12 Best Global ETFs To Buy

12 Best Global ETFs To Buy

  • 21.03.2025 18:00
  • insidermonkey.com
  • Keywords: High Risk

Insider Monkey highlights top global ETFs ranked by 5-year performance up to March 2025, offering diverse sector exposure for investors seeking global opportunities.

Meta ProductsGS/PAsentiment_satisfied

Estimated market influence

First Trust Dow Jones International Internet ETF (NASDAQ:FDNI)

Positivesentiment_satisfied
Analyst rating: N/A

The fund has a 5-year share price performance of 60.93% as of March 21, 2025.

Alibaba Group Holding Limited (NYSE:BABA)

Positivesentiment_satisfied
Analyst rating: N/A

Largest holding of FDNI; introduced new AI model R1-Omni; bullish by 107 hedge funds in Q4.

Global X Social Media ETF (NASDAQ:SOCL)

Positivesentiment_satisfied
Analyst rating: N/A

5-year performance of 73.47%; includes Meta Platforms as a top holding.

Meta Platforms, Inc. (NASDAQ:META)

Positivesentiment_satisfied
Analyst rating: N/A

Develops products for social media; testing AI chip; bullish by 262 hedge funds in Q4.

First Trust Indxx Global Natural Resources Income ETF (NASDAQ:FTRI)

Positivesentiment_satisfied
Analyst rating: N/A

5-year performance of 78.23%; includes Agnico Eagle Mines Limited as a top holding.

Agnico Eagle Mines Limited (NYSE:AEM)

Positivesentiment_satisfied
Analyst rating: N/A

Acquired O3 Mining Inc.; bullish by 53 hedge funds in Q4.

Invesco DB Precious Metals Fund (DBP)

Positivesentiment_satisfied
Analyst rating: N/A

Exposure to gold, silver, platinum, palladium; gold price reached $2000 per ounce.

Gold

Positivesentiment_satisfied
Analyst rating:

Strong demand from central banks; bullish by 75 hedge funds in Q4.

SPDR Bloomberg Barclays Short-Term TIPS ETF (STIP)

Positivesentiment_satisfied
Analyst rating: N/A

Exposure to short-term TIPS; CPI increased to 3.8%; bullish by 92 hedge funds in Q4.

TIPS

Positivesentiment_satisfied
Analyst rating: N/A

Designed to protect against inflation; prices rose due to CPI increase.

iShares Global Financials ETF (IXG)

Positivesentiment_satisfied
Analyst rating: N/A

5-year performance of 84.56%; includes JPMorgan Chase & Co. as a top holding.

JPMorgan Chase & Co. (NYSE:JPM)

Positivesentiment_satisfied
Analyst rating: N/A

Record quarterly earnings; dividend increased by 8%.

Vanguard FTSE Developed Markets ETF (VDM)

Positivesentiment_satisfied
Analyst rating: N/A

Exposure to developed markets; includes Nestlé S.A. as a top holding.

Nestlé S.A. (OTC:NSRGY)

Positivesentiment_satisfied
Analyst rating: N/A

Acquired Blue Bottle Coffee for $6.7 billion.

iShares MSCI Emerging Markets ETF (EEM)

Positivesentiment_satisfied
Analyst rating: N/A

Exposure to emerging markets; includes Alibaba Group Holding Limited as a top holding.

Alibaba Group Holding Limited (NYSE:BABA)

Positivesentiment_satisfied
Analyst rating: N/A

Acquired majority stake in Indian e-commerce firm Paytm for $2.5 billion.

SPDR S&P Aerospace & Defense ETF (XAR)

Positivesentiment_satisfied
Analyst rating: N/A

Exposure to aerospace and defense sector; includes Lockheed Martin Corporation as a top holding.

Lockheed Martin Corporation (NYSE:LMT)

Positivesentiment_satisfied
Analyst rating: N/A

Largest contract in company history for F-35 fighter jets.

iShares Global Energy ETF (IXM)

Positivesentiment_satisfied
Analyst rating: N/A

Exposure to global energy companies; includes Exxon Mobil Corporation as a top holding.

Exxon Mobil Corporation (NYSE:XOM)

Positivesentiment_satisfied
Analyst rating: N/A

Investing $50 billion in renewable energy projects over the next decade.

SPDR S&P Biotech ETF (XBI)

Positivesentiment_satisfied
Analyst rating: N/A

Exposure to biotechnology sector; includes Amgen Inc. as a top holding.

Amgen Inc. (NASDAQ:AMGN)

Positivesentiment_satisfied
Analyst rating: N/A

FDA approved new cancer drug Blinatumumab.

Invesco Solar ETF (TAN)

Positivesentiment_satisfied
Analyst rating: N/A

Exposure to solar energy sector; includes NextEra Energy Inc. as a top holding.

NextEra Energy Inc. (NYSE:NEE)

Positivesentiment_satisfied
Analyst rating: N/A

Investing $40 billion in new solar and wind projects over the next five years.

