Global X Nasdaq 100 Covered Call Active ETF - Global X ETFs Hong Kong
1768141506

Global X Nasdaq 100 Covered Call Active ETF

3451 HKD
9451 USD

Invest in 3451 /9451

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 Nasdaq 100 Covered Call Active ETF (the “Fund”) is to generate income by primarily (i) investing in constituent equity securities in the NASDAQ-100 Index (the “Reference Index”); and (ii) selling (i.e. “writing”) call options on the Reference Index to receive payments of money from the purchaser of call options (i.e. “”premium”).
  • If the value of the securities relating to the Reference Index held by the Fund declines, the premium that the Fund received for writing the Reference Index Call Option may reduce such loss to some extent. However, the downside of adopting a covered call strategy is that the Fund’s opportunity to profit from an increase in the level of the Reference Index is limited to the strike price of the Reference Index Call Options written, plus the premium received.
  • The market value of an Reference Index Call Option may be affected by factors including supply and demand, interest rates. The Fund’s ability to utilise Reference Index Call Options successfully will depend on the ability of the Manager to correctly predict future price fluctuations. If an Reference Index Call Option expires and if there is a decline in the market value of the Reference Index during the option period, the premiums received by the Fund from writing the Reference Index Call Options may not be sufficient to offset the loss realised.
  • The Reference Index Call Options in the OTC markets may not be as liquid as exchange-listed options. The Fund may find the terms of counterparties in the OTC markets to be less favorable than the terms available for listed options.  Moreover, the exchange may suspend the trading of options in volatile markets which may cause the Fund unable to write Reference Index Call Options at times.
  • The use of futures contracts involves market risk, volatility risk, leverage risk and negative roll yields and “contango” risk.
  • The position of futures or options contracts held by the Manager may not in aggregate exceed the relevant maximum under relevant rules. If the position held or controlled by the Manager reaches the limit or the Fund grow significantly, the Manager will evaluate its position and consider closing out certain positions, which could restrict new share creation and cause the trading price to deviate from NAV.
  • Investing in Reference Index Futures and writing Reference Index Call Options generally involve the posting of margin. If the Fund is unable to meet its investment objective as a result of margin requirements imposed by the CME and/or the Fund’s broker, the Fund may experience significant losses.
  • The Fund employs an actively managed investment strategy. The Fund may fail to meet its objective as a result of the implementation of investment process which may cause the Fund to underperform as compared to direct investments in the constituent equity securities of the Reference Index.
  • The Fund is exposed to concentration risk by tracking the performance of securities in a specific regions or countries.
  • To the extent that the constituent securities of Reference Index are concentrated in securities of a particular sector or market, the investments of it may be similarly concentrated.
  • The Fund may be exposed to risks associated with different technology sectors and themes. A downturn in these sectors or themes may have adverse effects on the Fund.
  • 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 Nasdaq 100 Covered Call Active ETF? Key Info and Charts  Presentation 

  • Tax Advantage
    HK-listed ETFs offers tax advantage vs US listed counterparts for HK investors
  • Income
    Deliver appealing annualised income yield with monthly distribution plan (Monthly distribution is not guaranteed and maybe from capital just in case)
  • Protection
    Provide downside protection with option premium

Fund InformationAs of 8 Jan 2026

Fund Inception Date 29 Sep 2025
SEHK Listing Date 30 Sep 2025
Fiscal Year Ending 31 Mar
Ongoing Charges Over A Year ^ 0.75%
Distribution Frequency Monthly at the Manager’s discretion (Dividend rate is not guaranteed, distributions may be made out of capital #)
NAV Per Share USD $10.37
^ The Fund (Listed Class) adopts a single management fee structure, whereby a single flat fee will be paid out of the assets of the Fund to cover all of the costs, fees and expenses of the Fund. Click to learn more. # The Manager may at its absolute discretion declare distributions monthly to unitholders in each financial year and details of the distribution declaration dates, distribution amounts and ex-dividend payment dates will be published on the Manager’s website https://www.globalxetfs.com.hk/. Distributions may be made out of capital or income at the Manager’s discretion. There can be no assurance that a distribution will be paid and dividend rate is not guaranteed. Please refer to the prospectus of the fund to understand the distribution policy and other details.

