SNSR


Internet of Things ETF

Reasons to Consider SNSR

High Growth Potential

In a connected world, the proliferation of Internet of Things (IoT) devices is poised to grow. Global IoT devices likely to top 18.8B in 2024 and grow to about 34.7B by 2028.1,2

Structural Tailwinds

The realm of internet-enabled devices continues to expand to new categories, allowing manufacturers to monitor and service products via software upgrades.

Unconstrained Approach

The IoT spans multiple segments, and its most innovative companies include both household names and newcomers. SNSR invests accordingly, without regard for sector or geography.

1IoT Analytics, Sep 2024
2Ericsson, Nov 2023

Key Information As of 09/12/25

Inception Date 09/12/16
Total Expense Ratio 0.68%
Net Assets $224.90 million
NAV $38.71

ETF Summary

The Global X Internet of Things ETF (SNSR) seeks to invest in companies that stand to potentially benefit from the broader adoption of the Internet of Things (IoT), as enabled by technologies such as WiFi, 5G telecommunications infrastructure, and fiber optics. This includes the development and manufacturing of semiconductors and sensors, integrated products and solutions, and applications serving smart grids, smart homes, connected cars, and the industrial internet.

ETF Objective

The Global X Internet of Things ETF (SNSR) seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the Indxx Global Internet of Things Thematic Index.

Trading Details As of 09/12/25

Ticker SNSR
B3 Trading Code BSNS39
Bloomberg Index Ticker ISNSRNT
CUSIP 37954Y780
ISIN US37954Y7803
Primary Exchange Nasdaq
Shares Outstanding 5,810,000
Number of Holdings 64
30-Day Median Bid-Ask Spread 0.45%

Distributions As of 09/12/25

30-Day SEC Yield 0.60%
Distribution Frequency Semi-Annually

ETF Prices As of 09/12/25

NAV $38.71 Daily Change -$0.36 -0.92%
Market Price $38.62 Daily Change -$0.53 -1.35%

Performance History

Cumulative Returns (as of 08/29/25)
1 Month 6 Months YTD 12 Months 24 Months Since Inception Inception Date
Return SNSR 3.95% 6.48% 10.26% 9.71% 18.13% 173.86% 09/12/16
Returns (as of 09/11/25)
Return SNSR Return Index
Since Inception 178.49% 188.46%
12 Months 12.90% 12.78%
24 Months 27.01% 27.36%
Last 60 Trading Days 6.83% 7.48%
Last 75 Trading Days 11.68% 11.99%
Monthly Returns (through 09/11/25)
Return SNSR Return Index
Sep 2025 1.70% 1.63%
Aug 2025 3.95% 4.03%
Jul 2025 -1.92% -1.81%
Jun 2025 6.75% 7.28%
May 2025 9.63% 9.26%
Apr 2025 -1.43% -1.56%
Mar 2025 -9.44% -9.43%
Feb 2025 -0.34% -0.72%
Jan 2025 3.89% 3.78%
Dec 2024 -2.90% -2.86%
Nov 2024 5.46% 5.53%
Oct 2024 -1.66% -1.59%
Sep 2024 -1.10% -0.88%
Aug 2024 0.62% 0.68%
Jul 2024 -2.67% -3.16%
Jun 2024 -0.90% -0.69%
May 2024 4.65% 4.33%
Apr 2024 -4.34% -4.37%
Mar 2024 2.75% 2.84%
Feb 2024 5.03% 5.32%
Jan 2024 -4.90% -4.68%
Dec 2023 7.99% 7.89%
Nov 2023 14.72% 15.00%
Oct 2023 -7.94% -7.93%
Sep 2023 -5.42% -5.34%

Total returns take into account management, administration and fees and other costs automatically deducted from the fund's assets. Before investing, you may read the prospectus in the “FEES AND EXPENSES” section for more details.

