EMM


Emerging Markets ex-China ETFActive

Reasons to Consider EMM

High Growth Potential

Dynamic growth potential across structural, cyclical, and turnaround opportunities in Emerging Markets outside of China.

Unlocking Opportunities on the Frontier

The strategy creates capacity to focus on smaller, sometimes overlooked markets, such as Greece, Mexico, and countries in Southeast Asia.

Active Management with ETF Efficiency

EMM delivers access to experienced stock picking across what we deem as the highest quality growth areas within emerging markets outside of China.

Key Information As of 05/05/25

Inception Date 09/24/10
Total Expense Ratio 0.76%
Net Assets $17.65 million
NAV $26.72
Standard Fact Sheet (Monthly) View the document
Expanded Fact Sheet (Quarterly) View the document

ETF Summary

The Global X Emerging Markets ex-China ETF (EMM) is an actively managed fund sub-advised in part by Mirae Asset Global Investments (Hong Kong) Limited. EMM seeks to invest in emerging market companies , excluding China, that we believe can achieve, or maintain, a dominant position within their respective market. As part of its investment strategy, EMM aims to identify early winners in growing industries, where entrepreneurship can produce long-term global competitiveness.

ETF Objective

The Global X Emerging Markets ex-China ETF (EMM) seeks to achieve long-term capital growth.

Trading Details As of 05/05/25

Ticker EMM
Bloomberg IOPV Ticker EMMIV
CUSIP 37960A636
ISIN US37960A6367
Primary Exchange NYSE Arca
Shares Outstanding 660,587
Number of Holdings 46
30-Day Median Bid-Ask Spread 0.88%

Distributions As of 05/05/25

30-Day SEC Yield -0.34%
Distribution Frequency Semi-Annually

Notice: Effective as of the close of business on May 12, 2023, the Fund acquired the assets and liabilities, and assumed the performance, financial and other historical information, of the Mirae Asset Discovery Emerging Markets Fund, a series of the Mirae Asset Discovery Funds.

ETF Prices As of 05/05/25

NAV $26.72 Daily Change $0.00 0.00%
Market Price $26.88 Daily Change $0.05 0.19%

Performance History

As of recent
(03/31/25)
As of recent
(03/31/25)
Fund NAV Market Price Previous Benchmark Current Benchmark
1 Year -6.88% -6.81% 8.09% -2.14%
3 Years -2.75% -2.75% 1.44% 0.74%
5 Years 6.24% 6.24% 7.94% 11.98%
10 Years 2.50% 2.50% 3.71% N/A
Since Inception 2.24% 2.24% 2.74% N/A
1 Year -1.03% -0.66% 9.02% 3.31%
3 Years 0.48% 0.48% 3.85% 4.22%
5 Years 5.23% 5.23% 6.35% 10.48%
10 Years 2.57% 2.57% 3.07% N/A
Since Inception 2.47% 2.47% 2.82% N/A
Year-to-Date -5.60% -4.75% 2.93% -1.72%
1 Month -0.28% 0.12% 0.63% 0.04%
3 Months -5.60% -4.75% 2.93% -1.72%
Since Inception 37.95% 37.96% 48.17% N/A
Year-to-Date -2.24% -1.36% 4.28% 2.08%
1 Month 3.56% 3.56% 1.31% 3.86%
3 Months -3.29% -2.24% 2.45% -0.05%
Since Inception 42.86% 42.87% 50.12% N/A

Effective May 12, 2023, the fund acquired the performance, financial, accounting and other historical information of the Mirae Asset Emerging Markets Fund. Performance shown prior to May 15, 2023 reflects the return of the Mirae Asset Emerging Markets Fund's I shares with a NAV conversion ratio of 0.40 applied in connection with the acquisition. Market price returns prior to that date reflects the predecessor fund’s NAV return.

From September 24, 2010 through March 29, 2024, the fund benchmark was the MSCI Emerging Markets Index. Effective April 1, 2024, and thereafter, the fund benchmark is the MSCI Emerging Markets ex China Index Net Total Return (NETR) Index. Performance information on this table includes both benchmarks denoted as "Previous" and "Current". Historical performance of the current benchmark on this table begins from March 09, 2017, onward.

Performance is shown on a total return basis (i.e., with gross income reinvested, where applicable). Cumulative return is the aggregate amount that an investment has gained or lost over time. Annualized return is the average return gained or lost by an investment each year over a given time period.

The performance data quoted represents past performance. Past performance does not guarantee future results. The investment return and principal value of an investment will fluctuate so that an investor's shares, when sold or redeemed, may be worth more or less than their original cost and current performance may be lower or higher than the performance quoted. High short-term performance, when observed, is unusual and investors should not expect such performance to be repeated.

