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Global X Expands Its Income Product Lineup With Launch of New Covered Call ETFs

Global X Expands Its Income Product Lineup With Launch of New Covered Call ETFs

Global X推出新的担保看涨期权ETF,扩大其收益产品阵容
PR Newswire ·  05/08 21:35

NEW YORK, May 8, 2024 /PRNewswire/ -- Global X ETFs, the New York-based provider of exchange-traded funds (ETFs), today launched the Global X MLP & Energy Infrastructure Covered Call ETF (MLPD) and the Global X S&P 500 Quality Dividend Covered Call ETF (QDCC). The funds are Global X's latest additions to its covered call suite, which offers investors ETF strategies that look beyond traditional fixed income to potentially increase or diversify a portfolio's yield.

纽约,2024年5月8日 /PRNewswire/ — 总部位于纽约的交易所交易基金(ETF)提供商Global X ETF今天推出了Global X MLP和能源基础设施担保看涨期权ETF(MLPD)和环球X标准普尔500指数质量股息担保看涨期权ETF(QDCC)。这些基金是Global X在其承保看涨期权套件中最新增加的基金,该套件为投资者提供的ETF策略不仅局限于传统的固定收益,还可能增加或分散投资组合的收益率。

Covered call strategies can play an important role in a portfolio, offering a diversified source of income while helping to potentially mitigate downside risk. While covered call strategies once required investors to trade options themselves, the availability of covered call ETFs can help investors more easily and efficiently integrate these strategies.

担保看涨期权策略可以在投资组合中发挥重要作用,提供多元化的收入来源,同时可能有助于降低下行风险。虽然担保看涨期权策略曾经要求投资者自己交易期权,但担保看涨期权ETF的可用性可以帮助投资者更轻松、更有效地整合这些策略。

The Global X MLP & Energy Infrastructure Covered Call ETF (MLPD) and the Global X S&P 500 Quality Dividend Covered Call ETF (QDCC) seek to offer diversified income by holding and then writing call options on the Global X MLP & Energy Infrastructure ETF (MLPX) and the Global X S&P 500 Quality Dividend ETF (QDIV) respectively.

Global X MLP和能源基础设施担保看涨期权ETF(MLPD)和环球X标准普尔500指数质量股息担保看涨期权ETF(QDCC)寻求通过分别持有Global X MLP和能源基础设施ETF(MLPX)和环球X标准普尔500指数质量股息ETF(QDIV)的看涨期权来提供多元化收益。

"During volatile markets, elevated premiums can make covered call strategies especially appealing for investors seeking higher income and risk management," said Rohan Reddy, Director of Research at Global X ETFs. "Global X is a long-time leader when it comes to exchange-traded covered call strategies, and these latest two offerings build on our leadership by offering income solutions to investors seeking access to MLPs or quality dividend equities."

Global X ETF研究董事罗汉·雷迪表示:“在动荡的市场中,较高的溢价可能使承保看涨策略对寻求更高收入和风险管理的投资者特别有吸引力。”“在交易所交易担保看涨期权策略方面,Global X长期处于领先地位,最新的两次产品通过为寻求获得MLP或优质股息股票的投资者提供收益解决方案,建立了我们的领导地位。”

The Global X MLP & Energy Infrastructure Covered Call ETF (MLPD) and the Global X S&P 500 Quality Dividend Covered Call ETF (QDCC) seek to provide investment results that correspond, before fees and expenses, to the Cboe MLPX ATM BuyWrite Index and the Cboe QDIV ATM BuyWrite Index, respectively. MLPD carries an expense ratio of 0.60% and QDCC carries an expense ratio of 0.35%.

