ORBX Global X Global X Space Tech Index ETF

Equity CAD Toronto Stock Exchange
MER
Management Fee
Yield
Distribution Yield
Price
Current Price
Holdings
32
Total Securities
Inception
Apr 2026
Fund Launch

About ORBX

ORBX (Global X Space Tech Index ETF) is an Equity ETF from Global X, listed on the Toronto Stock Exchange. It tracks the Global X Space Tech Index. The fund has annually (if any) distributions.

Fund Details

Provider Global X
Category Equity
AUM $10.2M
Exchange Toronto Stock Exchange
Currency CAD
Distribution Frequency Annually (if any)
Last Distribution
Domicile Canada
Benchmark Global X Space Tech Index

Growth of $10,000

Compare with other ETFs
Initial Investment
$
Monthly Contribution
$

TWR = Time-Weighted Return (measures fund performance). MWRR = Money-Weighted Return (measures your personal return including contribution timing). Past performance does not guarantee future results.

Top Holdings

Latest data
Holdings sourced from US Global X ORBX (same underlying index).
# Name Ticker Weight
1
R
ROCKET LAB CORP
Industrials
RKLB
22.98%
2
P
PLANET LABS PBC
Industrials
PL
11.12%
3
A
AST SPACEMOBILE INC
Communication Services
ASTS
7.92%
4
F
FIREFLY AEROSPACE INC
Industrials
FLY
6.68%
5
I
INTUITIVE MACHINES INC
Industrials
LUNR
5.77%
6
I
IRIDIUM COMMUNICATIONS INC
Communication Services
IRDM
5.75%
7
V
VIASAT INC
Technology
VSAT
4.32%
8
M
MDA SPACE LTD
Industrials
MDA CN
4.01%
9
G
GLOBALSTAR INC
Communication Services
GSAT
3.73%
10
S
SES
Communication Services
SESG FP
3.70%
11
R
REDWIRE CORP
Industrials
RDW
3.12%
12
Y
YORK SPACE SYSTEMS INC
Industrials
YSS
3.02%
13
A
AVIO SPA
Industrials
AVIO IM
2.59%
14
B
BLACKSKY TECHNOLOGY INC
Industrials
BKSY
2.42%
15
A
ASTROSCALE HOLDINGS INC
Other
186A JP
2.27%

Showing top 15 holdings

Geographic Allocation

1
United States 75.6%
2
Canada 7.7%
3
Multi-National 4.0%
4
Luxembourg 3.8%
5
Japan 3.8%
6
Italy 2.5%
7
Israel 1.8%
8
Sweden 0.9%
9
Europe 0.0%

Sector Allocation

1
Industrial Goods 59.8%
2
Telecommunications 16.4%
3
Technology 8.3%
4
Financial Services 7.7%
5
Exchange Traded Fund 4.0%
6
Cash and Cash Equivalent 3.8%