← Screener · Broad market
HGENGlobal X · Equity - Global Sectors · Equity · Global ex-Australia
Global X Hydrogen ETF
Fee p.a.
0.69%
ASX report
Fund size
A$40m
12m flow A$-7.5m
Yield
0.8%
1 payments / yr
Volatility 3y
39.1%
annualised
Max DD 3y
−43.3%
all-time −72.5%
Listed
2021
8 Oct 2021 · spread 0.37%
$3k$4k$5k$6k$7k$8k$9k$10k$11k202120222023202420252026
Performance
Period
Total
ASX
1 month
5.2%
−20.3%
3 months
−21.3%
—
6 months
17.6%
—
Year to date
40.8%
—
1 year
73.6%
69.3%
3 years p.a.
14.7%
8.8%
5 years p.a.
—
—
10 years p.a.
—
—
Since listing p.a.
−0.1%
—
Total return to 4 Sept 2026, distributions reinvested, before franking. ASX figures are to 31 July 2026 and gross of franking, so they run higher for franked Australian funds.
Sharpe 3y 0.27Vol 1y 50.5%Vol 5y 37.3%Max DD 1y −38.1%Max DD 5y −72.5%Best year 43.6%25% positive years
Calendar-year returns
2022
−36.2%
2023
−20.1%
2024
−10.4%
2025
43.6%
2026
40.8%
Where the money is
Look-through exposure as at 2 Sept 2026 · 30 securities · top 10 = 60.1%
Country
United States35.9%
United Kingdom15.1%
Kuwait10.3%
Taiwan10.2%
Sweden5.8%
Belgium5.3%
France4.7%
Australia4.5%
Japan4.4%
Germany1.1%
Top holdings
KAORI HEATTaiwan
9.5%
BLOOM ENERGY C-AUnited States
9.0%
PLUG POWER INCUnited States
7.5%
ALLEIMA ABSweden
5.4%
VALTERRA PLATINUUnited Kingdom
5.3%
UMICOREBelgium
4.9%
HYUNDAI ENG&CONSKuwait
4.9%
DOOSAN FUEL CELLKuwait
4.7%
AIR PRODS & CHEMUnited States
4.4%
AIR LIQUIDE SAFrance
4.4%
FORTESCUE LTDAustralia
4.2%
LINDE PLCUnited States
4.0%
DONGJIN SEMICHEM
3.9%
JOHNSON MATTHEYUnited Kingdom
3.8%
SCREEN HOLDINGSJapan
3.2%
Top 15 of 30 holdings.
Most similar funds
Overlap is the share of the portfolio held in common, look-through. Correlation is of daily returns. High overlap means close substitutes.
Code
Fund
Fee
Overlap
Corr 3y