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Reasons to Consider TLTX.U

Resilience in Challenging Market Environments

Long-term U.S. Treasuries have historically shown the potential to perform well during periods of equity market stress or economic slowdown. As investors face uncertainties around growth, inflation, and global demand, TLTX can offer ballast in portfolios when risk assets falter.

Stability

By focusing on U.S. Treasuries with maturities greater than 20 years, TLTX gives investors exposure to long-term bonds that can help balance equity risk, support long-term goals, and complement core fixed income holdings.

Diversification

U.S. Treasuries are considered the global benchmark for safety and liquidity. Holding them adds diversification benefits that Canadian government bonds alone may not be able to offer.

Investment Objective

TLTX seeks to replicate, to the extent possible and net of expenses, the performance of an index that is designed to measure the performance of U.S. treasuries with a remaining term to maturity greater than 20 years (currently, the ICE U.S. Treasury 20+ Year Bond Index).

NAV

$46.19

$-0.38

-0.82%

Volume

11,500

Price

$46.03

$-0.35

-0.75%

Last Close

$46.38

Prices delayed by 15 minutes.

Last Trade: August 11, 2026
Fixed Income
Treasury
U.S.

Risk Rating:

Medium

Product Details

Fund Details

Ticker

TLTX.U

CUSIP

37966J300

Inception Date

October 7, 2025

Net Assets

$33,489,967 As at August 6, 2026

Consolidated Prior Day Volume

1

Average Daily Trading Volume Over a 12 Month Period

3,134

Exchange

Toronto Stock Exchange

Investment Manager

Global X Investments Canada Inc.

Eligibility

All Registered and Non-Registered Investment Accounts

Bloomberg Index Ticker

IDCOT20

Management Fee

0.18% (Plus applicable sales tax)

Management Expense Ratio

0.20% As at December 31, 2025

Trading Expense Ratio

0.01% As at December 31, 2025

Currency

USD

Currency Hedging

No currency hedging is employed

LEI

TBD

Distribution Metrics

As at July 31, 2026

Most Recent Distributions per Unit

$0.27476

Distribution Frequency

Monthly

Record Date

July 31, 2026

Price and NAV

As at August 6, 2026

NAV / Unit

$46.19

Closing Price

$45.97

Premium Discount

$0.04

Premium Discount Percentage

0.09%

Outstanding Shares

725,000

Portfolio Investment Metrics

As at July 31, 2026

Weighted Average Duration

15.27

Average Credit Quality

AA+

Weighted Average Coupon

2.52

Weighted Average Term to Maturity

22.95

The NAV chart above only shows the historical daily net asset value per unit (NAV) of the ETF, and identifies the various distributions made by the ETF, if any. The distributions are not treated as reinvested, and it does not take into account sales, redemption, distribution or optional charges or income taxes payable by any security holder. The NAV values do contemplate management fees and other fund expenses. The chart is not a performance chart and is not indicative of future NAV values which will vary.

Annualized Performance (%)

Investment fund regulations restrict the presentation of performance figures until a fund reaches its one-year anniversary.

Calendar Year Performance (%)

Investment fund regulations restrict the presentation of performance figures until a fund reaches its one-year anniversary.

Distributions

Ex-Dividend Date Record Date Payment Date Payment Amount Type Distribution Period
July 31, 2026 July 31, 2026 August 10, 2026 0.27476 Cash Monthly
June 30, 2026 June 30, 2026 July 8, 2026 0.27413 Cash Monthly
May 29, 2026 May 29, 2026 June 5, 2026 0.26884 Cash Monthly
April 30, 2026 April 30, 2026 May 7, 2026 0.26216 Cash Monthly
March 31, 2026 March 31, 2026 April 9, 2026 0.23380 Cash Monthly
February 27, 2026 February 27, 2026 March 6, 2026 0.22926 Cash Monthly
January 30, 2026 January 30, 2026 February 6, 2026 0.21461 Cash Monthly

Top Sector Allocations

As at July 31, 2026

Category

Weight

GOVERNMENT

99.86%

CASH & CASH EQUIVALENTS

0.14%

Holdings are subject to change.

Top Geographic Exposure

As at July 31, 2026

Category

Weight

UNITED STATES

99.93%

CANADA

0.08%

Holdings are subject to change.

Top Holdings

As at July 31, 2026

Security Name

Weight

U S TREASURY BOND 15-11-2048

5.00%

U S TREASURY BOND 15-02-2048

5.00%

U S TREASURY BOND 15-02-2049

5.00%

U S TREASURY BOND 15-05-2048

5.00%

U S TREASURY BOND 15-11-2046

5.00%

U S TREASURY BOND 15-05-2049

5.00%

U S TREASURY BOND 15-08-2046

5.00%

U S TREASURY BOND 15-08-2047

5.00%

U S TREASURY BOND 15-11-2047

5.00%

U S TREASURY BOND 15-08-2048

5.00%

Holdings are subject to change.

Education

Regulatory & Legal

Financial Reports

Commissions, management fees, and expenses all may be associated with an investment in products (the "Global X Funds") managed by Global X Investments Canada Inc. The Global X Funds are not guaranteed, their values change frequently and past performance may not be repeated. Certain Global X Funds may have exposure to leveraged investment techniques that magnify gains and losses which may result in greater volatility in value and could be subject to aggressive investment risk and price volatility risk. Such risks are described in the prospectus. The Global X Money Market Funds are not covered by the Canada Deposit Insurance Corporation, the Federal Deposit Insurance Corporation, or any other government deposit insurer. There can be no assurances that the money market fund will be able to maintain its net asset value per security at a constant amount or that the full amount of your investment in the Funds will be returned to you. Past performance may not be repeated. The prospectus contains important detailed information about the Global X Funds. Please read the relevant prospectus before investing.

Global X Investments Canada Inc. ("Global X") is a wholly-owned subsidiary of Mirae Asset Global Investments Co., Ltd. ("Mirae Asset"), the Korea-based asset management entity of Mirae Asset Financial Group. Global X is a corporation existing under the laws of Canada and is the manager, investment manager and trustee of the Global X Funds.

© 2026 Global X Investments Canada Inc. All Rights Reserved.