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Company:
GLOBAL X FUNDS (AND)
Form Type:
485APOS
Filing Date:
2/17/2011
CIK:
0001432353
Address:
C/O LAW OFFICES OF DT CHISOLM, P.C.
11524-C PROVIDENCE ROAD
City, State, Zip:
CHARLOTTE, North Carolina 28277
Telephone:
(704) 806-2387
Last Trade
Last Trade:
$13.15
Change:
-0.004 (-0.03%)
Trade Time:
May 23
Market Cap:
$9.86M
Register for a Free Trial and access this filing in:
FORM 485APOS
INVESTMENT OBJECTIVE
FEES AND EXPENSES
OPERATING EXPENSES
PRINCIPAL INVESTMENT STRATEGIES
SUMMARY OF PRINCIPAL RISKS
PERFORMANCE INFORMATION
FUND MANAGEMENT
INVESTMENT OBJECTIVE
FEES AND EXPENSES
OPERATING EXPENSES
PRINCIPAL INVESTMENT STRATEGIES
SUMMARY OF PRINCIPAL RISKS
PERFORMANCE INFORMATION
FUND MANAGEMENT
INVESTMENT OBJECTIVE
FEES AND EXPENSES
OPERATING EXPENSES
PRINCIPAL INVESTMENT STRATEGIES
SUMMARY OF PRINCIPAL RISKS
PERFORMANCE INFORMATION
FUND MANAGEMENT
INVESTMENT OBJECTIVE
FEES AND EXPENSES
OPERATING EXPENSES
PRINCIPAL INVESTMENT STRATEGIES
SUMMARY OF PRINCIPAL RISKS
PERFORMANCE INFORMATION
FUND MANAGEMENT
INVESTMENT OBJECTIVE
FEES AND EXPENSES
OPERATING EXPENSES
PRINCIPAL INVESTMENT STRATEGIES
SUMMARY OF PRINCIPAL RISKS
PERFORMANCE INFORMATION
FUND MANAGEMENT
INVESTMENT OBJECTIVE
FEES AND EXPENSES
OPERATING EXPENSES
PRINCIPAL INVESTMENT STRATEGIES
SUMMARY OF PRINCIPAL RISKS
PERFORMANCE INFORMATION
FUND MANAGEMENT
INVESTMENT OBJECTIVE
FEES AND EXPENSES
OPERATING EXPENSES
PRINCIPAL INVESTMENT STRATEGIES
SUMMARY OF PRINCIPAL RISKS
PERFORMANCE INFORMATION
FUND MANAGEMENT
ADDITIONAL INFORMATION ABOUT THE FUND'S STRATEGIES AND RISKS
Shares of the Funds May Trade at Prices Other Than NAV
Costs of Buying or Selling Fund Shares
Risks Related to Investing in Germany
Risks Related to Investing in Hong Kong
Risks Related to Investing in Mexico
Risks Related to Investing in Singapore
Risks Related to Investing in South Korea
Risks Related to Investing in Taiwan
Risks Related to Investing in the UK
FUND MANAGEMENT
Investment Adviser
Portfolio Management
BUYING AND SELLING FUND SHARES
DIVIDENDS AND DISTRIBUTIONS
DETERMINATION OF NET ASSET VALUE
FINANCIAL HIGHLIGHTS
Investment Adviser
INVESTMENT OBJECTIVE
FEES AND EXPENSES
OPERATING EXPENSES
PRINCIPAL INVESTMENT STRATEGIES
SUMMARY OF PRINCIPAL RISKS
PERFORMANCE INFORMATION
FUND MANAGEMENT
INVESTMENT OBJECTIVE
FEES AND EXPENSES
OPERATING EXPENSES
PRINCIPAL INVESTMENT STRATEGIES
SUMMARY OF PRINCIPAL RISKS
PERFORMANCE INFORMATION
FUND MANAGEMENT
ADDITIONAL INFORMATION ABOUT THE FUND'S STRATEGIES AND RISKS
Shares of the Funds May Trade at Prices Other Than NAV
Costs of Buying or Selling Fund Shares
Passive Investment Risk
Risks Related to Investing in Canada
FUND MANAGEMENT
Investment Adviser
Portfolio Management
BUYING AND SELLING FUND SHARES
DIVIDENDS AND DISTRIBUTIONS
DETERMINATION OF NET ASSET VALUE
FINANCIAL HIGHLIGHTS
Investment Adviser
SALES CHARGES
INVESTMENT OBJECTIVE
FEES AND EXPENSES
OPERATING EXPENSES
PRINCIPAL INVESTMENT STRATEGIES
SUMMARY OF PRINCIPAL RISKS
PERFORMANCE INFORMATION
FUND MANAGEMENT
INVESTMENT OBJECTIVE
FEES AND EXPENSES
OPERATING EXPENSES
PRINCIPAL INVESTMENT STRATEGIES
SUMMARY OF PRINCIPAL RISKS
PERFORMANCE INFORMATION
FUND MANAGEMENT
INVESTMENT OBJECTIVE
FEES AND EXPENSES
OPERATING EXPENSES
PRINCIPAL INVESTMENT STRATEGIES
SUMMARY OF PRINCIPAL RISKS
PERFORMANCE INFORMATION
FUND MANAGEMENT
ADDITIONAL INFORMATION ABOUT THE FUND'S STRATEGIES AND RISKS
Shares of the Funds May Trade at Prices Other Than NAV
Costs of Buying or Selling Fund Shares
Passive Investment Risk
Risk Related to Investing in the Fertilizer Industry
Risk Related to Investing in the Rare Earths Industry
Risk Related to Investing in the Strategic Metals Industry
FUND MANAGEMENT
Investment Adviser
Portfolio Management
BUYING AND SELLING FUND SHARES
DIVIDENDS AND DISTRIBUTIONS
DETERMINATION OF NET ASSET VALUE
FINANCIAL HIGHLIGHTS
Investment Adviser
Statement of Additional Information
INVESTMENT OBJECTIVE, STRATEGIES AND RISKS
MANAGEMENT OF THE TRUST
BOARD OF TRUSTEES AND OFFICERS
NAME AND TITLE
TRUSTEE OWNERSHIP OF SECURITIES OF THE ADVISER AND RELATED ...
COMPENSATION TABLE
CODE OF ETHICS
Disclosure of Securities Ownership
PURCHASE AND REDEMPTION OF CREATION UNITS
NET ASSET VALUE
DIVIDENDS AND DISTRIBUTIONS
FINANCIAL STATEMENTS
ADDITIONAL INFORMATION
APPENDIX A
APPENDIX B
PART C
Item 23. Exhibits
Item 24. Persons Controlled by or Under Common Control with ...
Item 25. Indemnification
Item 26. Business and Other Connections of the Investment ...
Item 27. Principal Underwriters
NAME AND TITLE
Item 28. Location of Accounts and Records
Item 29. Management Services
SIGNATURES
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