EFAS


MSCI SuperDividend® EAFE ETF

Reasons to Consider EFAS

High Income Potential

EFAS accesses 50 of the highest dividend paying equities present in the MSCI EAFE Index.

Monthly Distributions

EFAS has made monthly distributions 8 years running.

International Exposure

Investing in international equities from Europe, Australasia, and the Far East can help diversify geographic, currency, and interest rate exposures.

Key Information As of 05/05/25

Inception Date 11/14/16
Total Expense Ratio 0.55%
Net Assets $11.69 million
NAV $16.70
Fact Sheet View the document

ETF Summary

The Global X MSCI SuperDividend® EAFE ETF (EFAS) invests in 50 of the highest dividend yielding equity securities from the MSCI EAFE Index, which includes securities from international developed markets across Europe, Australasia, and the Far East.

ETF Objective

The Global X MSCI SuperDividend® EAFE ETF (EFAS) seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the MSCI EAFE Top 50 Dividend Index.

Trading Details As of 05/05/25

Ticker EFAS
Bloomberg Index Ticker M1CXGXC
CUSIP 37954Y699
ISIN US37954Y6995
Primary Exchange Nasdaq
Shares Outstanding 700,000
Number of Holdings 50
30-Day Median Bid-Ask Spread 0.81%

Distributions As of 05/05/25

30-Day SEC Yield 4.35%
Trailing 12-Month Distribution (%) 1 5.86%
Distribution Rate 2 4.98%
Distribution Frequency Monthly

1The distribution as a percentage an investor would have received if they had held the fund over the last twelve months, assuming the most recent NAV. The Trailing 12-Month Distribution (%) is calculated by summing any income, capital gains and return of capital distributions over the past twelve months and dividing by the sum of the most recent NAV and any capital gain distributions made over the same period. The distribution is estimated to include a return of capital. For information on the breakdown of the distributions, please see the “19a Notice” here. These do not imply rates for any future distributions.

2The annual rate an investor would receive if the most recent fund distribution remained the same going forward. The rate represents a single distribution from the fund and does not represent total return of the fund. The distribution rate is calculated by annualizing the most recent distribution and dividing by the most recent fund NAV. The distribution is estimated to include a return of capital. For information on the breakdown of the distributions, please see the “19a Notice” here. These do not imply rates for any future distributions.

ETF Prices As of 05/05/25

NAV $16.70 Daily Change -$0.05 -0.30%
Market Price $16.84 Daily Change $0.01 0.06%

Performance History

As of recent
(03/31/25)
As of recent
(03/31/25)
Fund NAV Market Price Index
1 Year 14.91% 16.07% 15.35%
3 Years 7.19% 7.70% 7.61%
5 Years 14.52% 14.93% 15.09%
Since Inception 6.85% 6.87% 7.34%
1 Year 23.54% 24.64% 24.12%
3 Years 11.02% 11.61% 11.50%
5 Years 14.34% 14.52% 14.91%
Since Inception 7.55% 7.45% 8.04%
Year-to-Date 13.40% 15.43% 13.65%
1 Month 4.49% 6.52% 4.48%
3 Months 13.40% 15.43% 13.65%
Since Inception 74.24% 74.58% 81.08%
Year-to-Date 20.47% 21.46% 20.76%
1 Month 6.23% 5.22% 6.26%
3 Months 15.76% 17.09% 15.93%
Since Inception 85.10% 83.70% 92.42%

