Global X India Sector Leader Active ETF - Global X ETFs Hong Kong
1757931621

Global X India Sector Leader Active ETF

3084 HKD
9084 USD

Invest in 3084 /9084

Important Information

Investors should not base investment decisions on this material alone. Please refer to the Prospectus for details including the product features and the risk factors. Investment involves risks. Past performance is not indicative of future performance. There is no guarantee of the repayment of the principal. Investors should note:

  • The investment objective of Global X India Sector Leader Active ETF (the “Fund”) is to achieve long term capital growth by primarily investing in equities of exchange-listed companies globally, which fall within the investment theme of artificial intelligence and innovative technologies as detailed below.
  • The Fund does not seek to track any index or benchmark, it may fail to meet its objective as a result of the Manager’s selection of investment, and/or the implementation of processes which may cause the Sub-Fund to underperform as compared to other index tracking funds with a similar objective.
  • The Fund is exposed to concentration risk by tracking a single region or country.
  • The Fund is a FPI registered with the SEBI. SEBI’s rules and limits on FPI shareholding in some Indian companies can change and may affect the Fund’s performance. SEBI may also cancel the Fund’s FPI registration under certain conditions. If this happens, the Fund may not be able to invest in, hold, or sell Indian securities. The Fund might need to sell all its Indian holdings quickly, possibly at a big loss.
  • The base currency of the Fund is USD but the trading currency of the Fund is in HKD. The NAV of the Fund and its performance may be affected by fluctuations in the exchange rates between these currencies and the base currency and by changes in exchange rate controls.
  • Investment in Emerging Market, such as Indian market, may involve increased risks and special considerations not typically associated with investments in more developed markets, such as liquidity risk, currency risks, political risk, legal and taxation risks, and the likelihood of a high degree of volatility.
  • The taxation of income and capital gains in India is subject to the fiscal law of India. The tax rate in respect of capital gains derived by a FPI on transfer of securities will vary depending upon various factors. Any increased tax liabilities on the Fund may adversely affect the Net Asset Value of the Fund. Any shortfall between the provision and the actual tax liabilities, which will be debited from the assets of the Fund, will adversely affect its Net Asset Value. For details, please refer to the section headed “Taxation in India” in the Prospectus.
  • The trading price of the Fund’s unit on the SEHK is driven by secondary market trading factors, which may lead to a substantial premium or discount to the Fund’s net asset value.
  • The Manager may at its discretion pay dividends out of the capital of the Fund. Distributions paid out of capital, represent a return of an investor’s original investment or its gains and may potentially reduce the Fund’s Net Asset Value per Share as well as the capital available for future investment.
  • The Fund may suffer from a losses or delays when recovering the securities lent out. This may potentially affect its ability to meet payment and redemption obligations. Collateral shortfalls due to inaccurate pricing or change of value of securities lent, may cause significant losses to the Fund.

Why Global X India Sector Leader Active ETF? Product Flyer 

  • India is one of the fastest growing economies in the world and is expected to become the third largest economy by CY27
  • Investment upcycle, export market share gain in both services and goods, superior demographics and rising middle class provide compelling growth opportunities
  • The India Sector Leader Active ETF is a high conviction strategy that focuses on existing and emerging industry leaders within the Indian equity markets

Fund InformationAs of 12 Sep 2025

Fund Inception Date 25 Nov 2024
SEHK Listing Date 26 Nov 2024
Fiscal Year Ending 31 Mar
Ongoing Charges Over A Year 0.90%
Distribution Frequency Annually (usually in May of each year) at the Manager’s discretion. *
NAV Per Share USD $6.95

Trading InformationAs of 12 Sep 2025

Exchange Hong Kong Stock Exchange
Stock Code 3084
ISIN HK0001025045
Board Lot Size 50 Units
Trading Currency HKD
Base Currency USD
Total Net Asset Value $77,930,397.93
Outstanding Units 1,441,428

ETF Summary

The Fund’s investment objective is to achieve long term capital growth by primarily investing in equities and equity-related securities of sector leading companies domiciled in or exercising a large portion of their economic activity in India.

ETF Prices

* Market prices are provided on a 15-minute delayed basis by ICE Data Services. (See terms and conditions)

Daily NAV per Unit2As of 12 Sep 2025

NAV Change % Change
Official NAV per Unit in USD $6.95 $0.02 0.25%
NAV per Unit in HKD 3 $54.07 $0.13 0.25%

Performance As of 12 Sep 2025

Cumulative Return Fund NAV (%)
1 Mth 1.75
3 Mths -1.30
6 Mths 12.28
1 Yr -
YTD -0.27
Since Inception -3.73
Calendar Year Return Fund NAV (%)
2024 -
2023 -
2022 -
2021 -
2020 -
^ Since listing date to the end of the calendar year.
Source: Mirae Asset Global Investments (Hong Kong) Limited.
• Past performance information is not indicative of future performance. Investors may not get back the full amount invested.
• The computation basis of the performance is based on the calendar year end, NAV-to-NAV, with dividend reinvested.
• These figures show by how much the Fund increased or decreased in value during the calendar year shown.
• Performance data has been calculated in USD including ongoing charges and excluding trading costs on HKEx you might have to pay.
• Where no past performance is shown there was insufficient data available in that year to provide performance.
• Fund inception date: 25 November 2024

