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Holdings (Monthly) Guide ↗

Global X Investment Grade Corporate Bond ETF

· Global X Funds
Monthly Holdings $175M AUM 59 positions Period May 2026 Filed Jul 29, 2026 EDGAR ↗ ← All Funds
All 64 New 2 Added 34 Reduced 59 Exited · May 2026 vs Feb 2026
# Name Ticker Since Shares Shares Δ Value Val Δ% % Port Cat
United States of America 91282CNZ0 6,500,000 SOLD $6.6M
FLOWSERVE CORPORATION 34354PAF2 4,320,000 SOLD $4.2M
WELLS FARGO & COMPANY 95000U2G7 3,600,000 SOLD $3.4M
BRISTOL-MYERS SQUIBB COMPANY 110122CQ9 3,600,000 SOLD $3.3M
JBS USA Holding Lux S.a r.l. 47214BAD0 2,880,000 SOLD $3.3M
GILEAD SCIENCES, INC. 375558CC5 3,168,000 SOLD $3.3M
AMPHENOL CORPORATION 032095AL5 3,600,000 SOLD $3.3M
GLOBAL PAYMENTS INC. 37940XAB8 3,168,000 SOLD $3.0M
MICRON TECHNOLOGY, INC. 595112CD3 2,880,000 SOLD $3.0M
United States of America 91282CMH1 3,000,000 SOLD $3.0M
Suzano Austria GmbH 86964WAJ1 3,100,000 SOLD $2.9M
BROADCOM INC. 11135FBA8 2,880,000 SOLD $2.9M
AMERICAN TOWER CORPORATION 03027XCR9 2,880,000 SOLD $2.9M
Truist Financial Corporation 89788MAW2 2,880,000 SOLD $2.9M
S&P GLOBAL INC. 78409VBK9 2,880,000 SOLD $2.7M
GENERAL MOTORS COMPANY 37045VAZ3 2,160,000 SOLD $2.3M
WELLS FARGO & COMPANY 95000U2Q5 2,880,000 SOLD $2.2M
GILEAD SCIENCES, INC. 375558CD3 2,160,000 SOLD $2.2M
ATMOS ENERGY CORPORATION 049560BE4 2,160,000 SOLD $2.1M
PUBLIC SERVICE ENTERPRISE GROUP INCORPORATED 744573AU0 2,160,000 SOLD $2.0M
AT&T INC. 00206RLV2 2,880,000 SOLD $1.9M
Santander Holdings USA, Inc. 80282KBM7 1,872,000 SOLD $1.9M
ANALOG DEVICES, INC. 032654AX3 2,880,000 SOLD $1.9M
ADVANCED MICRO DEVICES, INC. 007903BG1 2,160,000 SOLD $1.9M
BIOGEN INC. 09062XAL7 1,728,000 SOLD $1.8M
GLP Capital, L.P. 361841AK5 1,728,000 SOLD $1.8M
BROOKFIELD ASSET MANAGEMENT LTD. 113004AB1 1,728,000 SOLD $1.7M
M&T BANK CORPORATION 55261FAT1 1,440,000 SOLD $1.5M
GEORGIA POWER COMPANY 373334JS1 1,584,000 SOLD $1.5M
AEP TRANSMISSION COMPANY, LLC 00115AAS8 1,440,000 SOLD $1.5M
UNITEDHEALTH GROUP INCORPORATED 91324PFP2 1,440,000 SOLD $1.5M
THE GOLDMAN SACHS GROUP, INC. 38141GC51 1,440,000 SOLD $1.5M
AFFILIATED MANAGERS GROUP, INC. 008252AS7 1,440,000 SOLD $1.5M
BURLINGTON NORTHERN SANTA FE, LLC 12189LBN0 1,440,000 SOLD $1.4M
THE GOLDMAN SACHS GROUP, INC. 38141GD27 1,440,000 SOLD $1.4M
MORGAN STANLEY 61747YFV2 1,440,000 SOLD $1.4M
GENERAL MOTORS COMPANY 37045VAT7 1,440,000 SOLD $1.4M
DIAMONDBACK ENERGY, INC. 25278XBA6 1,440,000 SOLD $1.4M
THE WILLIAMS COMPANIES, INC. 969457BX7 1,440,000 SOLD $1.4M
WESTERN MIDSTREAM OPERATING, LP 958667AA5 1,584,000 SOLD $1.4M
CITIZENS FINANCIAL GROUP, INC. 174610BH7 1,152,000 SOLD $1.2M
ROYAL CARIBBEAN CRUISES LTD. 78017TAB9 1,152,000 SOLD $1.2M
HESS CORPORATION 42809HAG2 1,152,000 SOLD $1.2M
AT&T INC. 00206RJZ6 1,440,000 SOLD $1.2M
EXPAND ENERGY CORPORATION 845467AT6 1,152,000 SOLD $1.2M
DUPONT DE NEMOURS, INC. 26078JAF7 1,152,000 SOLD $1.1M
GLOBE LIFE INC. 37959EAC6 1,008,000 SOLD $1.1M
PACIFIC GAS AND ELECTRIC COMPANY 694308KQ9 1,008,000 SOLD $1.0M
GATX CORPORATION 361448BR3 1,008,000 SOLD $1.0M
NISOURCE INC. 65473PAU9 1,008,000 SOLD $1.0M
United States of America 912810UP1 1,000,000 SOLD $1.0M
THE WALT DISNEY COMPANY 254687EH5 864,000 SOLD $1.0M
Santander Holdings USA, Inc. 80282KBL9 864,000 SOLD $0.9M
AMAZON.COM, INC. 023135BZ8 1,008,000 SOLD $0.9M
THE HOME DEPOT, INC. 437076DC3 864,000 SOLD $0.9M
EXELON CORPORATION 30161NBL4 864,000 SOLD $0.8M
Regal Rexnord Corporation 758750AP8 720,000 SOLD $0.8M
METLIFE, INC. 59156RCD8 720,000 SOLD $0.7M
CONOCOPHILLIPS COMPANY 20826FBM7 576,000 SOLD $0.6M