,93 % |
| Industrials | 12,95 % |
| Utilities | 8,17 % |
| Other | 7,07 % |
| Consumer Cyclical | 5,82 % |
| Energy | 5,26 % |
| Technology | 4,52 % |
| Communication Services | 3,69 % |
| Real Estate | 3,20 % |
| Consumer Defensive | 2,35 % |
Industry Distribution
| Industry | Percentage % |
|---|---|
| Banks - Regional | 13,69 % |
| Other | 7,07 % |
| Marine Shipping | 5,99 % |
| Banks - Diversified | 5,54 % |
| Diversified Utilities | 4,52 % |
| Hardware, Equipment & Parts | 4,52 % |
| Telecommunications Services | 3,69 % |
| Specialty Retail | 3,30 % |
| Oil & Gas Integrated | 2,79 % |
| Furnishings, Fixtures & Appliances | 2,52 % |
Currency Distribution
| Currency | Percentage % |
|---|---|
| EUR | 30,22 % |
| BRL | 21,77 % |
| TWD | 8,67 % |
| IDR | 5,30 % |
| CNY | 4,83 % |
| PLN | 3,80 % |
| Unknown | 1,97 % |
| AED | 1,40 % |
| INR | 1,14 % |
Fund Master Data
Issuer Global X Management
Asset Class ETF
Name Global X MSCI SuperDividend Emerging Markets ETF
Fund Currency USD
Fund Key Figures
Fund Size 65.253,21 EUR
Investment Strategy
The investment seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the MSCI Emerging Markets Top 50 Dividend Index. The fund invests at least 80% of its total assets in the securities of the underlying index and in American Depositary Receipts (ADRs) and Global Depositary Receipts (GDRs) based on the securities in the underlying index. The underlying index tracks the performance of 50 equally-weighted companies that rank among the highest dividend yielding equity securities in emerging markets, as defined by MSCI.
Updated on 22.08.2021 00:00:00
Company Data
Name GLOBAL X MSCI SUPERDIVIDEND EMERGING MARKETS ETF
Primary Exchange
NYSE
ISIN US37950E1192
Asset Class ETF
Currency USD
Stock Splits
| Date | Split |
|---|---|
| 20.12.2022 | 1:3 |