The global robotics market was valued at more than $80bn in 2022, with forecasts suggesting it could reach $283bn by 2032, an increase of more than $200bn in just a decade (Source: Precedence Research, Aug 2023).
Compelling Economics
The average cost of an industrial robot declined from $46,000 in 2010 to $27,000 in 2017 – and is forecast to fall to nearly $7,000 by 2030, as the technology matures (Source: Munich Personal RePEc Archive, Sep 2021)
Unconstrained Approach
Robotics & AI have wide-reaching application, extending far beyond industrial activity. The ETF invests accordingly, with global exposure across multiple sectors and industries.
Capital at Risk. All financial investments involve an element of risk. Therefore, the value of your investment and the income from it will vary and your initial investment amount cannot be guaranteed.
ETF Summary
The Global X Robotics & Artificial Intelligence UCITS ETF (BOTZ LN) seeks to
invest in companies that potentially stand to benefit from increased adoption
and utilization of robotics and artificial intelligence (AI), including those
involved with industrial robotics and automation, non-industrial robots, and
autonomous vehicles.
ETF Objective
The Global X Robotics & Artificial Intelligence UCITS ETF (BOTZ LN) seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the Indxx Global Robotics & Artificial Intelligence Thematic v2 Index.
Regulatory
SFDR Classification
Article 6
UCITS Compliant
Yes
ISA Eligibility
Yes
SIPP Eligibility
Yes
UK Reporting Status
Yes
Authorized Participants & Market Makers
Citigroup Global Markets, DRW Europe BV, Flow Traders BV, GHCO LLP, HSBC Bank PLC, Jane Street Financial Ltd, Mirae Asset Securities UK Ltd, Societe Generale SA, Susquehanna Intl Ltd, Virtu Financial Ireland Ltd, JP Morgan Securities PLC
Trading Details
As of 29 Apr 2026
Primary Ticker
BOTZ
Primary ISIN
IE00BLCHJB90
Bloomberg Index Ticker
IBOTZN2
Number of Holdings
55
Index Provider
Indxx
Management Style
Physical - Full Replication - Passively Managed Index Tracking
Key Information
As of 28 Apr 2026
Inception Date
16 Nov 2021
Total Expense Ratio
0.50%
Ongoing Charges
0.50%
Fund AUM
$135,953,904.94
Product Profile
Domicile
Ireland
Investment Manager
Global X Management Company LLC
Custodian
BBH
Asset Class
Equity
Distributions(Distributing Share Class Only)
Distribution Frequency
Semi-Annually
Distribution Calendar
Sector Breakdown
As of 31 Mar 2026
Sector
Weight (%)
Information Technology
42.9
Industrials
39.9
Health Care
12.0
Energy
3.2
Consumer Discretionary
1.1
Financials
0.9
Materials
0.1
Source: AltaVista Research, LLC
Country Breakdown
As of 31 Mar 2026
Country
Weight (%)
United States
41.3
Japan
29.7
Switzerland
9.3
China
8.2
South Korea
4.7
Hong Kong
2.6
Norway
1.2
Britain
1.2
Canada
0.9
Finland
0.9
Source: AltaVista Research, LLC
Industry Breakdown
As of 31 Mar 2026
Industry
Weight (%)
Capital Goods
39.0
Technology Hardware & Equipment
17.7
Software & Services
12.4
Health Care Equipment & Services
11.0
Semiconductors & Semiconductor Equipment
8.6
Software - Application
3.6
Energy
3.2
Automobiles & Components
1.8
Pharmaceuticals, Biotechnology & Life Sciences
1.0
Financial Services
0.9
Software - Infrastructure
0.5
Other
0.3
Source: AltaVista Research, LLC
ETF Characteristics
As of 28 Apr 2026
Return on Equity
13.40%
Average Market Cap
519,410 M
2025
2026
Price to Earnings
38.05
30.63
Price to Book
4.30
3.92
Source: AltaVista Research, LLC
Securities LendingSecurities Lending Active? Yes
As of 30 Apr 2026
ISIN
Security Description
Currency
Weight
Asset Class
Country of Issue
FR0013516549
FRANCE(GOVT OF)
EUR
9.16%
Sovereign
FR
NL0015000RP1
NETHERLANDS (KINGDOM OF)
EUR
9.16%
Sovereign
NL
GB00BMGR2916
UNITED KINGDOM(GOVERNMENT OF) 0.625% BDS 31/07/35 GBP1000
GBP
9.16%
Sovereign
GB
GB00BPJJKN53
UNITED KINGDOM(GOVERNMENT OF)
GBP
9.15%
Sovereign
GB
DE000BU22114
GERMANY(FEDERAL REPUBLIC)
EUR
5.60%
Sovereign
DE
FR001400X8V5
FRANCE(GOVT OF)
EUR
4.22%
Sovereign
FR
FR0013286192
FRANCE(GOVT OF)
EUR
3.50%
Sovereign
FR
FR0013250560
FRANCE(GOVT OF)
EUR
3.48%
Sovereign
FR
US91282CGT27
UNITED STATES OF AMER TREAS NOTES
USD
2.83%
Treasury
US
US91282CLE92
UNITED STATES OF AMER TREAS NOTES
USD
2.83%
Treasury
DE
Performance History
USD Accumulating
As of recent Month End & Quarter End (31 Mar 2026)