NAV & Index Chart

Top Holdings As of 09/12/25

Net Assets (%) Ticker Name Country SEDOL Market Price ($) Shares Held Market Value ($)
5.67 GRMN GARMIN LTD United States B3Z5T14 238.08 51,444 12,247,787.52
5.29 STMPA FP STMICROELECTRONICS NV United States 5962332 26.02 439,021 11,421,764.08
5.20 SWKS SKYWORKS SOLUTIONS INC United States 2961053 74.46 150,697 11,220,898.62
5.07 DXCM DEXCOM INC United States B0796X4 76.22 143,564 10,942,448.08
4.47 IOT SAMSARA INC-CL A United States BPK3058 38.26 252,540 9,662,180.40
4.26 2395 TT ADVANTECH CO LTD Taipei 6202673 11.39 808,683 9,209,506.30
3.99 RMBS RAMBUS INC United States 2721967 86.03 100,154 8,616,248.62
3.85 LSCC LATTICE SEMICOND United States 2506658 64.41 129,182 8,320,612.62
3.15 ADT ADT INC United States BFWCP81 8.83 769,989 6,799,002.87
2.61 2577 HK INNOSCIENCE SUZH Hong Kong BRT4261 12.80 440,400 5,636,178.37
2.43 3529 TT EMEMORY TECHNOLOGY INC Taipei B2PXYH2 74.98 69,932 5,243,771.37
2.34 ITRI ITRON INC United States 2471949 119.54 42,314 5,058,215.56
2.34 JCI JOHNSON CONTROLS United States BY7QL61 107.53 46,894 5,042,511.82
2.30 BDC BELDEN INC United States B01WL78 131.50 37,712 4,959,128.00
2.27 ABBN SW ABB LTD-REG Switzerland 7108899 71.29 68,840 4,907,885.03
2.27 BMI BADGER METER INC United States 2069128 177.80 27,547 4,897,856.60
2.21 PI IMPINJ INC United States BYYGJZ9 178.76 26,728 4,777,897.28
2.04 EMR EMERSON ELECTRIC CO United States 2313405 135.10 32,662 4,412,636.20
2.03 ST SENSATA TECHNOLO United States BFMBMT8 31.26 140,035 4,377,494.10
1.98 SU FP SCHNEIDER ELECTRIC SE United States 4834108 272.07 15,701 4,271,729.62
1.94 ADI ANALOG DEVICES INC United States 2032067 245.21 17,054 4,181,811.34
1.89 2454 TT MEDIATEK INC Taipei 6372480 49.16 83,180 4,089,262.24
1.88 SLAB SILICON LABORATORIES INC United States 2568131 133.78 30,397 4,066,510.66
1.85 CSCO CISCO SYSTEMS INC United States 2198163 66.53 59,915 3,986,144.95
1.82 QCOM QUALCOMM INC United States 2714923 161.83 24,345 3,939,751.35
1.80 NXPI NXP SEMICONDUCTORS NV United States B505PN7 218.82 17,714 3,876,177.48
1.79 IBM IBM United States 2005973 253.44 15,279 3,872,309.76
1.77 CASH United States 1.00 3,821,858 3,821,858.42
1.76 HON HONEYWELL INTL United States 2020459 211.46 17,984 3,802,896.64
1.45 AMBA AMBARELLA INC United States B7KH3G6 80.37 39,016 3,135,715.92
1.42 LR FP LEGRAND SA United States B11ZRK9 163.12 18,727 3,054,807.15
1.29 ROK ROCKWELL AUTOMATION INC United States 2754060 344.93 8,087 2,789,448.91
1.28 NOD NO NORDIC SEMICONDUCTOR ASA United States B00ZG06 15.37 180,438 2,773,467.57
1.20 ALRM ALARM.COM HOLDINGS INC United States BYN7H26 55.68 46,420 2,584,665.60
1.19 SYNA SYNAPTICS INC United States 2839268 70.37 36,637 2,578,145.69
1.00 LAND SW LANDIS + GYR GROUP AG Switzerland BF41XY8 79.70 27,008 2,152,639.64
0.85 KTN GR KONTRON AG Germany 4665933 29.76 61,570 1,832,522.13
0.82 PTC PTC INC United States B95N910 205.11 8,594 1,762,715.34
0.77 ARLO ARLO TECHNOLOGIES INC United States BYWPZY9 17.43 95,593 1,666,185.99
0.73 6723 JP RENESAS ELECTRONICS CORP Japan 6635677 11.70 134,141 1,570,087.82
0.58 GFS GLOBALFOUNDRIES INC United States BMW7F63 31.67 39,587 1,253,720.29
0.57 DGII DIGI INTERNATIONAL INC United States 2269661 35.72 34,368 1,227,624.96
0.54 REZI RESIDEO TECHNOLOGIES INC United States BFD1TJ6 38.07 30,719 1,169,472.33
0.53 AMS SW AMS-OSRAM AG Switzerland BQPGGN9 12.28 92,938 1,141,456.42
0.49 SMTC SEMTECH CORP United States 2795542 60.30 17,513 1,056,033.90
0.46 BBNX BETA BIONICS INC United States BSPRWL6 26.41 37,620 993,544.20
0.40 IDCC INTERDIGITAL INC United States 2465737 322.87 2,697 870,780.39
0.36 NTGR NETGEAR INC United States 2688363 28.65 26,759 766,645.35
0.35 GSAT GLOBALSTAR INC United States BRJMM32 29.94 25,171 753,619.74
0.32 6929 JP NIPPON CERAMIC CO LTD Japan 6646561 23.46 29,380 689,363.13
0.32 QRVO QORVO INC United States BR9YYP4 86.81 7,918 687,361.58
0.31 064400 KS LG CNS CO LTD Republic Of Korea BRBQWR6 52.08 12,773 665,169.37
0.30 SMRT SMARTRENT INC United States BPCHD26 1.45 446,936 648,057.20
0.30 AIOT POWERFLEET INC United States BKLX9J9 5.25 122,580 643,545.00
0.29 SPT LN SPIRENT COMM United Kingdom 0472609 2.67 231,469 617,635.64
0.28 8234 TT NEXCOM INTL Taipei B02PY88 2.98 205,000 610,795.69
0.23 BB BLACKBERRY LTD United States BCBHZ42 3.90 127,102 495,697.80
0.21 5388 TT SERCOMM CORPORATION Taipei 6156770 3.39 136,150 461,999.07
0.19 350A JP DIGITAL GRID CORP Japan BQLQ9K1 48.21 8,704 419,654.51
0.15 IRDM IRIDIUM COMMUNIC United States B2QH310 17.64 18,344 323,588.16
0.00 BRITISH STERLING POUND United States 1.00 0 0.01
0.00 TAIWAN DOLLAR United States 0.03 -0 -0.01
-0.00 EURO United States 1.17 -3,722 -4,364.98
-1.44 OTHER PAYABLE & RECEIVABLES United States 1.00 -3,103,098 -3,103,097.50
Holdings are subject to change. "Cash" denotes U.S. dollars.

