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Global X Blockchain ETF

$62.37

down-arrow (-1.37%) -0.8644 at 2025-08-29 12:00:02
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(-1.37%) ($-0.8644) at 2025-08-29 12:00:02

1M
6M
1Y
5Y
MAX

52-week lows/highs

$62.37
$28.22
$77.35
52-week low
52-week high

Top 10 holdings

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+28

ETF AUM

$222.45M

as of 2025-08-29 12:00:02

Expense ETF ratio

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0.50%

as of 2025-08-29 12:00:02

Dividend yield of the ETF

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-

as of 2025-08-29 12:00:02

NAV

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62.60

ETF Company

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Global X

Investment Segment

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Theme

PriceToBook

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2.43

Allocations

Information Technology
78.87%
Financials
20.15%
Consumer Discretionary
0.79%
Other
0.19%
View all
United States
71.35465%
Australia
8.85746%
Canada
6.94153%
Indonesia
4.70135%
Germany
3.96251%
Thailand
2.00996%
China
1.05452%
United Kingdom of Great Britain and Northern Ireland
0.61315%
Japan
0.505%
View all
ESG score (%)
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0

Prime

Compared with 30,211 companies
Minor
0-29
Low
30-39
Mid
40-49
Steady
50-59
High
60-79
Prime
80-100
View screening report

About the ETF

BKCH was created on 2021-07-12 by Global X. The fund's investment portfolio concentrates primarily on theme equity. The ETF currently has 207.48m in AUM and 28 holdings. BKCH tracks a market-cap-weighted index of global companies involved in blockchain technologies.

BKCH is one of the few ETFs that target the global blockchain industry. Using a proprietary natural language processing (NLP) algorithm, the fund screens for firms involved in the following business activities: 1) Digital Asset Mining, 2) Blockchain & Digital Asset Transactions, 3) Blockchain Applications, 4) Blockchain & Digital Asset Hardware, and 5) Blockchain & Digital Asset Integration. Companies are then categorized into pure-play, pre-revenue and diversified based on revenue derived from these blockchain-related businesses. The fund typically holds a concentrated portfolio of 25 to 40 pure-play companies. If fewer than 25 pure-play companies qualify for inclusion, pre-revenue and diversified companies may be selected until the portfolio reaches 25 constituents. Holdings are market-cap-weighted, with each pure-play company capped at 12%, and any single pre-revenue and diversified firm capped at 2%. The index rebalances semi-annually

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