Global X MLP和能源基础设施担保看涨期权ETF(MLPD)和环球X标准普尔500指数质量股息担保看涨期权ETF(QDCC)旨在提供在扣除费用和支出前分别与芝加哥期权交易所MLPX ATM BuyWrite指数和芝加哥期权交易所QDIV ATM BuyWrite指数相对应的投资业绩。MLPD的支出比率为0.60%,QDCC的支出比率为0.35%。

About Global X ETFs:

关于Global X ETF:

Global X ETFs was founded in 2008. For more than a decade, our mission has been empowering investors with unexplored and intelligent solutions. Our product lineup features a wide range of ETF strategies and over $47 billion in U.S. assets under management.iv While we are distinguished for our Thematic Growth, Income and International Access ETFs, we also offer both Core and Commodity funds to suit a wide range of investment objectives. Explore our ETFs, research and insights, and more at .

Global X ETF成立于2008年。十多年来,我们的使命一直是为投资者提供未开发的智能解决方案。我们的产品阵容包括广泛的ETF策略和超过470亿美元的美国管理资产。iv 虽然我们以主题增长、收益和国际准入ETF而著称,但我们也提供核心基金和大宗商品基金,以满足广泛的投资目标。浏览我们的ETF、研究和见解等,请访问。

Global X is a member of Mirae Asset Financial Group, a global leader in financial services, with more than $600 billion in assets under management worldwide.v Mirae Asset has an extensive global ETF platform ranging across the US, Brazil, Canada, Colombia, Europe, Hong Kong, India, Japan, Korea, and Vietnam with over $120bn in assets under management. vi

Global X是未来资产金融集团的成员,该集团是金融服务领域的全球领导者,在全球管理着超过6000亿美元的资产。v Mirae Asset拥有广泛的全球ETF平台,涵盖美国、巴西、加拿大、哥伦比亚、欧洲、香港、印度、日本、韩国和越南,管理的资产超过1200亿美元。

Important Disclosures:

重要披露:

Strategies discussed may not be suitable for all investors. Please consult a financial professional for more information regarding your investment situation.

所讨论的策略可能不适合所有投资者。请咨询金融专业人士,了解有关您的投资状况的更多信息。

Investing involves risk, including the possible loss of principal. Diversification does not ensure a profit or guarantee against a loss. Investors should be willing to accept a high degree of volatility in the price of the funds' shares and the possibility of significant losses.

投资涉及风险,包括可能的本金损失。多元化并不能确保盈利或保证免受损失。投资者应该愿意接受基金股票价格的高度波动和重大损失的可能性。

The funds engage in options trading. An option is a contract sold by one party to another that gives the buyer the right, but not the obligation, to buy (call) or sell (put) a stock at an agreed upon price within a certain period or on a specific date. A covered call option involves holding a long position in a particular asset and writing a call option on that same asset with the goal of realizing additional income from the option premium. By selling covered call options, the fund limits its opportunity to profit from an increase in the price of the underlying asset above the exercise price, but continue to bear the risk of a decline in the asset. A liquid market may not exist for options held by the funds. While the fund receives premiums for writing the call options, the price it realizes from the exercise of an option could be substantially below the indices current market price.

这些基金从事期权交易。期权是一方向另一方出售的合约,它赋予买方在一定时期内或特定日期以约定价格购买(看涨)或卖出(看跌)股票的权利,但不是义务。担保看涨期权包括持有特定资产的多头头寸,并在该资产上开立看涨期权,目标是从期权溢价中获得额外收入。通过出售担保看涨期权,该基金限制了其从标的资产价格上涨高于行使价中获利的机会,但继续承担资产下跌的风险。基金持有的期权可能不存在流动性市场。尽管该基金因开立看涨期权而获得溢价,但其通过行使期权获得的价格可能大大低于该指数的当前市场价格。

Investments in securities of MLPs involve risk that differ from investments in common stock including risks related to limited control and limited rights to vote on matters affecting the MLP. MLP common units and other equity securities can be affected by macro-economic and other factors affecting the stock market in general, expectations of interest rates, investor sentiment towards MLPs, changes in a particular issuer's financial condition, or unfavorable or unanticipated poor performance of a particular issuer (in the case of MLPs, generally measured in terms of distributable cash flow). MLPD invests in the energy industry, which entails significant risk and volatility.