Top Holdings As of 05/05/25

Net Assets (%) Ticker Name SEDOL Market Price ($) Shares Held Market Value ($)
29.81 NDIA GLOBAL X INDIA ACTIVE ETF BQC4S96 29.73 176,950 5,261,590.56
13.08 TSM TAIWAN SEMIC-ADR 2113382 176.40 13,094 2,309,781.60
7.32 BRAZ GLOBAL X BRAZIL BQC4SB8 22.59 57,230 1,292,797.09
3.79 2454 TT MEDIATEK INC 6372480 43.15 15,500 668,793.52
2.15 055550 KS SHINHAN FINANCIA 6397502 36.41 10,407 378,947.73
2.02 SMSN LI SAMSUNG ELECTR-GDR REG S 4942818 964.50 369 355,900.50
1.84 267260 KS HD HYUNDAI ELECTRIC CO BD4HFR9 229.71 1,416 325,274.16
1.82 CASH 1.00 321,552 321,551.74
1.77 RJHI AB AL RAJHI BANK B12LZH9 25.49 12,252 312,302.68
1.75 SNB AB THE SAUDI NATIONAL BANK BSHYYN1 9.24 33,385 308,436.28
1.70 ADNOCDRI UH ADNOC DRILLING CO PJSC BN12D39 1.37 218,792 300,216.90
1.56 1519 TT FORTUNE ELECTRIC CO LTD 6347604 15.34 18,000 276,180.32
1.48 SALIK UH SALIK CO PJSC BJN5952 1.42 184,181 260,748.21
1.38 BMRI IJ BANK MANDIRI 6651048 0.30 802,300 243,106.42
1.36 VESTA* MM VESTA SAB DE CV B8F6ZF8 2.75 87,400 240,325.48
1.34 000660 KS SK HYNIX INC 6450267 132.28 1,783 235,856.62
1.26 161890 KS KOLMAR KOREA CO LTD B8K27N3 53.77 4,131 222,106.25
1.26 CPI SJ CAPITEC BANK HOLDINGS LTD 6440859 184.12 1,204 221,679.38
1.24 WALMEX* MM WALMART DE MEXIC BW1YVH8 3.12 70,000 218,584.84
1.22 352820 KS HYBE CO LTD BNGCJ25 188.11 1,148 215,949.08
1.22 5274 TT ASPEED TECHNOLOGY INC B80VKP3 107.62 2,000 215,240.06
1.10 ALPHA GA ALPHA SERVICES A BZ1MXR7 2.53 76,625 193,762.97
1.06 ANTO LN ANTOFAGASTA PLC 0045614 22.65 8,262 187,123.06
1.02 2382 TT QUANTA COMPUTER INC 6141011 8.21 22,000 180,688.37
1.01 FPT VN FPT CORP B1HMWH6 4.18 42,500 177,827.01
1.01 GFNORTEO MM GRUPO F BANORT-O 2421041 8.26 21,500 177,587.24
1.00 DNP PW DINO POLSKA SA BD0YVN2 142.75 1,233 176,007.12
0.96 BUDGET AB UNITED INTERNATI B2493D0 18.88 8,947 168,896.84
0.96 192820 KS COSMAX INC BKF2806 124.10 1,360 168,778.89
0.95 BDO PM BDO UNIBANK INC B5VJH76 2.84 58,720 166,748.80
0.93 BBCA IJ BANK CENTRAL ASIA TBK PT B01C1P6 0.55 299,200 163,390.33
0.91 FSR SJ FIRSTRAND LTD 6606996 4.01 39,995 160,340.49
0.86 2317 TT HON HAI 6438564 4.75 32,000 151,934.16
0.86 3661 TT ALCHIP TECHNOLOGIES LTD B4TPSL0 75.80 2,000 151,600.97
0.76 AMRT IJ SUMBER ALFARIA T BCDBLJ9 0.13 1,016,100 134,779.31
0.76 CLS SJ CLICKS GROUP LTD 6105578 21.56 6,187 133,421.21
0.69 SAHOL TI HACI OMER SABANCI HOLDING B03N0C7 1.90 63,661 120,929.96
0.63 ALDAR UH ALDAR PROPERTIES PJSC B0LX3Y2 2.21 50,684 111,770.98
0.63 MYTIL GA METLEN ENERGY & METALS SA 5898664 47.83 2,324 111,157.34
0.56 BDMS-R TB BANGKOK DUS-NVDR B013SV4 0.73 136,412 99,043.65
0.51 NAHDI AB NAHDI MEDICAL CO BMZPZG4 30.24 2,967 89,710.12
0.49 VIST VISTA ENERGY SAB DE CV BJ84772 42.77 2,026 86,652.02
0.48 FNV FRANCO-NEVADA CORP B29VF02 167.98 500 83,990.00
0.47 005380 KS HYUNDAI MOTOR CO 6451055 134.70 610 82,166.28
0.37 GLOB GLOBANT SA BP40HF4 117.82 557 65,625.74
0.33 MELI MERCADOLIBRE INC B23X1H3 2,246.54 26 58,410.04
0.31 PNJ VN PHU NHUAN JEWELRY JSC B64FX58 2.73 20,000 54,555.96
0.06 MEXICAN PESO 0.05 193,243 9,858.31
0.02 OTHER PAYABLE & RECEIVABLES 1.00 2,872 2,872.40
0.00 EURO 1.13 0 0.09
0.00 KOREAN WON 0.00 0 0.00
0.00 INDONESIA RUPIAH 0.00 0 0.00
-0.01 SOUTH AFRICAN RAND 0.05 -26,380 -1,441.04
Holdings are subject to change. "Cash" denotes U.S. dollars.

