FINX


FinTech ETF

Reasons to Consider FINX

High Growth Potential

FinTech platforms are helping banks digitize their operations. Global FinTech revenues are forecast to grow 4.7x from 2023 to 2030, to roughly $1.5T.1,2

Global Tailwinds

Traditional financial services are being disrupted on a global scale, and e-wallets continue to gain share, especially in emerging markets.

Changing Consumer Preferences

FinTech companies have historically catered to the digital preferences of younger consumers, but they are increasingly competing on cost across more established industries like lending and insurance.

1Boston Consulting Group, Jun 2024
2Boston Consulting Group, May 2023

Key Information As of 06/27/25

Inception Date 09/12/16
Total Expense Ratio 0.68%
Net Assets $309.82 million
NAV $33.82

ETF Summary

The Global X FinTech ETF (FINX) seeks to invest in companies on the leading edge of the emerging financial technology sector, which encompasses a range of innovations helping to transform established industries like insurance, investing, fundraising, and third-party lending through unique mobile and digital solutions.

ETF Objective

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

Trading Details As of 06/27/25

Ticker FINX
B3 Trading Code BFNX39
Bloomberg Index Ticker IFINXNT
CUSIP 37954Y814
ISIN US37954Y8140
Primary Exchange Nasdaq
Shares Outstanding 9,160,000
Number of Holdings 66
30-Day Median Bid-Ask Spread 0.36%

Distributions As of 06/27/25

30-Day SEC Yield -0.09%
Distribution Frequency Semi-Annually

ETF Prices As of 06/27/25

NAV $33.82 Daily Change $0.00 0.00%
Market Price $33.73 Daily Change -$0.10 -0.30%

Performance History

Cumulative Returns (as of 05/30/25)
1 Month 6 Months YTD 12 Months 24 Months Since Inception Inception Date
Return FINX 8.56% -8.63% -2.04% 22.42% 50.08% 117.74% 09/12/16
Returns (as of 06/27/25)
Return FINX Return Index
Since Inception 139.95% 151.39%
12 Months 35.54% 36.31%
24 Months 55.10% 56.44%
Last 60 Trading Days 21.01% 21.51%
Last 75 Trading Days 21.90% 22.45%
Monthly Returns (through 06/27/25)
Return FINX Return Index
Jun 2025 10.19% 10.75%
May 2025 8.56% 8.40%
Apr 2025 2.50% 2.53%
Mar 2025 -10.31% -10.25%
Feb 2025 -7.57% -7.68%
Jan 2025 6.20% 6.07%
Dec 2024 -6.72% -6.69%
Nov 2024 17.09% 17.11%
Oct 2024 3.38% 3.40%
Sep 2024 1.96% 2.14%
Aug 2024 4.62% 4.60%
Jul 2024 4.26% 4.36%
Jun 2024 0.10% 0.23%
May 2024 0.52% 0.25%
Apr 2024 -9.82% -9.77%
Mar 2024 4.94% 5.01%
Feb 2024 9.68% 9.81%
Jan 2024 -5.39% -5.29%
Dec 2023 14.39% 14.46%
Nov 2023 19.35% 19.34%
Oct 2023 -6.95% -6.91%
Sep 2023 -7.45% -7.48%
Aug 2023 -12.14% -12.09%
Jul 2023 12.12% 12.07%
Jun 2023 6.62% 6.80%

