
GLOBAL X MANAGEMENT CO LLC
Latest 13F filing data - Q2 2018
Holdings (Top positions)
| Stock | Ticker | ||
|---|---|---|---|
![]() | CMC | 28K | $599.00K |
![]() | IDCC | 28K | $2.27M |
![]() | NSC | 28K | $4.21M |
![]() | HRTX | 28K | $1.08M |
![]() | STN | 28K | $712.00K |
![]() | DNOW | 28K | $367.00K |
![]() | MDT | 27K | $2.31M |
![]() | VMC | 27K | $3.46M |
![]() | NTGR | 26K | $1.65M |
![]() | KEY | 26K | $512.00K |
![]() | BAX | 26K | $1.93M |
![]() | OXY | 26K | $2.17M |
![]() | QD | 26K | $229.00K |
![]() | COP | 26K | $1.79M |
![]() | USB | 26K | $1.29M |
![]() | CRM | 25K | $3.40M |
![]() | VFC | 25K | $2.03M |
![]() | TXN | 25K | $2.74M |
![]() | MRK | 25K | $1.50M |
![]() | HST | 25K | $519.00K |

Commercial Metals Company
CMC
Shares Held
28K
Value
$599.00K

InterDigital, Inc.
IDCC
Shares Held
28K
Value
$2.27M

Norfolk Southern Corporation
NSC
Shares Held
28K
Value
$4.21M

Heron Therapeutics, Inc.
HRTX
Shares Held
28K
Value
$1.08M

Stantec Inc.
STN
Shares Held
28K
Value
$712.00K

Dnow Inc.
DNOW
Shares Held
28K
Value
$367.00K

Medtronic plc
MDT
Shares Held
27K
Value
$2.31M

Vulcan Materials Company
VMC
Shares Held
27K
Value
$3.46M

NETGEAR, Inc.
NTGR
Shares Held
26K
Value
$1.65M

KeyCorp
KEY
Shares Held
26K
Value
$512.00K

Baxter International Inc.
BAX
Shares Held
26K
Value
$1.93M

Occidental Petroleum Corporation
OXY
Shares Held
26K
Value
$2.17M

Qudian Inc.
QD
Shares Held
26K
Value
$229.00K

ConocoPhillips
COP
Shares Held
26K
Value
$1.79M

U.S. Bancorp
USB
Shares Held
26K
Value
$1.29M

Salesforce, Inc.
CRM
Shares Held
25K
Value
$3.40M

V.F. Corporation
VFC
Shares Held
25K
Value
$2.03M

Texas Instruments Incorporated
TXN
Shares Held
25K
Value
$2.74M

Merck & Co., Inc.
MRK
Shares Held
25K
Value
$1.50M

Host Hotels & Resorts, Inc.
HST
Shares Held
25K
Value
$519.00K
