Global X NASDAQ 100 Collar 95-110 ETF
ALTAR
Score™
3.9% info Recommen-
dation
UNDERWEIGHT
2025E    2026E
P/E
ratio
27.1x P/Sales
ratio
4.7x
P/BV
ratio
5.8x Div.
yield
0.4%


  • Description
  • Performance
  • Comps
  • premium Fundamentals
  • premium Valuation
  • premium Rating
QCLR tracks an index that invests in the Nasdaq 100 stocks while employing an options collar strategy. The collar involves buying 5% puts and selling 10% calls out-of-the-mone

FUND BASICS
Category US Equities
Fund Sponsor Global X
Website www.globalxetfs.com/funds/qclr/
Inception date Aug 25, 2021
Assets (mns) $4
Currency USD
Expense ratio 25 bp
Distributions Semi-annual

FUND STRUCTURE
Regulation Open-Ended Fund
Custodian
Weighting Fixed
Index replication
Uses derivatives Yes
Options available No

SECTOR BREAKDOWN

 


CONSTITUENT BREAKDOWN
No. of constituents 101
Wgt avg mkt cap (mns) $1,765,860
Large cap (>$10bn) 100.0%
Mid cap ($2-10bn) 0.0%
Small cap (<$2bn) 0.0%
Developed mkts 99.5%
Emerging mkts 0.5%

TOP TEN HOLDINGS
NVIDIA CORP 8.7 %
APPLE INC 7.9 %
MICROSOFT CORP 5.8 %
AMAZON.COM INC 4.3 %
META PLATFORMS INC 3.8 %
ALPHABET INC. CLASS A 3.6 %
TESLA MOTORS INC 3.5 %
WAL-MART STORES INC 3.4 %
ALPHABET INC. CLASS C 3.4 %
BROADCOM INC. 3.0 %
Total 47.4 %

TOP COUNTRY EXPOSURE
UNITED STATES 93.5 %
BRITAIN 1.4 %
NETHERLANDS 0.9 %
CANADA 0.9 %
ARGENTINA 0.6 %
IRELAND 0.5 %
CHINA 0.4 %
SPAIN 0.3 %
AUSTRALIA 0.1 %


HISTORICAL PERFORMANCE info

  Custom date range Compare to  
  thru


Standardized Annual Returns (thru January 31)
Year-to-date 1 year 5 years 10 years Since Incep.
0.8% 10.9% -- -- 3.5%

Market Correlations
versus... Beta R-squared
S&P500 0.54 72%
MSCI EAFE 0.47 40%
MSCI Emg. Mkts. 0.46 46%

Technical Indicators
Recent close $27.88
30d moving avg. $28.52
Annualized volatility 12.1%
Short interest (ETF) 1.6%
Relative strength (RSI) 44

Liquidity measures
Avg. volume (thou.) 3
Turnover 2.1%
Bid/Ask (% of price) 0.32%
ADV underlying (mns) $153,217

Distributions


FINDING ALTERNATIVE FUNDS

Below is a list of 30 potential alternatives to the Global X NASDAQ 100 Collar 95-110 ETF ETF based on the alternatives' overlap in portfolio holdings with QCLR. Consider funds with lower expense ratios and/or higher ALTAR Score™ ratings as possible alternatives.