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 06/27/25

Net Assets (%) Ticker Name Country SEDOL Market Price ($) Shares Held Market Value ($)
8.62 COIN COINBASE GLOBA-A United States BMC9P69 353.43 74,642 26,380,722.06
6.69 INTU INTUIT INC United States 2459020 776.57 26,363 20,472,714.91
5.99 FIS FIDELITY NATIONA United States 2769796 80.80 227,066 18,346,932.80
5.65 PYPL PAYPAL HOLDINGS INC United States BYW36M8 73.64 234,785 17,289,567.40
5.36 ADYEN NA ADYEN NV Netherlands BZ1HM42 1,847.46 8,881 16,407,251.78
4.47 TOST TOAST INC-CLASS A United States BP6D7B7 43.89 311,636 13,677,704.04
4.36 XYZ BLOCK INC United States BYNZGK1 66.63 200,446 13,355,716.98
4.09 FI FISERV INC United States 2342034 172.33 72,676 12,524,255.08
4.05 GWRE GUIDEWIRE SOFTWARE INC United States B7JYSG3 235.40 52,692 12,403,696.80
3.92 AFRM AFFIRM HOLDINGS INC United States BMF9NM8 68.06 176,177 11,990,606.62
3.88 SOFI SOFI TECHNOLOGIES INC United States BM8J4C2 17.18 691,732 11,883,955.76
3.79 SSNC SS&C TECHNOLOGIE United States B58YSC6 81.84 141,736 11,599,674.24
3.76 XRO AU XERO LTD Australia B8P4LP4 119.46 96,379 11,513,058.12
3.08 GPN GLOBAL PAYMENTS INC United States 2712013 78.72 119,715 9,423,964.80
3.00 WISE LN WISE PLC - A United Kingdom BL9YR75 14.20 646,301 9,174,619.87
2.68 JKHY JACK HENRY United States 2469193 178.32 45,980 8,199,153.60
1.87 HQY HEALTHEQUITY INC United States BP8XZL1 104.88 54,680 5,734,838.40
1.71 377300 KS KAKAOPAY CORP Republic Of Korea BP8ZCS3 62.06 84,243 5,227,933.81
1.52 NEXI IM NEXI SPA Italy BJ1F880 6.00 774,449 4,646,385.45
1.37 FOUR SHIFT4 PAYMENT-A United States BLF0L75 98.22 42,631 4,187,216.82
1.22 UPST UPSTART HOLDINGS INC United States BL53QN5 63.43 58,922 3,737,422.46
1.14 SEZL SEZZLE INC United States BQC4R22 165.40 21,180 3,503,172.00
1.13 TEMN SW TEMENOS AG - REG Switzerland 7147892 73.29 47,293 3,466,161.97
1.07 MARA MARA HOLDINGS INC United States BLR7B52 15.03 217,396 3,267,461.88
1.00 CORZ CORE SCIENTIFIC INC United States BN70TG2 16.65 184,709 3,075,404.85
0.98 ACIW ACI WORLDWIDE INC United States 2889155 45.49 66,252 3,013,803.48
0.95 BILL BILL HOLDINGS INC United States BKDS4H5 45.57 64,089 2,920,535.73
0.95 HUB AU HUB24 LTD Australia BD4T5X1 56.85 50,914 2,894,253.47
0.88 STNE STONECO LTD-A United States BGKG6M3 15.36 174,591 2,681,717.76
0.79 VIRT VIRTU FINANCIA-A United States BWTVWD4 44.42 54,426 2,417,602.92
0.76 RIOT RIOT PLATFORMS INC United States BD9F675 10.55 219,949 2,320,461.95
0.66 NCNO NCINO INC United States BMC8TD1 27.66 72,737 2,011,905.42
0.63 LMND LEMONADE INC United States BMGNTQ5 42.06 45,708 1,922,478.48
0.53 ZIP AU ZIP CO LTD Australia BPP1Y77 1.98 816,731 1,615,483.75
0.51 GLXY CN GALAXY DIGITAL HOLDINGS Canada BV98249 20.05 78,300 1,569,611.60
0.51 VERX VERTEX INC - CLASS A United States BMX6DM1 34.49 45,014 1,552,532.86
0.49 PAYO PAYONEER GLOBAL INC United States BLSPX60 6.63 225,970 1,498,181.10