Exposure As of 04/30/25

Sector Weight (%)
Information Technology 29.5
Financials 27.5
Consumer Staples 8.5
Industrials 8.5
Consumer Discretionary 6.9
Energy 6.4
Materials 4.2
Real Estate 3.0
Communication Services 2.5
Utilities 1.6
Health Care 1.4

Source: new windowAltaVista Research, LLC

Industry Weight (%)
Banks 22.8
Semiconductors & Semiconductor Equipment 19.6
Energy 7.0
Capital Goods 6.5
Software & Services 5.1
Materials 3.8
Transportation 2.9
Consumer Staples Distribution 2.8
Financial Services 2.6
Household & Personal Products 2.3
Insurance 2.2
Other 22.4

Source: new windowAltaVista Research, LLC

Country Weight (%)
India 30.2
Taiwan 23.1
South Korea 11.7
Brazil 6.1
Saudi Arabia 5.2
Mexico 3.9
Indonesia 3.2
South Africa 3.1
Uae 2.2
Greece 1.8
Vietnam 1.4
Other 8.1

Source: new windowAltaVista Research, LLC

All Sector, Industry and Geographic breakdowns, where provided, are based on equity positions held by the ETF and exclude cash, currencies, and other holdings.

ETF Characteristics As of 05/05/25

Return on Equity 17.80%
Weighted Avg. Market Cap 18,364 M
2024 2025
Price-to-earnings 16.80 13.64
Price-to-book value 2.58 2.30

Source: new windowAltaVista Research, LLC

ETF Risk Stats As of 04/30/25

Versus Beta
S&P 500 0.72
NASDAQ-100 0.67
MSCI EAFE 0.55
MSCI Emg. Mkts 0.88
Standard Deviation 13.90%

Source: new windowAltaVista Research, LLC

ETF Research

Investing involves risk, including the possible loss of principal. International investments may involve risk of capital loss from unfavorable fluctuation in currency values, from differences in generally accepted accounting principles, or from economic or political instability in other nations. Emerging markets involve heightened risks related to the same factors as well as increased volatility and lower trading volume. A small number of companies and industries may represent a large portion of the market in a particular country or region, and these companies and industries can be sensitive to adverse social, political, economic or regulatory developments in that country or region.

EMM is actively managed, which could increase its transaction costs (thereby lowering its performance) and could increase the amount of taxes you owe by generating short-term gains, which may be taxed at a higher rate.

Shares of ETFs are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Brokerage commissions will reduce returns. The market price returns are based on the official closing price of an ETF share or, if the official closing price isn’t available, the midpoint between the national best bid and national best offer (“NBBO”) as of the time the ETF calculates current NAV per share, and do not represent the returns you would receive if you traded shares at other times. NAVs are calculated using prices as of 4:00 PM Eastern Time. Indices are unmanaged and do not include the effect of fees, expenses or sales charges. One cannot invest directly in an index.

Carefully consider the Fund’s investment objectives, risks, and charges and expenses before investing. This and other information can be found in the Fund’s summary or full prospectuses. Please read the prospectus carefully before investing.

Global X Management Company LLC serves as an advisor to Global X Funds. The Funds are distributed by SEI Investments Distribution Co. (SIDCO), which is not affiliated with Global X Management Company LLC or Mirae Asset Global Investments. Global X Funds are not sponsored, endorsed, issued, sold or promoted by MSCI, nor does MSCI make any representations regarding the advisability of investing in the Global X Funds. Neither SIDCO, Global X nor Mirae Asset Global Investments are affiliated with MSCI.