Global X NASDAQ 100 Covered Call UCITS ETF Dis
QYLE.DE
#1500
ETF rank
NZ$1.02 B
Marketcap
๐Ÿ‡ช๐Ÿ‡บ EU
Market
NZ$28.60
Share price
-0.17%
Change (1 day)
N/A
Change (1 year)

Global X NASDAQ 100 Covered Call UCITS ETF Dis - Holdings

Number of holdings: 73

Full holdings list

Weight %NameTickerShares HeldCountry
4.73%MICROSOFT CORPMSFT31545516594918104
4.69%T-MOBILE US INCTMUS31315996872590104
4.69%APPLE INCAAPL31268243037833100
4.40%ELI LILLY & COLLY29331319532457108
4.35%WALMART INCWMT29017274931142103
4.32%JPMORGAN CHASE & COJPM2885262346625H100
4.16%GENERAL DYNAMICS CORPGD27780176369550108
4.12%MERCK & CO. INC.MRK2745730358933Y105
4.01%AT&T INCT2673220900206R102
3.62%CHUBB LTDCB24157550H1467J104
3.61%AMAZON.COM INCAMZN24062777023135106
3.05%SCHWAB (CHARLES) CORPSCHW20359033808513105
2.97%TESLA INCTSLA1984118588160R101
2.77%CHEVRON CORPCVX18458100166764100
2.43%DOORDASH INC - ADASH1620630025809K105
2.04%MOODY'S CORPMCO13603603615369105
1.92%AXON ENTERPRISE INCAXON1282501405464C101
1.77%FEDEX CORPFDX1181229831428X106
1.67%VERISK ANALYTICS INCVRSK1110757592345Y106
1.53%CITIZENS FINANCIAL GROUPCFG10204972174610105
1.52%GE AEROSPACEGE10114226369604301
1.33%MONSTER BEVERAGE CORPMNST889392861174X109
1.31%TERADYNE INCTER8751162880770102
1.28%PROGRESSIVE CORPPGR8569228743315103
1.25%GE VERNOVA INCGEV833089836828A101
1.11%BROADCOM INCAVGO742587611135F101
1.08%PFIZER INCPFE7234882717081103
1.01%TARGA RESOURCES CORPTRGP674883187612G101
0.96%JM SMUCKER CO/THESJM6370299832696405
0.95%BRISTOL-MYERS SQUIBB COBMY6321727110122108
0.88%QNITY ELECTRONICS INCQ590048074743L100
0.88%ZOETIS INCZTS586605698978V103
0.83%RTX CORPORATIONRTX552379275513E101
0.82%APPLOVIN CORP-CLASS AAPP549677103831W108
0.80%KRAFT HEINZ CO/THEKHC5356211500754106
0.78%GILEAD SCIENCES INCGILD5184215375558103
0.76%INTUITIVE SURGICAL INCISRG507449846120E602
0.75%ASTERA LABS INCALAB498442504626A103
0.75%CINTAS CORPCTAS4972405172908105
0.71%CENCORA INCCOR476135303073E105
0.70%MERCADOLIBRE INCMELI466184358733R102
0.68%UBER TECHNOLOGIES INCUBER456262190353T100
0.66%BERKSHIRE HATH-BBRK/B4410957084670702
0.60%WEC ENERGY GROUP INCWEC397247692939U106
0.58%VISA INC-CLASS A SHARESV387617092826C839
0.56%HARTFORD INSURANCE GROUPHIG3753211416515104
0.53%COLGATE-PALMOLIVE COCL3536961194162103
0.53%HOLOGIC INCHOLX3524714436440101
0.52%MSCI INCMSCI347231555354G100
0.51%AUTOZONE INCAZO3394522053332102
0.49%PALANTIR TECHN-APLTR327022569608A108
0.46%REPUBLIC SERVICES INCRSG3034667760759100
0.43%PUBLIC STORAGEPSA288954974460D109
0.42%IBMIBM2797942459200101
0.40%ROPER TECHNOLOGIES INCROP2637471776696106
0.37%WALT DISNEY CO/THEDIS2489923254687106
0.37%INTUIT INCINTU2455381461202103
0.36%EXXON MOBIL CORPXOM239594530231G102
0.35%SERVICENOW INCNOW234863581762P102
0.35%PROCTER & GAMBLE CO/THEPG2330058742718109
0.35%BOOZ ALLEN HAMILBAH2312814099502106
0.33%LPL FINANCIAL HOLPLA219675050212V100
0.32%EVERSOURCE ENERGYES215443330040W108
0.29%ROBINHOOD MARKETS INC - AHOOD1907073770700102
0.27%LEIDOS HOLDINGS INCLDOS1805988525327102
0.26%AUTODESK INCADSK1757313052769106
0.26%CARVANA COCVNA1719011146869102
0.15%VEEVA SYSTEMS INC-CLASS AVEEV975260922475108
0.13%ADVANCED MICRO DEVICESAMD892587007903107
0.13%ADOBE INCADBE83275500724F101
0.05%FORTINET INCFTNT34333434959E109
0.03%DYNATRACE INCDT197891268150109
0.01%AIRBNB INC-CLASS AABNB46620009066101