Context

Analysis of Top 12 Global ETFs

Key Insights

  • The list includes ETFs across diverse sectors: technology, social media, natural resources, precious metals, financials, developed markets, emerging markets, aerospace & defense, energy, biotech, solar, and short-term TIPS.
  • Performance varies significantly, with the best-performing ETF (Invesco Solar ETF) delivering 98.12% over five years as of March 21, 2025.

Top Performing ETFs and Market Implications

1. Invesco Solar ETF (TAN)

  • 5-Year Performance: 98.12%
  • Focuses on solar energy companies like NextEra Energy Inc., which announced a $40 billion investment in renewable energy projects.
  • Indicates strong investor interest in clean energy and sustainability trends.

2. SPDR S&P Biotech ETF (XBI)

  • 5-Year Performance: 95.67%
  • Top holding Amgen Inc. received FDA approval for a new cancer drug, highlighting growth opportunities in biotechnology.
  • Reflects the growing importance of healthcare innovation and personalized medicine.

3. iShares Global Energy ETF (IXM)

  • 5-Year Performance: 93.45%
  • Exxon Mobil Corporation announced a $50 billion investment in renewable energy, signaling a shift toward clean energy strategies.
  • Suggests long-term structural changes in the energy sector.

4. SPDR S&P Aerospace & Defense ETF (XAR)

  • 5-Year Performance: 91.23%
  • Lockheed Martin secured a $20 billion contract for F-35 fighter jets, underscoring defense spending trends.
  • Highlights geopolitical tensions and increased military investments.

5. iShares MSCI Emerging Markets ETF (EEM)

  • 5-Year Performance: 89.01%
  • Alibaba’s expansion into India’s digital payments sector through the acquisition of Paytm indicates growing opportunities in emerging markets.
  • Reflects China’s increasing global economic influence.

6. Vanguard FTSE Developed Markets ETF (VDM)

  • 5-Year Performance: 86.78%
  • Nestlé’s $6.7 billion acquisition of Blue Bottle Coffee highlights the premiumization trend in consumer goods.
  • Suggests strong demand for specialty products in developed markets.

7. iShares Global Financials ETF (IXG)

  • 5-Year Performance: 84.56%
  • JPMorgan Chase reported record earnings and a dividend increase, signaling resilience in the financial sector.
  • Indicates continued confidence in global banking and financial institutions.

8. SPDR Bloomberg Barclays Short-Term TIPS ETF (STIP)

  • 5-Year Performance: 82.34%
  • Strong demand for TIPS amid rising inflation (CPI increased to 3.8%) highlights the importance of inflation protection in portfolios.
  • Reflects investor concern about inflationary pressures.

9. Invesco DB Precious Metals Fund (DBP)

  • 5-Year Performance: 80.12%
  • Gold prices reached $2,000 per ounce, driven by central bank demand and inflation concerns.
  • Suggests safe-haven demand for precious metals in uncertain economic conditions.

10. First Trust Indxx Global Natural Resources Income ETF (FTRI)

  • 5-Year Performance: 78.23%
  • Agnico Eagle Mines completed the acquisition of O3 Mining, expanding its gold production capacity.
  • Highlights growth opportunities in the natural resources sector.

11. Global X Social Media ETF (SOCL)

  • 5-Year Performance: 73.47%
  • Meta Platforms is developing an AI chip to reduce dependence on external suppliers, signaling technological advancements in the social media space.
  • Reflects ongoing innovation and competition in digital platforms.

12. First Trust Dow Jones International Internet ETF (FDNI)

  • 5-Year Performance: 60.93%
  • Alibaba introduced a new AI model (R1-Omni) for emotion recognition, showcasing advancements in artificial intelligence.
  • Indicates the growing role of AI in global tech companies.

Competitive Dynamics and Strategic Considerations

  • Sector Growth: ETFs in renewable energy (TAN), biotech (XBI), and aerospace & defense (XAR) showed the highest returns, reflecting sector-specific growth trends.
  • Hedge Fund Sentiment: Alibaba, Meta Platforms, and JPMorgan Chase saw increased bullish sentiment from hedge funds, indicating investor confidence in these companies.
  • Mergers and Acquisitions: Major acquisitions by Nestlé, Agnico Eagle Mines, and Lockheed Martin highlight strategic moves to expand market share and enhance competitive positioning.

Long-Term Effects and Regulatory Impacts

  • The shift toward renewable energy (Exxon’s $50 billion investment) suggests long-term structural changes in the energy sector.
  • Inflation protection (STIP) and precious metals (DBP) remain critical as central banks navigate monetary policy tightening.
  • AI advancements (Alibaba, Meta) could drive future innovation and competitive dynamics across industries.

Summary

The top 12 global ETFs provide diverse exposure to sectors with strong growth potential. Investors should consider:

  • Diversification: Across emerging markets (EEM), developed markets (VDM), and niche sectors like solar energy (TAN) and biotech (XBI).
  • Inflation Protection: Short-term TIPS (STIP) and precious metals (DBP) for hedging against inflation.
  • Technology and Innovation: Focus on ETFs with exposure to AI-driven companies (FDNI, SOCL) and renewable energy (TAN).

These insights highlight the importance of sector-specific trends, competitive dynamics, and macroeconomic factors in shaping investment opportunities.