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Global X Gold Yield ETF

HGY

Annualized Distribution Yield

As at March 11, 2025

5.94%

Reasons to Consider HGY

"Pure" Gold Exposure

HGY offers investors exposure to the price of gold bullion, providing a hedge against economic uncertainty and potential currency fluctuations as well as reducing the market risk.

High-Income Potential

HGY looks to generate income through covered call writing, which historically produces higher yields in periods of volatility.* Higher volatility in gold prices can likely increase call option premiums.

*Covered call writing can limit the upside potential of the underlying security.

Monthly Distributions

Designed to provide a consistent monthly income with an opportunity for growth.

Investment Objective

HGY seeks to provide Unitholders with: (i) exposure to the price of gold bullion hedged to the Canadian dollar, less HGY’s fees and expenses; (ii) tax-efficient monthly distributions; and (iii) in order to mitigate downside risk and generate income, exposure to a covered call option writing strategy.

NAV

$12.13

$0.1286

1.07%

Volume

5,318

Price

$12.13

$0.12

1.00%

Last Close

$12.01

Annualized Distribution Yield

5.94%

Prices delayed by 15 minutes.

Last Trade: March 12, 2025
Alternatives
Commodities
Metals
Commodities
Enhanced Income

Risk Rating:

Medium

Product Details

Fund Details

Ticker

HGY

CUSIP

379950108

Inception Date

December 17, 2010

Net Assets

$90,825,207 As at March 11, 2025

Consolidated Prior Day Volume

20,176

Average Daily Trading Volume Over a 12 Month Period

31,317

Exchange

Toronto Stock Exchange

Investment Manager

Global X Investments Canada Inc.

Eligibility

All Registered and Non-Registered Investment Accounts

Management Fee

0.60% (Plus applicable sales tax)

Management Expense Ratio

0.88% As at June 30, 2024

Trading Expense Ratio

0.09% As at June 30, 2024

Currency

CAD

Currency Hedging

Seeks to hedge the U.S. dollar value of its portfolio to the Canadian dollar at all times

LEI

549300VSHW17EYWBPR76

Distribution Metrics

As at February 28, 2025

Most Recent Distributions per Unit

$0.06000

12-Month Trailing Yield

5.22%

Distribution Frequency

Monthly

Record Date

February 28, 2025

Price and NAV

As at March 11, 2025

NAV / Unit

$12.13

Closing Price

$12.13

Premium Discount Percentage

0.02%

Outstanding Shares

7,489,381

Portfolio Investment Metrics

As at February 28, 2025

Average OTM % When Written

6.06

Percentage of Options OTM by Month End

32.67

Standard Deviation

0.80

The NAV chart above only shows the historical daily net asset value per unit (NAV) of the ETF, and identifies the various distributions made by the ETF, if any. The distributions are not treated as reinvested, and it does not take into account sales, redemption, distribution or optional charges or income taxes payable by any security holder. The NAV values do contemplate management fees and other fund expenses. The chart is not a performance chart and is not indicative of future NAV values which will vary.

The Growth of 10K chart above is based on the historical daily net asset value per unit (NAV) of the ETF, and represents the value of an initial investment into the ETF of $10,000 since its inception, on a total return basis. Distributions, if any, are treated as reinvested, and it does not take into account sales, redemption, distribution or optional charges or income taxes payable by any security holder. The NAV values do contemplate management fees and other fund expenses where paid by the fund. The chart is not a performance chart and is not indicative of future value which will vary.

Annualized Performance (%)

dates

1 mo 3 mo 6 mo YTD 1 yr 3 yr 5 yr 10 yr SIR*
Global X Gold Yield ETF 1.15 5.52 10.51 6.47 29.60 10.60 9.28 5.67 2.22

*Fund performance since inception on December 17, 2010, as at February 28, 2025

Calendar Year Performance (%)

dates

2017 2018 2019 2020 2021 2022 2023 2024
Global X Gold Yield ETF 8.54 -3.70 13.45 19.19 -4.43 -1.28 9.58 21.31

Distributions

Ex-Dividend Date Record Date Payment Date Payment Amount Distribution Period
February 28, 2025 February 28, 2025 March 7, 2025 0.06000 Monthly
January 31, 2025 January 31, 2025 February 7, 2025 0.06000 Monthly

Top Holdings

As at March 11, 2025

Security Name

Weight

SPDR Gold MiniShares Trust ETF (GLDM)

100.21%

US DOLLAR

0.13%

CASH

0.07%

Market value of options

-0.41%

Holdings are subject to change.

Commissions, management fees, and expenses all may be associated with an investment in products (the "Global X Funds") managed by Global X Investments Canada Inc. The Global X Funds are not guaranteed, their values change frequently and past performance may not be repeated. Certain Global X Funds may have exposure to leveraged investment techniques that magnify gains and losses which may result in greater volatility in value and could be subject to aggressive investment risk and price volatility risk. Such risks are described in the prospectus. The Global X Money Market Funds are not covered by the Canada Deposit Insurance Corporation, the Federal Deposit Insurance Corporation, or any other government deposit insurer. There can be no assurances that the money market fund will be able to maintain its net asset value per security at a constant amount or that the full amount of your investment in the Funds will be returned to you. Past performance may not be repeated. The prospectus contains important detailed information about the Global X Funds. Please read the relevant prospectus before investing.

Global X Investments Canada Inc. ("Global X") is a wholly-owned subsidiary of Mirae Asset Global Investments Co., Ltd. ("Mirae Asset"), the Korea-based asset management entity of Mirae Asset Financial Group. Global X is a corporation existing under the laws of Canada and is the manager, investment manager and trustee of the Global X Funds.

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