Exposure As of 29 Aug 2025

    Weight (%)
Financials 24.8
Consumer Discretionary 21.3
Industrials 15.2
Information Technology 7.7
Health Care 6.1
Energy 5.7
Consumer Staples 5.6
Communication Services 3.8
Utilities 3.5
Materials 2.9
Cash 1.9
Real Estate 1.5
    Weight (%)
India 98.1
Cash 1.9

Holdings Overview As of 12 Sep 2025

Total Net Asset Value (in HKD) Total Net Asset Value (in USD) Number of Securities Securities (%) Cash and Cash Equivalent (%)
77,930,397.93 10,013,542.94 34 96.97 3.03

Daily HoldingsAs of 12 Sep 2025

Name of Securities Exchange Ticker Exchange Market Price (in USD) Number of Shares Held Market Value (in USD) Net Assets (%)
ICICI BANK ICICIBC IN India 16.06 46,168 741,444.49 7.40
HDFC BANK LIMITED HDFCB IN India 10.96 66,430 727,911.67 7.27
RELIANCE INDUSTRIES RELIANCE IN India 15.80 32,459 512,935.30 5.12
ETERNAL ETERNAL IN India 3.64 103,538 376,963.14 3.76
BHARTI AIRTEL BHARTI IN India 21.55 17,349 373,916.97 3.73
POWER GRID CORP OF INDIA PWGR IN India 3.26 110,228 359,177.85 3.59
INFOSYS INFO IN India 17.28 20,645 356,786.82 3.56
APOLLO HOSPITALS ENTERPRISE APHS IN India 89.20 3,876 345,748.25 3.45
MAKEMYTRIP MMYT US New York 97.81 3,272 320,034.32 3.20
SBI LIFE INSURANCE SBILIFE IN India 20.73 14,588 302,445.79 3.02
TRENT TRENT IN India 58.11 5,177 300,849.14 3.00
PIDILITE INDUSTRIES PIDI IN India 34.88 8,202 286,067.55 2.86
MAHINDRA & MAHINDRA MM IN India 40.67 6,999 284,624.04 2.84
GE VERNOVA T&D INDIA GVTD IN India 31.58 8,857 279,745.95 2.79
TITAN TTAN IN India 40.46 6,767 273,809.62 2.73
CG POWER AND INDUSTRIAL SOLU CGPOWER IN India 8.90 30,746 273,547.51 2.73
INDIAN HOTELS IH IN India 8.81 29,286 258,003.38 2.58
INTERGLOBE AVIATION INDIGO IN India 64.88 3,830 248,494.69 2.48
AXIS BANK AXSB IN India 12.52 19,521 244,419.29 2.44
PB FINTECH POLICYBZ IN India 20.43 11,605 237,130.15 2.37
ABB INDIA ABB IN India 59.46 3,798 225,814.42 2.26
KOTAK MAHINDRA BANK KMB IN India 22.34 9,796 218,864.33 2.19
HCL TECHNOLOGIES HCLT IN India 16.62 13,183 219,107.28 2.19
FORTIS HEALTHCARE FORH IN India 10.99 19,522 214,510.86 2.14
GODREJ CONSUMER PRODUCTS GCPL IN India 14.16 14,707 208,201.14 2.08
TATA CONSULTANCY SVCS TCS IN India 35.50 5,642 200,263.67 2.00
HAVELLS INDIA HAVL IN India 17.81 11,156 198,737.59 1.98
VARUN BEVERAGES VBL IN India 5.32 34,755 184,962.44 1.85
SIEMENS ENERGY INDIA ENRIN IN India 38.36 4,638 177,918.96 1.78
WESTLIFE FOODWORLD WESTLIFE IN India 8.44 20,691 174,677.39 1.74
SIEMENS SIEM IN India 36.27 4,535 164,494.68 1.64
NESTLE INDIA NEST IN India 13.79 11,439 157,777.82 1.58
PHOENIX MILLS PHNX IN India 17.67 8,810 155,697.48 1.55
TATA MOTORS TTMT IN India 8.10 12,965 105,046.99 1.05
Source: Mirae Asset, Bloomberg
Holdings are subject to change. Cash, where shown, includes other assets and liabilities, such as payables and receivables.

Market Makers 4

Mirae Asset Securities Co., Limited

Flow Traders Hong Kong Limited

Participating Dealers 5

Mirae Asset Securities (HK) Limited

Haitong International Securities Company Limited

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