Benchmark ticker: QCLR Expense: 25 bp ALTAR Score™: 3.9%


ALTERNATIVE ETFs BASED ON OVERLAP WITH QCLR
Ticker Fund
Name
Overlap1
vs QCLR
(%)
Expense
ratio
(bp)
Savings
vs QCLR
(bp)
ALTAR
Score™
(%)
ALTAR
vs QCLR
(%)
QYLG Global X Nasdaq 100 Covered Call & Growth ETF 98.5 60 -35 3.4 -0.6
QRMI Global X NASDAQ 100 Risk Managed Income ETF 98.5 60 -35 3.0 -0.9
QTR Global X NASDAQ 100 Tail Risk ETF 98.4 26 -1 4.1 +0.2
NUSI Nationwide Nasdaq-100 Risk-Managed Income ETF 83.3 68 -43 3.1 -0.8
JEPQ J.P. Morgan Nasdaq Equity Premium Income ETF 69.4 35 -10 3.4 -0.5
FTQI First Trust Nasdaq BuyWrite Income ETF 61.9 75 -50 3.0 -0.9
PBP Invesco S&P 500 BuyWrite ETF 52.0 49 -24 3.9 0.0
XYLD Global X S&P 500 Covered Call ETF 51.7 60 -35 3.8 -0.2
XRMI Global X S&P 500 Risk Managed Income ETF 51.6 60 -35 3.8 -0.1
XYLG Global X S&P 500 Covered Call & Growth ETF 51.5 60 -35 4.1 +0.2
XTR Global X S&P 500 Tail Risk ETF 51.0 26 -1 4.9 +1.0
XCLR Global X S&P 500 Collar 95-110 ETF 51.0 25 0 4.7 +0.8
ACIO Aptus Collared Investment Opportunity ETF 50.7 79 -54 3.5 -0.5
SFLR Innovator Equity Managed Floor ETF 47.9 89 -64 3.3 -0.6
EFIV State Street SPDR S&P 500 ESG ETF 46.8 10 15 4.4 +0.5
MMLG First Trust Multi-Manager Large Growth ETF 44.1 85 -60 1.5 -2.4
GARP iShares MSCI USA Quality GARP ETF 42.0 15 10 3.4 -0.5
FTHI First Trust BuyWrite Income ETF 39.6 75 -50 4.1 +0.2
TYLG Global X Information Technology Covered Call & Growth ETF 39.0 60 -35 3.3 -0.7
QQQA ProShares Nasdaq-100 Dorsey Wright Momentum ETF 34.7 58 -33 2.3 -1.7
XVOL Acruence Active Hedge U.S. Equity ETF 21.6 83 -58 3.4 -0.5
CCOR Core Alternative ETF 21.4 107 -82 4.6 +0.7
THNQ ROBO Global Artificial Intelligence ETF 21.1 68 -43 2.1 -1.8
SIXH ETC 6 Meridian Hedged Equity Index Option ETF 19.5 82 -57 5.7 +1.8
DJIA Global X Dow 30 Covered Call ETF 18.1 60 -35 4.4 +0.5
DYLG Global X Dow 30 Covered Call & Growth ETF 17.9 60 -35 4.5 +0.6
DIVO Amplify CWP Enhanced Dividend Income ETF 16.1 55 -30 4.2 +0.3
QUSA VistaShares Target 15 USA Quality Income ETF 9.3 95 -70 0.0 -3.9
KNG FT Vest S&P 500 Dividend Aristocrats Target Income ETF 5.2 75 -50 5.1 +1.1
IDVO Amplify International Enhanced Dividend Income ETF 0.6 65 -40 5.2 +1.3

1Overlap is the percentage of holdings by weight that are identical. For example, if Fund A has a 2% position in Apple, Inc. (AAPL) and Fund B has a 5% position, their overlapping position in AAPL is 2%.

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RESULTS & ESTIMATES

  2020 2021 2022 2023 2024 2025E 2026E
Sales per share ** ** ** ** ** ** **
Earnings per share ** ** ** ** ** ** **
Dividends per share info ** ** ** ** ** ** **
Book value per share ** ** ** ** ** ** **

 

Sales per share growth   **% **% **% **% **% **%
EPS growth   **% **% **% **% **% **%

Sales per share growth   **% **% **% **% **% **%
EPS growth   **% **% **% **% **% **%

OTHER FUNDAMENTAL METRICS

Long term EPS growth est. **%   Debt-to-equity **x
Asset turnover **%   Assets-to-equity **x

Return on equity

Revision activity*
*Six months ago = 100

Net margins

Compound annual growth rates

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VALUATION METRICS
  2024 2025E 2026E
Price-to-sales ** ** **
Price-to-earnings ** ** **
Price-to-cash flow ** ** **
Price-to-growth ** ** **
Price-to-book value ** ** **
Yield ** ** **

Historical valuation trends

Forward
multiple:
Global X NASDAQ 100 Collar 95-110 ETF
Relative
to:
S&P500 MSCI EAFE MSCI Emg. Mkts. Other ETF:

UNDERWEIGHT

Below average appreciation potential. A rating of UNDERWEIGHT is assigned to ETFs with ALTAR Scores in the 2nd quintile (ranking higher than only 20%-40%) of their category. Typically, funds in this category consist of stocks trading at relatively expensive valuations and/or having below-average fundamentals.

ALTAR Score™


Calculation of ALTAR Score™
Avg. Return on Equity 23.4 %
Divided by: Fwd. P/BV 5.6 x
Less: Expense ratio 25 bp
Equals: ALTAR Score 3.9 %
info More information on ALTAR Score™

MODERN PORTFOLIO THEORY info

CONSENSUS RECOMMENDATIONS: FUND CONSTITUENTS
COMPOSITE
RATING
1.52 CATEGORY
AVERAGE
1.58
 
The composite rating is a weighted average of analysts' consensus recommendations for individual ETF constituents, based on the following scale:

BUY = 1; OVERWEIGHT = 1.5, HOLD = 2; UNDERWEIGHT = 2.5; and SELL = 3.

Readers are cautioned that because analyst ratings tend to be inflated, the composite score may be more useful as a relative measure of sentiment between funds rather than as a stand-alone recommendation.
 

 

See RATING tab for calculation of ALTAR Score™
Risk & reward. Uses std. dev. as proxy for risk, ALTAR Score™ for return forecast.
Dividends paid by constituents to the fund. May differ from actual distributions to shareholders due to constituent changes, timing issues or other factors.
Monthly returns based on changes in price plus dividends. May differ from daily returns reported by funds. See below for standardized returns.