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 05/02/25

Net Assets (%) Ticker Name SEDOL Market Price ($) Shares Held Market Value ($)
3.04 IMB LN IMPERIAL BRANDS PLC 0454492 40.95 8,673 355,174.28
2.90 ACS SM ACS B01FLQ6 64.41 5,251 338,194.54
2.65 BAMI IM BANCO BPM SPA BYMD5K9 11.36 27,255 309,677.88
2.60 HKL SP HONGKONG LAND 6434915 4.91 61,900 303,929.00
2.51 PST IM POSTE ITALIANE SPA BYYN701 20.52 14,258 292,590.67
2.51 BATS LN BRIT AMER TOBACC 0287580 42.96 6,809 292,537.37
2.46 LI FP KLEPIERRE 7582556 37.15 7,738 287,498.40
2.43 G IM GENERALI 4056719 37.05 7,661 283,853.65
2.36 TEL NO TELENOR ASA 4732495 15.14 18,230 275,931.98
2.34 CABK SM CAIXABANK SA B283W97 7.82 34,976 273,579.30
2.29 9434 JP SOFTBANK CORP BF5M0K5 1.52 176,133 267,379.68
2.28 6823 HK HKT TRUST AND HKT LTD-SS B4TXDZ3 1.42 186,920 265,786.47
2.25 ORA FP ORANGE 5176177 14.41 18,256 263,074.19
2.25 DNB NO DNB BANK ASA BNG7113 25.27 10,372 262,087.69
2.23 ZURN SW ZURICH INSURANCE GROUP AG 5983816 711.73 366 260,491.89
2.23 ENGI FP ENGIE B0C2CQ3 20.60 12,610 259,703.67
2.15 SRG IM SNAM SPA 7251470 5.71 44,006 251,254.16
2.14 MB IM MEDIOBANCA SPA 4574813 20.70 12,054 249,554.72
2.11 SIA SP SINGAPORE AIRLINES LTD 6811734 5.24 46,900 245,639.02
2.08 1038 HK CKI HOLDINGS BYVS6J1 6.71 36,200 242,888.76
2.08 NN NA NN GROUP NV BNG8PQ9 61.67 3,935 242,654.90
2.08 CS FP AXA SA 7088429 45.68 5,302 242,200.10
2.07 ABN NA ABN AMRO BANK NV-CVA BYQP136 21.47 11,234 241,199.31
2.05 6 HK POWER ASSETS HOLDINGS LTD 6435327 6.63 36,173 239,673.75
2.04 TEF SM TELEFONICA SA 5732524 5.11 46,485 237,609.50
2.02 PHNX LN PHOENIX GROUP HO BGXQNP2 7.99 29,506 235,650.21
2.00 AGS BB AGEAS B86S2N0 63.04 3,706 233,631.62
1.97 AV/ LN AVIVA PLC BPQY8M8 7.56 30,438 230,239.48
1.89 FORTUM FH FORTUM OYJ 5579550 16.53 13,355 220,766.39
1.87 VOD LN VODAFONE GROUP PLC BH4HKS3 0.97 224,318 218,030.50
1.86 APA AU APA GROUP 6247306 5.32 40,748 216,891.87
1.83 ACA FP CREDIT AGRICOLE SA 7262610 18.76 11,396 213,841.81
1.81 NG/ LN NATIONAL GRID PLC BDR05C0 14.21 14,874 211,327.95
1.81 OMV AV OMV AG 4651459 51.48 4,105 211,321.77
1.76 MNG LN M&G PLC BKFB1C6 2.80 73,359 205,132.34
1.69 EDP PL EDP SA 4103596 3.66 53,682 196,704.21
1.68 BAS GR BASF SE 5086577 47.91 4,083 195,613.38
1.66 6178 JP JAPAN POST HOLDI BYT8143 9.42 20,618 194,224.42
1.63 83 HK SINO LAND CO 6810429 1.02 185,300 189,841.61
1.62 LGEN LN LEGAL & GENERAL GROUP PLC 0560399 3.17 59,843 189,580.43
1.58 AKRBP NO AKER BP ASA B1L95G3 21.44 8,623 184,908.86
1.58 VOW3 GR Volkswagen AG 5497168 109.73 1,684 184,792.38
1.56 MBG GR MERCEDES-BENZ GROUP AG 5529027 60.60 3,004 182,033.70
1.52 12 HK HENDERSON LAND D 6420538 2.86 61,833 177,120.48
1.51 EQNR NO EQUINOR ASA 7133608 23.15 7,598 175,919.38
1.45 OTHER PAYABLE & RECEIVABLES 1.00 169,382 169,382.45
1.42 FMG AU FORTESCUE LTD 6086253 10.57 15,663 165,626.51
1.24 ENI IM ENI SPA 7145056 14.39 10,026 144,260.96
1.20 REP SM REPSOL SA 5669354 12.24 11,413 139,746.25
1.19 NESTE FH NESTE OYJ B06YV46 10.61 13,112 139,113.19
0.78 STLAM IM STELLANTIS NV BMD8KX7 9.53 9,607 91,528.52
0.02 BRITISH STERLING POUND 1.33 1,789 2,383.73
0.00 JAPANESE YEN 0.01 61,515 427.19
0.00 EURO 1.14 354 402.02
0.00 SWISS FRANC 1.24 0 0.21
0.00 AUSTRALIAN DOLLAR 1.00 0 0.01
0.00 NEW ZEALAND DOLLAR 1.00 0 -0.01
0.00 NORWEGIAN KRONE 0.10 -1 -0.13
-0.29 CASH 1.00 -34,248 -34,248.09
Holdings are subject to change. "Cash" denotes U.S. dollars.

Exposure As of 04/30/25

Sector Weight (%)
Financials 36.1
Materials 13.7
Communication Services 13.3
Utilities 11.6
Energy 8.6
Real Estate 5.1
Industrials 5.1
Consumer Discretionary 4.0
Consumer Staples 2.5

Source: new windowAltaVista Research, LLC

Industry Weight (%)
Insurance 21.2
Materials 14.0
Banks 13.7
Telecommunication Services 13.5
Utilities 11.8
Energy 8.8
Capital Goods 3.0
Real Estate Management & Devel 2.7
Food, Beverage & Tobacco 2.6
Equity Real Estate Investment Trusts (REITs) 2.5
Automobiles & Components 2.4
Other 3.8

Source: new windowAltaVista Research, LLC

Country Weight (%)
Britain 17.6
Italy 13.3
France 11.0
Hong Kong 9.7
Spain 8.6
Norway 7.8
Germany 4.9
Netherlands 4.2
Japan 4.0
Australia 3.3
Finland 3.1
Other 12.5

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 11.60%
Weighted Avg. Market Cap 31,631 M
2024 2025
Price-to-earnings 10.66 10.72
Price-to-book value 1.26 1.23

Source: new windowAltaVista Research, LLC

ETF Risk Stats As of 04/30/25

Versus Beta
S&P 500 0.64
NASDAQ-100 0.36
MSCI EAFE 0.94
MSCI Emg. Mkts 0.83
Standard Deviation 18.40%

Source: new windowAltaVista Research, LLC

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. High yielding stocks are often speculative, high-risk investments. These companies can be paying out more than they can support and may reduce their dividends or stop paying dividends at any time, which could have a material adverse effect on the stock price of these companies and the Fund’s performance.

EFAS invests in small and mid-capitalization companies, which pose greater risks than large companies. EFAS is non-diversified.

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. Beginning October 15, 2020, 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. Prior to October 15, 2020, market price returns were based on the midpoint between the Bid and Ask price. NAVs are calculated using prices as of 4:00 PM Eastern Time. The returns shown do not represent the returns you would receive if you traded shares at other times. 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.