Sector Breakdown As of 08/31/25

Sector Weight (%)
Information Technology 67.0
Industrials 17.1
Consumer Discretionary 10.1
Health Care 5.2
Communication Services 0.6

Source: AltaVista Research, LLC

Country Breakdown As of 08/31/25

Country Weight (%)
United States 63.6
Switzerland 15.1
Taiwan 9.1
France 3.3
Ireland 2.4
Netherlands 2.0
Norway 1.4
Austria 1.4
Japan 1.1
Britain 0.3
Canada 0.2
Other/Cash 0.1

Source: AltaVista Research, LLC

ETF Characteristics As of 09/12/25

Return on Equity 15.40%
Weighted Avg. Market Cap 40,338 M
2024 2025
Price-to-earnings 26.63 25.41
Price-to-book value 4.14 3.73

Source: AltaVista Research, LLC

ETF Risk Stats As of 08/31/25

Versus Beta
S&P 500 1.25
MSCI EAFE 0.88
MSCI Emg. Mkts 0.73
Standard Deviation 22.30%

Source: AltaVista Research, LLC

TERMS OF USE

Global X Brasil Gestora de Investimentos Ltda. (“Global X Brasil”) is an asset manager authorized by the Brazilian Securities and Exchange Commission (“CVM”), constituted in the form of CVM Resolution No. 21/2021. Investing involves risks. The material on this site is for informational purposes only and does not constitute investment advice, recommendation, offer or solicitation to buy or sell any securities, funds, or strategies to any person in any jurisdiction in which an offer, solicitation, purchase, or sale would be illegal under the securities laws of such jurisdiction. Opinions expressed here are subject to change without notice. Reliance upon the information contained in this material is at the sole discretion of the reader. No securities regulator has confirmed the accuracy of any information contained herein. Access to the information on this site or the use of the services or information provided herein is prohibited by any person or entity in any jurisdiction or country where such distribution or use is contrary to local law, rules, or regulation. Investment in index funds (ETFs) involves risks, including detachment from the benchmark index and related to the liquidity of shares in the secondary market. Investment funds managed by Global X Brasil use strategies that can result in significant equity losses for their quota holders. Global X Brasil, its partners and employees are exempt of responsibility for any damages resulting directly or indirectly from the use of the information contained on this website.

FOR EVALUATION OF THE PERFORMANCE OF AN INVESTMENT FUND, IT IS RECOMMENDED THE ANALYSIS OF AT LEAST 12 (TWELVE) MONTHS. INVESTMENT FUNDS DO NOT HAVE A GUARANTEE FROM THE ADMINISTRATOR, THE MANAGER, ANY INSURANCE MECHANISM OR CREDIT GUARANTEE FUND – FGC. INVESTMENTS IN FINANCIAL AND CAPITAL MARKETS ARE SUBJECT TO RISKS OF LOSS GREATER THAN THE TOTAL VALUE OF INVESTED CAPITAL. PAST PROFITABILITY DOES NOT REPRESENT A GUARANTEE OF FUTURE PROFITABILITY THE PROFITABILITY DISCLOSED IS NOT NET OF TAXES. READ THE PROSPECTUS, THE FORM OF COMPLEMENTARY INFORMATION, SHEET OF ESSENTIAL INFORMATION AND THE REGULATION BEFORE INVESTING. DESCRIPTION OF THE ANBIMA TYPE AVAILABLE IN THE FORM OF COMPLEMENTARY INFORMATION.

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