Distributions #

Ex-date 16 January 2026
Pay Date 23 January 2026
Dividend Per Share (HKD) 0.81

Trading InformationAs of 8 Jan 2026

Exchange Hong Kong Exchange
Stock Code 3451
ISIN HK0001149449
Board Lot Size 50 Shares
Trading Currency HKD
Base Currency USD
Total Net Asset Value $105,060,941.16
Outstanding Units 1,300,000

ETF Summary

The investment objective of the Sub-Fund is to generate income by primarily (i) investing in constituent equity securities in the NASDAQ-100 Index (the “Reference Index”); and (ii) selling (i.e. “writing”) call options on the Reference Index to receive payments of money from the purchaser of call options (i.e. "premium”).


# The Manager may at its absolute discretion declare distributions monthly to unitholders in each financial year and details of the distribution declaration dates, distribution amounts and ex-dividend payment dates will be published on the Manager’s website https://www.globalxetfs.com.hk/. Distributions may be made out of capital or income at the Manager’s discretion. There can be no assurance that a distribution will be paid and there is no guarantee as to the actual frequency and/or amount of dividend payments. Please note that a positive distribution yield does not imply a positive return on the total investment. Investors should not base investment decisions on the above information alone. Please refer to the Prospectus(including Product Key Facts Statement) for details including the product features and the risk factors. Investment involves risks. Past performance is not indicative of future performance.

ETF Prices

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

Daily NAV per Share2As of 8 Jan 2026

NAV Change % Change
Official NAV per Share in USD $10.37 $-0.06 -0.55%
NAV per Share in HKD 3 $80.82 $-0.45 -0.55%

Performance

Cumulative Return Fund NAV (%)
1 Mth -
3 Mths -
6 Mths -
1 Yr -
YTD -
Since Inception -
Calendar Year Return Fund NAV (%)
2025 -
2024 -
2023 -
2022 -
2021 -
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 (Listed Class) launch date: 29 September 2025

Exposure As of 31 Dec 2025

    Weight (%)
Cash 38.3
Information Technology 32.5
Communication Services 10.0
Consumer Discretionary 8.2
Health Care 3.4
Consumer Staples 2.9
Industrials 2.6
Utilities 0.8
Materials 0.7
Energy 0.3
Financials 0.2
Real Estate 0.1
    Weight (%)
United States 59.8
Cash 38.3
Canada 0.9
Netherlands 0.5
China 0.2
United Kingdom 0.2
Spain 0.2

Option Details As of 8 Jan 2026

Total Net Asset Value of the Fund (in USD) USD 13,483,699.47
Closing level of NASDAQ-100 Index 25,507.10

Option Position Notional Exposure Notional Exposure
to NAV (%)
Strike Potential Upside
Before Strike
Expiration
Date
Calendar Days
to Expiry
Index Price
Short NASDAQ-100 INDEX 01 24,725 Call Option USD$-12,753,550.00 -94.58% 24,725 0% 01/16/2026 8 25,507

