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NASDAQ · Statistics

Global X Robotics & AI ETF (BOTZ) Fund Statistics & Key Metrics

Trading range, market value, distribution yield, volume, and risk metrics for BOTZ, refreshed each market session.

Section freshness

Prices as of Sep 29, 10:09 AM EDT

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The numbers most investors check first

Trailing earnings are 3.0% of the price, and the price sits 33% of the way from the 52-week low to the high.

Market value

—

Distribution yield

0.50%

Expense ratio

0.68%

Beta (5Y)

—

52w high

$41.71

Shares out

—

Trading profile

Distribution yield
0.50%
Forward yield
Net assets
$3.44B
Expense ratio
0.68%
Portfolio turnover
12.11%
52w high
$41.71
52w low
$31.88

Long-run compounding

CAGR since earliest tracked data.

This is the annualized price change across the stored history. A 5-year, 10-year, or 20-year label is used only when a session sits within 10 days of that anniversary. Otherwise the horizon says not available. Dividends are not included.

5Y CAGR
Not available
Needs a session within 10 days of the 5-year anniversary.
10Y CAGR
Not available
Needs a session within 10 days of the 10-year anniversary.
20Y CAGR
Not available
Needs a session within 10 days of the 20-year anniversary.
First tracked close
$14.16
September 13, 2016
History span
10 yrs
Sep 13, 2016 to Sep 28, 2026 · 2,524 closes
Latest tracked close
$35.13
September 28, 2026
Tracked high
$41.69
May 13, 2026
Tracked low
$14.10
December 2, 2016
History source
Long range

Per-share & range

Distribution yield
0.50%
Forward yield
52w high
$41.71
52w low
$31.88

Frequently asked

Common questions.

How large is Global X Robotics & AI ETF?

Global X Robotics & AI ETF (BOTZ) reports $3.4 billion in net assets on its latest fund profile.

Where do TECHi's BOTZ statistics come from?

BOTZ statistics combine exchange quotes with company filings through TECHi's market-data providers. Any figure that is missing or out of date is left blank rather than estimated.

All data sources

Search the dated figures used for this view. Each entry identifies its units, reporting period and calculation status.

How to use this page

Use this to evaluate the fund exposure before reacting to price.

Best for Holdings, flow confirmation, trend context, and concentration risk.

Weak when Fund data is delayed or holdings changed after the latest published file.

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Regular hours: 9:30 AM–4:00 PM America/New_York

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Exchange calendar includes scheduled holidays and early closes. Extended-session prices appear separately only when supplied by the quote source.