Forecasts suggest that clean hydrogen supply could skyrocket 30-fold to 16.4 million metric tons per year by 2030, driven by supportive policy and a maturing project pipeline (Source: BloombergNEF, May 2024).
Advancing Clean Technologies
Hydrogen-powered fuel cells produce zero direct emissions, meaning broader adoption could result in reduced greenhouse gas emissions and improved air quality (Source: US Office of Energy Efficiency & Renewable Energy).
Global Tailwinds
The shift to green energy isn't confined to a single sector or region. The ETF invests accordingly, with global exposure across multiple 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 Hydrogen UCITS ETF (HYGN LN) seeks to invest in companies that
stand to benefit from the advancement of the global hydrogen industry. This
includes companies involved in hydrogen production; the integration of hydrogen
into energy systems; and the development/manufacturing of hydrogen fuel cells,
electrolyzers, and other technologies related to the utilisation of hydrogen as
an energy source.
ETF Objective
The Global X Hydrogen UCITS ETF (HYGN LN) seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the Solactive Global Hydrogen v2 Index.
Regulatory
SFDR Classification
Article 8
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 13 Apr 2026
Primary Ticker
HYGN
Primary ISIN
IE0002RPS3K2
Bloomberg Index Ticker
SOLGHYD2
Number of Holdings
20
Index Provider
Solactive AG
Management Style
Physical - Full Replication - Passively Managed Index Tracking
Key Information
As of 13 Apr 2026
Inception Date
07 Feb 2022
Total Expense Ratio
0.50%
Ongoing Charges
0.50%
Fund AUM
$22,976,785.72
Factsheet
Domicile
Ireland
Investment Manager
Global X Management Company LLC
Custodian
BBH
Asset Class
Equity
Performance History
USD Accumulating
As of recent Month End & Quarter End (31 Mar 2026)
ETF
Index
Difference
1 Year
126.44%
123.15%
3.29%
3 Years
-8.66%
-9.75%
1.10%
Since Inception
-12.58%
-13.25%
0.68%
Trading Information
As of 13 Apr 2026
USD Accumulating (ISIN: IE0002RPS3K2)
Exchange
Trading Currency
Ticker
Listing Date
SEDOL
Net Asset Value (NAV)
Shares Outstanding
Net Assets
London Stock Exchange
USD
HYGN LN
09 Feb 2022
BMQ8669
$10.08 (2.96%)
2,280,000
$22,976,785.72
London Stock Exchange
GBP
HYGG LN
09 Feb 2022
BMQ8670
--
--
--
Deutsche Börse Xetra
EUR
HYCN GY
09 Feb 2022
BMQ86F8
--
--
--
Borsa Italiana
EUR
HYGN IM
17 Feb 2022
BMQ86H0
--
--
--
SIX Swiss Exchange
CHF
HYGN SW
27 Apr 2022
BMQ86G9
--
--
--
Top Holdings
As of 13 Apr 2026
Net Assets (%)
Ticker
Name
Country
SEDOL
Market Price ($)
Shares Held
Market Value ($)
18.50
PLUG
PLUG POWER INC
US
2508386
2.77
1,534,516
4,250,609.32
16.68
BE
BLOOM ENERGY CORP- A
US
BDD1BB8
176.67
21,697
3,833,208.99
12.55
336260 KS
DOOSAN FUEL CELL CO LTD
KR
BH4G7R8
25.21
114,388
2,883,892.44
9.31
BLDP
BALLARD POWER SYSTEMS INC
CA
2120371
2.70
792,633
2,140,109.10
6.87
ITM LN
ITM POWER PLC
GB
B0130H4
1.13
1,395,629
1,578,128.26
4.67
F3C GR
SFC ENERGY AG-BR
DE
B12DGD8
17.45
61,467
1,072,521.52
4.42
NEL NO
NEL ASA
NO
B02NR83
0.22
4,582,069
1,014,608.59
4.36
126340 KS
VINA TECH CO LTD
KR
BBSPWY1
78.02
12,847
1,002,297.17
3.90
CWR LN
CERES POWER HOLDINGS PLC
GB
BG5KQW0
4.10
218,593
895,723.41
2.51
CMI
CUMMINS INC
US
2240202
618.28
932
576,236.96
Sector Breakdown
As of 31 Mar 2026
Sector
Weight (%)
Industrials
85.0
Information Technology
7.1
Consumer Discretionary
3.0
Materials
2.6
Communication Services
2.1
Energy
0.4
Source: AltaVista Research, LLC
Country Breakdown
As of 31 Mar 2026
Country
Weight (%)
United States
39.7
South Korea
22.2
Britain
12.6
Canada
9.7
Germany
5.1
Norway
5.0
Hong Kong
2.7
Sweden
2.0
China
1.0
Source: AltaVista Research, LLC
Industry Breakdown
As of 31 Mar 2026
Industry
Weight (%)
Capital Goods
85.0
Technology Hardware & Equipment
5.0
Automobiles & Components
3.0
Materials
2.6
Semiconductors & Semiconductor Equipment
2.1
Media & Entertainment
2.1
Energy
0.4
Source: AltaVista Research, LLC
ETF Characteristics
As of 13 Apr 2026
Return on Equity
-12.60%
Average Market Cap
7,440 M
2025
2026
Price to Earnings
-12.32
-24.64
Price to Book
2.93
3.32
Source: AltaVista Research, LLC
Securities LendingSecurities Lending Active? Yes
As of 14 Apr 2026
ISIN
Security Description
Currency
Weight
Asset Class
Country of Issue
US91282CGT27
UNITED STATES OF AMER TREAS NOTES
USD
5.92%
Treasury
US
US91282CQF13
UNITED STATES OF AMER TREAS NOTES
USD
5.92%
Treasury
US
FR0012993103
FRANCE(GOVT OF)
EUR
5.92%
Sovereign
FR
FR0000571218
FRANCE(GOVT OF) 5.5% SNR 25/04/29 EUR1'REGS
EUR
5.92%
Sovereign
FR
DE0001141844
GERMANY(FEDERAL REPUBLIC)
EUR
5.92%
Sovereign
DE
GB00BVP99780
UNITED KINGDOM(GOVERNMENT OF)
GBP
4.38%
Sovereign
GB
GB00B3Y1JG82
UNITED KINGDOM(GOVERNMENT OF) IDX/LKD SNR 22/03/2029 GBP