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All 508 ONOF (GLOBAL X ADAPTIVE U.S. RISK MANAGEMENT ETF) Holdings

There are 508 ONOF holdings. Top 10 companies weight: 36.56%.

Screener with all companies

Total Market Cap: $69T
Rank
Average(508 stocks)+25.71%28.0421.490.47+19.93%+20.90%1.16
451
RGLDRoyal Gold Inc0.02%$194.01$16BGoldBasic Materials+15.23%23.0814.600.61N/AN/A70+57.55%$306+12.14%0.61
452
SCCOSouthern Copper Corp0.02%$188.01$152BCopperBasic Materials+22.31%33.0438.760.78N/AN/A29-11.72%$166+31.13%1.47
453
TRMBTrimble Inc0.02%$51.85$12BScientific & Technical InstrumentsTechnology+1.84%26.8514.711.46N/AN/A82+58.63%$82-8.83%1.29
454
SSNCSs&c Technologies Holdings Inc0.02%$67.92$17BSoftware - ApplicationTechnology+4.13%20.5210.2432.62N/AN/A77+36.93%$93-0.66%0.74
455
DECKDeckers Outdoor Corp0.02%$103.30$15BFootwear & AccessoriesConsumer Cyclical+25.72%14.9614.451.27N/AN/A62+23.73%$128+9.34%1.32
456
LVSLas Vegas Sands Corp0.02%$45.47$30BResorts & CasinosConsumer CyclicalN/A16.4114.080.32N/AN/A72+45.88%$66+0.39%0.94
457
HEIHeico Corp0.02%$340.38$49BAerospace & DefenseIndustrials+20.50%42.1149.511.35N/AN/A69+13.56%$387+20.20%0.83
458
LYBLyondellbasell Industries Nv Class A0.02%$61.19$19BSpecialty ChemicalsBasic MaterialsN/AN/A7.651.53N/AN/A55+10.46%$68-2.09%0.74
459
PODDInsulet Corp0.02%$163.72$11BMedical DevicesHealthcare+50.11%47.2726.451.40N/AN/A76+45.50%$238-9.62%0.65
460
PTCPtc Inc0.02%$120.77$14BSoftware - ApplicationTechnology+41.11%11.6615.290.06N/AN/A67+46.97%$178-4.02%0.84
461
NVRNvr Inc0.02%$6,325.40$18BResidential ConstructionConsumer Cyclical+12.95%16.0216.294.97N/AN/A54+11.46%$7.05K+4.75%0.51
462
MAAMid-america Apartment Communities Inc0.02%$132.24$15BReit - ResidentialReal Estate+7.52%39.5133.907.03N/AN/A57+7.38%$142-2.81%0.35
463
WSOWatsco Inc Ordinary Shares0.02%$372.96$15BIndustrial DistributionIndustrials+19.70%29.7328.251.78N/AN/A55+14.95%$429+8.33%0.87
464
VIKViking Holdings Ltd0.02%$99.27$44BTravel ServicesConsumer CyclicalN/A36.4529.330.33N/AN/A72+3.53%$1030.00%1.60
465
MKCMccormick & Co Inc Ordinary Shares (non Voting)0.02%$52.35$14BPackaged FoodsConsumer Defensive+18.39%8.7416.720.08N/AN/A68+15.80%$61-7.08%0.13
466
MDLNMedline Inc Ordinary Shares Class A0.02%-N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A
467
RKTN/A0.02%$13.65$41BMortgage FinanceFinancial ServicesN/AN/A20.880.53N/AN/A65+39.34%$19-2.41%0.93
468
RLRalph Lauren Corp Class A0.02%$382.93$23BApparel ManufacturingConsumer Cyclical+15.61%24.2720.792.49N/AN/A75+12.18%$430+30.97%1.38
469
JJacobs Solutions Inc0.02%$129.67$15BEngineering & ConstructionIndustrials-6.56%40.1716.000.41N/AN/A73+20.61%$156+4.55%0.83
470
LULULululemon Athletica Inc0.02%$116.63$13BApparel RetailConsumer Cyclical+18.25%9.0110.440.90N/AN/A48+9.68%$128-21.68%1.15
471
LDOSLeidos Holdings Inc0.02%$104.91$14BInformation Technology ServicesTechnology+17.01%9.748.700.98N/AN/A64+43.62%$151+1.25%0.45
472
FLUTFlutter Entertainment Plc0.02%$100.91$19BGamblingConsumer CyclicalN/AN/A18.020.19N/AN/A71+57.75%$159-10.83%0.99
473
DKNGDraftkings Inc Ordinary Shares Class A0.02%$23.85$13BGamblingConsumer CyclicalN/AN/A23.530.09N/AN/A72+47.34%$35-13.50%1.13
474
FOXAFox Corp Class A0.02%$57.57$24BEntertainmentCommunication ServicesN/A17.9110.1524.63N/AN/A61+23.00%$71+11.26%0.59
475
ECHOEchostar Corp Class A0.02%-N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A