MLP证券投资所涉及的风险与普通股投资不同,包括与有限控制权和对影响MLP的事项的有限投票权相关的风险。MLP普通单位和其他股票证券可能会受到影响股票市场的宏观经济和其他因素的影响,这些因素包括对利率的预期、投资者对MLP的情绪、特定发行人财务状况的变化或特定发行人的不利或意想不到的糟糕表现(就MLP而言,通常以可分配现金流来衡量)。MLPD投资能源行业,这带来了巨大的风险和波动性。

MLPD also expects to pay distributions, which will be treated as a return of capital for tax purposes rather than from net profits and shareholders should not assume that the source of distributions is from the net profits of the Fund.

MLPD还预计将支付分红,出于税收目的,这将被视为资本回报,而不是净利润,股东不应假设分配来源来自基金的净利润。

Neither the Fund nor the Adviser has control over the actions of underlying MLPs. The amount of cash that each individual MLP can distribute to its partners will depend on the amount of cash it generates from operations, which will vary from quarter to quarter depending on factors affecting the energy infrastructure market generally. Available cash will also depend on the MLPs' level of operating costs (including incentive distributions to the general partner), level of capital expenditures, debt service requirements, acquisition costs (if any), fluctuations in working capital needs, and other factors. The MLP holdings of the underlying fund expect to generate significant investment income, and the fund's investments may not distribute the expected or anticipated levels of cash, resulting in the risk that the fund may not have the ability to make cash distributions as investors expect from MLP-focused investments. Past distributions are not indicative of future distributions. There is no guarantee that dividends will be paid. Companies may reduce or eliminate dividends at any time.

基金和顾问都无法控制潜在MLP的行动。每个MLP可以向其合作伙伴分配的现金金额将取决于其运营产生的现金量,该金额将因影响能源基础设施市场的因素而异。可用现金还将取决于MLP的运营成本水平(包括对普通合伙人的激励分配)、资本支出水平、还本付息要求、收购成本(如果有)、营运资金需求的波动和其他因素。标的基金持有的MLP预计将产生可观的投资收益,而该基金的投资可能无法分配预期或预期的现金水平,这导致该基金可能无法像投资者对以MLP为重点的投资所期望的那样进行现金分配。过去的分配并不表示未来的分布。无法保证会支付股息。公司可以随时减少或取消分红。

Carefully consider the funds' investment objectives, risks, and charges and expenses before investing. This and other information can be found in the funds' full or summary prospectuses, which may be obtained at globalxetfs.com. Please read the prospectus carefully before investing.

在投资之前,请仔细考虑基金的投资目标、风险以及费用和支出。这些信息和其他信息可以在基金的完整或摘要的招股说明书中找到,这些招股说明书可在globalxetfs.com上获得。请在投资前仔细阅读招股说明书。

Global X Management Company LLC serves as an advisor to Global X Funds. The Funds are distributed by SEI Investments Distribution Co., which is not affiliated with Global X Management Company LLC or Mirae Asset Financial Group.

Global X管理公司有限责任公司担任环球X基金的顾问。这些基金由SEI投资分销公司分发,该公司不隶属于Global X管理公司有限责任公司或未来资产金融集团。

CONTACT: Naomi Sussis, [email protected]

联系人:娜奥米·苏西斯, [电子邮件保护]

iv Source: Global X ETFs, as of April 2024
v Source: Mirae Asset, as of April 2024
vi Source: Mirae Asset, as of April 2024

iv 来源:Global X ETF,截至 2024 年 4 月
v 来源:未来资产,截至 2024 年 4 月
vi 来源:未来资产,截至 2024 年 4 月

SOURCE Global X Management Company LLC

来源 Global X 管理公司有限责任公司

译文内容由第三方软件翻译。


以上内容仅用作资讯或教育之目的,不构成与富途相关的任何投资建议。富途竭力但不能保证上述全部内容的真实性、准确性和原创性。
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