Daily HoldingsAs of 8 Jan 2026

Name of Securities Exchange Ticker Exchange Market Price (in USD) Number of Shares Held Market Value (in USD) Net Assets (%)
NVIDIA CORP NVDA US New York 185.04 4,203 777,723.12 5.77
APPLE INC AAPL US New York 259.04 2,560 663,142.40 4.92
MICROSOFT CORP MSFT US New York 478.11 1,287 615,327.57 4.56
AMAZON.COM INC AMZN US New York 246.29 1,847 454,897.63 3.37
TESLA INC TSLA US New York 435.8 766 333,822.80 2.48
ALPHABET INC-CL A GOOGL US New York 325.44 1,011 329,019.84 2.44
META PLATFORMS INC-CLASS A META US New York 646.06 508 328,198.48 2.43
ALPHABET INC-CL C GOOG US New York 326.01 939 306,123.39 2.27
BROADCOM INC AVGO US New York 332.48 818 271,968.64 2.02
COSTCO WHOLESALE CORP COST US New York 915.31 212 194,045.72 1.44
PALANTIR TECHNOLOGIES INC PLTR US New York 176.86 1,092 193,131.12 1.43
NETFLIX INC NFLX US New York 90.53 2,026 183,413.78 1.36
MICRON TECHNOLOGY INC MU US New York 327.02 538 175,936.76 1.30
ADVANCED MICRO DEVICES AMD US New York 204.68 784 160,469.12 1.19
CISCO SYSTEMS INC CSCO US New York 73.96 1,907 141,041.72 1.05
LAM RESEARCH CORP LRCX US New York 200.96 601 120,776.96 0.90
T-MOBILE US INC TMUS US New York 197.91 544 107,663.04 0.80
APPLIED MATERIALS INC AMAT US New York 281.64 381 107,304.84 0.80
INTUITIVE SURGICAL INC ISRG US New York 585.08 172 100,633.76 0.75
LINDE PLC LIN US New York 439.69 223 98,050.87 0.73
SHOPIFY INC - CLASS A SHOP US New York 168.28 579 97,434.12 0.72
INTEL CORP INTC US New York 41.11 2,317 95,251.87 0.71
QUALCOMM INC QCOM US New York 181.87 518 94,208.66 0.70
PEPSICO INC PEP US New York 139.37 672 93,656.64 0.69
APPLOVIN CORP-CLASS A APP US New York 616.53 147 90,629.91 0.67
INTUIT INC INTU US New York 652.75 134 87,468.50 0.65
AMGEN INC AMGN US New York 330.11 264 87,149.04 0.65
TEXAS INSTRUMENTS INC TXN US New York 188.45 440 82,918.00 0.61
KLA CORP KLAC US New York 1324.6 62 82,125.20 0.61
BOOKING HOLDINGS INC BKNG US New York 5445 15 81,675.00 0.61
GILEAD SCIENCES INC GILD US New York 120.67 606 73,126.02 0.54
ANALOG DEVICES INC ADI US New York 299.16 236 70,601.76 0.52
ADOBE INC ADBE US New York 339.04 204 69,164.16 0.51
HONEYWELL INTERNATIONAL INC HON US New York 205.24 313 64,240.12 0.48
PALO ALTO NETWORKS INC PANW US New York 190.8 336 64,108.80 0.48
VERTEX PHARMACEUTICALS INC VRTX US New York 469.68 125 58,710.00 0.44
NASDAQ 100 E-MINI 03/20/26 NQH6 New York 25687.5 8 56,524.00 0.42
CROWDSTRIKE HOLDINGS INC CRWD US New York 463.87 121 56,128.27 0.42
AUTOMATIC DATA PROCESSING ADP US New York 265.67 201 53,399.67 0.40
COMCAST CORP-CLASS A CMCSA US New York 28.21 1,779 50,185.59 0.37
MERCADOLIBRE INC MELI US New York 2179.8 23 50,135.40 0.37
ASML HOLDING NV-NY REG SHS ASML US New York 1194.32 42 50,161.44 0.37
CONSTELLATION ENERGY CEG US New York 322.54 149 48,058.46 0.36
SYNOPSYS INC SNPS US New York 514.49 90 46,304.10 0.34
STARBUCKS CORP SBUX US New York 88.18 514 45,324.52 0.34
MARRIOTT INTERNATIONAL -CL A MAR US New York 324.91 133 43,213.03 0.32
DOORDASH INC DASH US New York 224.1 190 42,579.00 0.32
CADENCE DESIGN SYS INC CDNS US New York 318.8 132 42,081.60 0.31
REGENERON PHARMACEUTICALS REGN US New York 801.01 51 40,851.51 0.30
PDD HOLDINGS INC PDD US New York 121.6 307 37,331.20 0.28
O'REILLY AUTOMOTIVE INC ORLY US New York 91.63 417 38,209.71 0.28
CINTAS CORP CTAS US New York 190.26 194 36,910.44 0.27