0.49 LU LUFAX HOLDING LTD-ADR United States BR0V7R7 2.74 544,311 1,491,412.14
0.40 PAGS PAGSEGURO DIGI-A United States BFWK4R7 9.39 131,126 1,231,273.14
0.38 7722 TT LINE PAY TAIWAN LTD Taipei BQXRSH2 26.35 44,000 1,159,616.78
0.37 HUT CN HUT 8 CORP Canada BQQ8805 17.71 64,587 1,143,873.43
0.35 DLO DLOCAL LTD United States BKVF490 11.48 94,421 1,083,953.08
0.33 HYQ GR HYPOPORT SE Germany B28XLF6 236.12 4,286 1,011,998.03
0.33 SPNS SAPIENS INTL United States BFYZGX0 28.75 34,936 1,004,410.00
0.32 CIFR CIPHER MINING INC United States BMZ8604 4.26 226,267 963,897.42
0.28 FLYW FLYWIRE CORP-VOTING United States BMBP1Q0 11.41 76,213 869,590.33
0.28 LC LENDINGCLUB CORP United States BK95GR4 11.97 70,987 849,714.39
0.26 PGY PAGAYA TECHNOL-A United States BQ5J6B6 21.39 37,973 812,242.47
0.25 MLNK MERIDIANLINK INC United States BMV7CG3 16.25 47,319 768,933.75
0.23 863 HK OSL GROUP LTD Hong Kong BKPSJS9 1.79 391,800 699,754.27
0.20 IRE AU IRESS LTD Australia 6297497 5.17 116,501 602,331.75
0.17 BLND BLEND LABS INC-A United States BP8K987 3.28 157,581 516,865.68
0.16 CTLP CANTALOUPE INC United States BMH10B0 11.00 45,436 499,796.00
0.16 PAY PAYMENTUS HOLDINGS INC-A United States BMBP1P9 32.25 15,303 493,521.75
0.16 9923 HK YEAHKA LTD Hong Kong BL58D39 1.68 287,900 483,381.68
0.16 PSFE PAYSAFE LTD United States BPCPXY2 12.57 38,005 477,722.85
0.13 IIIV I3 VERTICALS INC-CLASS A United States BF2G4D1 26.44 14,585 385,554.48
0.12 CASH United States 1.00 352,006 352,005.66
0.10 TREE LENDINGTREE INC United States BV8TD84 36.95 8,336 308,015.20
0.09 9959 HK LINKLOGIS INC-CLASS B Hong Kong BKSCMF6 0.23 1,229,800 286,694.06
0.09 MITK MITEK SYSTEMS INC United States 2597072 9.85 28,004 275,839.40
0.07 BITF BITFARMS LTD/CANADA United States BK9Z566 0.75 277,702 207,221.23
0.05 LPRO OPEN LENDING CORP United States BMTD3M6 2.04 74,183 151,333.32
0.02 OTHER PAYABLE & RECEIVABLES United States 1.00 60,727 60,727.31
0.00 AUSTRALIAN DOLLAR United States 0.65 540 352.51
-0.00 DANISH KRONE United States 0.16 -23,865 -3,748.64
Holdings are subject to change. "Cash" denotes U.S. dollars.

Sector Breakdown As of 05/31/25

Sector Weight (%)
Information Technology 50.0
Financials 48.0
Health Care 2.0

Source: AltaVista Research, LLC

Country Breakdown As of 05/31/25

Country Weight (%)
United States 76.7
Netherlands 6.0
New Zealand 4.2
Britain 3.5
Italy 1.7
Australia 1.6
Brazil 1.3
Switzerland 1.2
China 1.0
South Korea 0.8
Israel 0.6
Other/Cash 1.4

Source: AltaVista Research, LLC

ETF Characteristics As of 06/27/25

Return on Equity 12.10%
Weighted Avg. Market Cap 36,421 M
2024 2025
Price-to-earnings 34.07 26.56
Price-to-book value 3.39 3.07

Source: AltaVista Research, LLC

ETF Risk Stats As of 05/31/25

Versus Beta
S&P 500 1.63
MSCI EAFE 1.16
MSCI Emg. Mkts 0.92
Standard Deviation 32.30%

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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