476
IOTSamsara Inc Ordinary Shares Class A0.02%$36.06$21BSoftware - InfrastructureTechnologyN/A1683.1954.05N/AN/AN/AN/A+24.18%$450.00%1.27
477
TSCOTractor Supply Co0.02%$29.64$16BSpecialty RetailConsumer Cyclical+7.01%14.7514.1614.17N/AN/A65+33.06%$39-2.37%0.55
478
TWTradeweb Markets Inc0.02%$97.29$21BCapital MarketsFinancial ServicesN/A30.9630.300.61N/AN/A70+32.08%$129+2.51%0.36
479
TEAMAtlassian Corp Class A0.02%$90.60$24BSoftware - ApplicationTechnologyN/AN/A14.75N/AN/AN/A74+54.19%$140-19.57%1.26
480
BGBunge Global Sa0.02%$121.50$22BFarm ProductsConsumer DefensiveN/A21.7414.531.71N/AN/A80+16.41%$141+13.41%0.30
481
TKOTko Group Holdings Inc0.02%$181.70$36BEntertainmentCommunication ServicesN/A161.9847.171.30N/AN/A72+28.23%$2330.00%0.70
482
COOThe Cooper Companies Inc0.02%$71.01$14BMedical Instruments & SuppliesHealthcare-36.92%58.9814.620.68N/AN/A70+15.04%$82-6.80%0.66
483
TYLTyler Technologies Inc0.02%$299.74$15BSoftware - ApplicationTechnology+11.37%46.2925.005.20N/AN/A76+45.97%$438-9.50%0.48
484
CSGPCostar Group Inc0.02%$28.50$12BReal Estate ServicesReal EstateN/AN/A18.210.10N/AN/A72+55.96%$44-20.40%0.68
485
RIVNRivian Automotive Inc Class A0.02%$17.76$22BAuto ManufacturersConsumer CyclicalN/AN/AN/AN/AN/AN/A56+5.69%$190.00%1.48
486
FDXFFedex Freight Holding Co Inc0.02%-N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A
487
FNFabrinet0.02%$527.43$17BElectronic ComponentsTechnology+26.46%41.4012.821.39N/AN/A77+42.03%$749+41.97%2.09
488
SUISun Communities Inc0.02%$119.04$15BReit - ResidentialReal Estate+53.03%10.6651.810.01N/AN/A72+17.96%$140-5.40%0.30
489
CHTRCharter Communications Inc Class A0.02%$127.79$17BTelecom ServicesCommunication Services+43.92%3.673.140.58N/AN/A47+64.29%$210-29.24%0.66
490
SMCISuper Micro Computer Inc0.02%$25.50$16BComputer HardwareTechnology+63.54%12.917.601.83N/AN/A53+46.59%$37+49.26%2.41
491
CSLCarlisle Companies Inc0.02%$322.65$14BBuilding Products & EquipmentIndustrials+24.16%19.5716.501.06N/AN/A69+24.99%$403+11.69%0.99
492
ASTSN/A0.02%$63.34$19BCommunication EquipmentTechnologyN/AN/AN/AN/AN/AN/A45+31.54%$83+40.14%2.63
493
CGThe Carlyle Group Inc0.02%$44.61$17BAsset ManagementFinancial ServicesN/A31.2811.290.10N/AN/A64+25.80%$56+2.55%1.69
494
ZSZscaler Inc0.02%$148.72$24BSoftware - InfrastructureTechnology-22.30%N/A32.68N/AN/AN/A75+29.47%$193-8.79%1.24
495
TSNTyson Foods Inc Class A0.02%$57.05$20BFarm ProductsConsumer Defensive-27.89%49.3313.051.04N/AN/A57+20.81%$69-1.18%0.15
496
TOSTToast Inc Class A0.02%$30.37$18BSoftware - InfrastructureTechnologyN/A48.2822.370.25N/AN/A70+13.47%$340.00%1.40
497
DOXAmdocs Ltd0.01%$51.61$5.82BSoftware - InfrastructureTechnology+27.06%11.806.450.04N/AN/A62+57.35%$81-5.61%0.54
498
ASAmer Sports Inc0.01%$34.48$20BLeisureConsumer CyclicalN/A44.1227.930.38N/AN/AN/AN/AN/A0.00%N/A
499
VGVenture Global Inc Ordinary Shares Class A0.01%$14.06$32BOil & Gas MidstreamEnergyN/A14.489.760.83N/AN/A73+15.29%$160.00%0.95
500
WMGWarner Music Group Corp Ordinary Shares Class A0.01%$27.95$14BEntertainmentCommunication ServicesN/A49.4513.890.50N/AN/A73+35.55%$38-3.29%0.59

ONOF (GLOBAL X ADAPTIVE U.S. RISK MANAGEMENT ETF) Sector Allocation

INFORMATION TECHNOLOGY
36.10%
FINANCIALS
10.60%
COMMUNICATION SERVICES
10.10%
CONSUMER DISCRETIONARY
9.30%
HEALTHCARE
8.70%
INDUSTRIALS
8.60%
CONSUMER STAPLES
4.30%
ENERGY
3.20%
UTILITIES
2.10%
MATERIALS
1.80%
REAL ESTATE
0.00%