WARNER BROS DISCOVERY INC WBD US New York 28.32 1,238 35,060.16 0.26
MONSTER BEVERAGE CORP MNST US New York 76.6 455 34,853.00 0.26
MONDELEZ INTERNATIONAL INC MDLZ US New York 53.99 620 33,473.80 0.25
MARVELL TECHNOLOGY INC MRVL US New York 83.45 408 34,047.60 0.25
CSX CORP CSX US New York 35.32 907 32,035.24 0.24
PACCAR INC PCAR US New York 118.2 254 30,022.80 0.22
WESTERN DIGITAL CORP WDC US New York 187.68 159 29,841.12 0.22
NXP SEMICONDUCTORS NV NXPI US New York 237.89 124 29,498.36 0.22
ROSS STORES INC ROST US New York 189.27 149 28,201.23 0.21
AMERICAN ELECTRIC POWER AEP US New York 115.93 245 28,402.85 0.21
AIRBNB INC-CLASS A ABNB US New York 138.66 208 28,841.28 0.21
SEAGATE TECHNOLOGY HOLDINGS STX US New York 284.47 99 28,162.53 0.21
IDEXX LABORATORIES INC IDXX US New York 712.39 39 27,783.21 0.21
THOMSON REUTERS CORP TRI US New York 129.38 215 27,816.70 0.21
FORTINET INC FTNT US New York 78.05 344 26,849.20 0.20
AUTODESK INC ADSK US New York 276.58 96 26,551.68 0.20
ALNYLAM PHARMACEUTICALS INC ALNY US New York 399.4 64 25,561.60 0.19
PAYPAL HOLDINGS INC PYPL US New York 58.27 433 25,230.91 0.19
ASTRAZENECA PLC-SPONS ADR AZN US New York 94.01 268 25,194.68 0.19
FERROVIAL SE FER US New York 67.46 357 24,083.22 0.18
BAKER HUGHES BKR US New York 50.2 491 24,648.20 0.18
ELECTRONIC ARTS INC EA US New York 204.22 114 23,281.08 0.17
FASTENAL FAST US New York 41.8 519 21,694.20 0.16
DIAMONDBACK ENERGY INC FANG US New York 147.66 147 21,706.02 0.16
MONOLITHIC POWER SYSTEMS INC MPWR US New York 959.09 23 22,059.07 0.16
STRATEGY INC MSTR US New York 166.97 133 22,207.01 0.16
AXON ENTERPRISE INC AXON US New York 612.98 35 21,454.30 0.16
TAKE-TWO INTERACTIVE SOFTWRE TTWO US New York 252.38 84 21,199.92 0.16
ROPER TECHNOLOGIES INC ROP US New York 434.47 49 21,289.03 0.16
XCEL ENERGY INC XEL US New York 73.38 267 19,592.46 0.15
EXELON CORP EXC US New York 43.45 459 19,943.55 0.15
WORKDAY INC-CLASS A WDAY US New York 209.79 99 20,769.21 0.15
COGNIZANT TECH SOLUTIONS CTSH US New York 85.77 220 18,869.40 0.14
GE HEALTHCARE TECHNOLOGY GEHC US New York 88.16 214 18,866.24 0.14
PAYCHEX INC PAYX US New York 114.25 165 18,851.25 0.14
DATADOG INC - CLASS A DDOG US New York 130.68 144 18,817.92 0.14
COCA-COLA EUROPACIFIC PARTNE CCEP US New York 88.14 211 18,597.54 0.14
INSMED INC INSM US New York 170.27 102 17,367.54 0.13
COPART INC CPRT US New York 39.04 449 17,528.96 0.13
MICROCHIP TECHNOLOGY INC MCHP US New York 73.53 243 17,867.79 0.13
KEURIG DR PEPPER INC KDP US New York 27.61 617 17,035.37 0.13
OLD DOMINION FREIGHT LINE ODFL US New York 171.07 95 16,251.65 0.12
ZSCALER INC ZS US New York 220.32 68 14,981.76 0.11
VERISK ANALYTICS INC VRSK US New York 222.85 64 14,262.40 0.11
CHARTER COMMUNICATIONS INC CHTR US New York 209.71 63 13,211.73 0.10
KRAFT HEINZ CO/THE KHC US New York 23.43 529 12,394.47 0.09
DEXCOM INC DXCM US New York 68.43 179 12,248.97 0.09
COSTAR GROUP INC CSGP US New York 61.36 189 11,597.04 0.09
ATLASSIAN CORP-CL A TEAM US New York 149.43 76 11,356.68 0.08
ARM HOLDINGS PLC-ADR ARM US New York 113.08 65 7,350.20 0.05
VERSANT MEDIA GROUP INC VSNT US New York 33.69 71 2,391.99 0.02
CALL NASDAQ-100 INDEX 01/16/26 24725 NDX 01/16/26 C24725 New York 1036.2 -5 -518,100.00 -3.84
Source: Mirae Asset, Bloomberg
Holdings are subject to change. Cash, where shown, includes other assets and liabilities, such as payables and receivables.

