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MLDR Global X - Intermediate-Term Treasury Ladder ETF

48.34 0 (0.00%)

Quote as of Aug 26, 2026 13:46 UTC · Market data delayed approximately 15–20 minutes unless otherwise indicated.

Compare Overlap News
Previous Close48.34 Day Range48.11 – 48.34
52-Week Range48.02 – 50.28 Volume19
Avg Volume348 AUM$8.7M (Aug 27, 2026)
Expense Ratio0.12% Yield (TTM)3.85%
NAV48.33 Premium/Discount+0.01% indicative
InceptionSep 09, 2024 Holdings68
IssuerGlobal X ExchangeAMEX
CategoryTreasury Bonds Index TrackedNot stated in source data
CUSIP37960A396 ISINUS37960A3968
ManagementNot stated in source data

About this ETF

The Global X Intermediate-Term Treasury Ladder ETF, identified by its ticker MLDR, aims to deliver investment returns that broadly align with the price movements and income generated by the FTSE US Treasury 3-10 Years Laddered Bond Index. This performance objective is stated prior to the deduction of any associated fees and operational expenses.

Description from the fund data provider · profile as of Aug 27, 2026.

Price Chart

Daily closing prices (price return, not total return). Comparison lines are normalized to percent change from the range start. Source: Financial Modeling Prep.

Performance

1M3M6MYTD1Y3Y*5Y*10Y*Incep.*
Price return +0.48% -0.58% -3.42% -2.56% -2.19% -2.00%
Total return +0.83% +0.42% -1.51% -0.33% +1.55% +1.54%

* Annualized. Total return uses the dividend-adjusted price series (distributions reinvested); price return uses unadjusted closes. Performance through Aug 25, 2026. Past performance does not guarantee future results.

Fees

Net expense ratio0.12% Annual cost of a $10,000 investment$12.00

Illustrative calculation only: expense ratio × $10,000. It excludes trading costs, bid/ask spreads, taxes and changes in investment value. Gross vs. net expense details and any fee waivers are in the prospectus.

Holdings

Holdings as of Aug 22, 2026 — portfolio reporting date from the data provider; holdings are not live positions. 70 rows in database.

#HoldingTickerWeightSharesMarket Value
1 T 4 1/4 11/15/34 (BRK14Z4) 4.55% 400.00K $393.7K
2 T 3 7/8 08/15/34 (BR2NN62) 4.34% 395.00K $375.5K
3 T 4 1/4 08/15/35 (BQT2LK5) 4.14% 370.00K $358.5K
4 T 4 1/2 05/31/29 (BS3FRV7) 4.11% 350.00K $355.5K
5 T 4 1/2 11/15/33 (BRBS4K9) 3.84% 330.00K $332.4K
6 T 4 1/8 02/15/36 (BWBZNP3) 3.70% 335.00K $320.4K
7 T 4 1/4 05/15/35 (BPJK9X1) 3.63% 320.00K $314.0K
8 T 4 1/4 01/31/30 (BSPRXW4) 3.41% 295.00K $294.9K
9 T 4 5/8 02/15/35 (BRXZ4W0) 2.89% 250.00K $249.6K
10 T 4 02/15/34 (BS2G1B9) 2.56% 230.00K $221.5K
11 T 4 11/15/35 (BMJ0P87) 2.55% 230.00K $220.5K
12 T 4 1/8 10/31/31 (BSZ7PL7) 2.42% 210.00K $209.6K
13 T 3 3/8 05/15/33 (BQYLTK3) 2.34% 215.00K $202.4K
14 T 3 5/8 10/31/30 (BV3PBM7) 2.27% 200.00K $196.5K
15 T 3 5/8 12/31/30 (BSSBJ14) 2.25% 200.00K $195.0K
16 T 4 3/8 05/15/34 (BQSB5K1) 2.25% 195.00K $194.3K
17 T 4 7/8 10/31/30 (BMWPXY1) 2.09% 175.00K $180.9K
18 T 4 1/8 02/29/32 (BTJX0S0) 2.03% 175.00K $175.6K
19 T 4 04/30/32 (BN2RK87) 1.77% 155.00K $153.3K
20 T 4 1/2 12/31/31 (BS60BL7) 1.75% 150.00K $151.3K
21 T 3 1/2 02/15/33 (BQXLPX9) 1.63% 150.00K $141.4K
22 T 3 3/4 02/28/33 (BTY4Z83) 1.46% 130.00K $126.7K
23 T 3 7/8 09/30/29 (BN6ML52) 1.45% 125.00K $125.3K
24 T 4 01/31/33 (BWQLSF1) 1.41% 125.00K $121.6K
25 T 4 1/8 03/31/32 (BSZCCS8) 1.39% 120.00K $119.9K
Show all 70 holdings →