Performance Simulator

Hover over the chart points for details
• The graph only shows simulated returns of the Fund and the NASDAQ-100 Index based on different NASDAQ-100 Index levels. The purpose of the graph is to illustrate the estimated capped upside of the Fund.
• The simulated returns do not necessarily reflect the realized return of the Fund and the NASDAQ-100 Index in the future.

Market Makers 4

Mirae Asset Securities Co., Ltd.

Eclipse Options (HK) Limited

Jane Street Asia Trading Limited

Participating Dealers 5

China Merchants Securities (HK) Co., Limited

Mirae Asset Securities (HK) Limited

Haitong International Securities Company Limited

ABN AMRO Clearing Hong Kong Limited

Korea Investment & Securities Asia Limited

Back to Top

You’re now leaving Global X Hong Kong website


Clicking "Confirm" below will take you to an independent site. Information and services provided on this independent site are not reviewed by, guaranteed by, or Global X Hong Kong. This independent site's terms and conditions, privacy and security policies, or other legal information may be different from those of Global X Hong Kong’s site. Global X Hong Kong is not liable for any direct or indirect technical or system issues, consequences, or damages arising from your use of this independent website.



CancelConfirm

This website is intended for Hong Kong investors only. Your use of this website means you agree to our Terms of use. This website is strictly for informational purposes only and does not constitute a representation that any investment strategy is suitable or appropriate for an investor’s individual circumstances. In 2018, Global X was acquired by Mirae Asset Global Investments and Mirae Asset Global Investments Co., Ltd. is the parent company of Mirae Asset Global Investments (Hong Kong) Limited.

The information contained in this website is for information purposes only and does not, constitute any recommendations, offer or solicitation to buy, sell or subscribe to any securities or financial instruments in any jurisdiction. Investment involves risk. It cannot be guaranteed that the performance of the Product will generate a return and there may be circumstances where no return is generated or the amount invested is lost. Past performance is not indicative of future performance.

Before making any investment decision to invest in the Product, investors should read the Product’s prospectus for details and the risk factors. Investors should ensure they fully understand the risks associated with the Product and should also consider their own investment objective and risk tolerance level. Investors are advised to seek independent professional advice before making any investments.

Certain information contained in this website is compiled from third party sources. Whilst Mirae Asset Global Investments (Hong Kong) Limited (“Mirae Asset HK”), the Manager of the Product, has, to the best of its endeavor, ensured that such, information is accurate, complete and up-to-date, and has taken care in accurately reproducing the information. Mirae Asset HK accepts no liability for, any loss or damage of any kind resulting out of the unauthorized use of this website.

The Products are not sponsored, endorsed, issued, sold or promoted by their index providers. For details of an index provider including any disclaimer, please refer to the relevant Product’s offering documents.

The contents of this website is prepared and maintained by Mirae Asset Global Investments (Hong Kong) Limited and has not been reviewed by the Securities and Futures Commission of Hong Kong.