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Sector Exposure

Cash & Others 100.00%

Geographic Exposure

United States (developed) 99.73%
Other 0.27%

Country weights as reported by the data provider. Developed/emerging/frontier labels follow the classification on the Methodology page. Currency hedged: No hedging indicated in the fund name.

Distributions

Yield (TTM)3.85% Paid (last 12 months)$1.8560
FrequencyMonthly SEC yieldNot provided by our data source — see the issuer page
Last ex-dateAug 03, 2026 Last payment$0.1600 (Aug 06, 2026)
Growth 1Y Growth 3Y / 5Y (ann.)— / —
Ex-dateRecordPay dateAmount
Aug 03, 2026Aug 03, 2026 Aug 06, 2026$0.1600
Jul 01, 2026Jul 01, 2026 Jul 07, 2026$0.1600
Jun 01, 2026Jun 01, 2026 Jun 04, 2026$0.1590
May 01, 2026May 01, 2026 May 06, 2026$0.1580
Apr 01, 2026Apr 01, 2026 Apr 07, 2026$0.1590
Mar 02, 2026Mar 02, 2026 Mar 05, 2026$0.1550
Feb 02, 2026Feb 02, 2026 Feb 05, 2026$0.1550
Dec 30, 2025Dec 30, 2025 Jan 07, 2026$0.1510
Dec 01, 2025Dec 01, 2025 Dec 08, 2025$0.1510
Nov 03, 2025Nov 03, 2025 Nov 10, 2025$0.1510
Oct 01, 2025Oct 01, 2025 Oct 08, 2025$0.1510
Sep 02, 2025Sep 02, 2025 Sep 09, 2025$0.1460

Trailing distribution yield = last 12 months of cash ÷ current price. It is NOT the SEC 30-day yield and distributions are not guaranteed to continue. The difference explained →

Risk Statistics

Volatility 1Y / 3Y3.54% / — Sharpe 1Y / 3Y-0.592 / —
Max drawdown 1Y / 3Y-3.24% / — Sortino 1Y-0.832
Beta vs S&P 500 (3Y)0 Correlation vs S&P 500 (1Y)0.246
Downside deviation 1Y2.52% Risk-free rate used3.72% (3M T-bill, FRED)

Computed by ETF Explorer from daily dividend-adjusted closes; volatility and drawdown are annualized/period figures; S&P 500 exposure proxied by SPY. As of Aug 26, 2026. Formulas →

Liquidity

Volume today19 Average volume348
AUM$8.7M Premium/Discount+0.01%
Bid/Ask spreadNot provided by our data source. Check your broker's quote screen; spreads are widest at the open and close.

Premium/discount compares the delayed market price with the last reported NAV — an indicative figure, not the official closing premium/discount. How ETF liquidity works →

Fund Flows (estimated)

PeriodEst. net flow% of starting AUMAUM start → end
1 Day $12.2K +0.14% $8.7M → $8.7M
1 Week -$9.0K -0.10% $8.7M → $8.7M

ETF Explorer estimate: change in reported AUM minus the market-move effect, from our own daily snapshots. Not official issuer creation/redemption data.

Official Fund Resources

External links open the issuer's site or SEC EDGAR in a new tab. The prospectus and official documents are always the authoritative source — review them before investing.

Latest News for MLDR

No articles mention this fund directly in the last 7 days — showing general ETF coverage.

All news for MLDR →

Guided help: AUM is fund size. The expense ratio is the yearly cost baked into returns. NAV is the value of what the fund owns per share; the market price can sit slightly above (premium) or below (discount) it. Total return assumes distributions were reinvested. Every dataset shows its own as-of date because holdings, assets and quotes update on different schedules.

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