GLOBAL X FUNDS Global X MLP ETF (MLPA)

GLOBAL X FUNDS (THE "TRUST")

SUPPLEMENT DATED JULY 14, 2023 TO THE STATUTORY PROSPECTUS AND STATEMENT OF ADDITIONAL INFORMATION ("SAI") FOR THE SERIES OF THE TRUST INCLUDED IN SCHEDULE A, AS SUPPLEMENTED AND AMENDED FROM TIME TO

TIME

Capitalized terms and certain other terms used in this supplement, unless otherwise defined in this supplement, have the meanings assigned to them in the Statutory Prospectus and SAI.

The supplements dated March 29, 2023 and April 1, 2023 to the Statutory Prospectus and Statement of Additional Information for each of the funds listed in Schedule A below (the "Funds") are amended to clarify that the Funds' custodian, transfer agent and securities lending agent will transition from Brown Brothers Harriman & Co. to The Bank of New York Mellon on or about July 24, 2023.

SCHEDULE A

FUND NAME Global X Aging Population ETF

Global X Clean Water ETF Global X Emerging Markets Internet & E-commerce ETF

Global X MSCI Argentina ETF Global X MSCI China Communication Services ETF Global X MSCI China Consumer Discretionary ETF

Global X MSCI Next Emerging & Frontier ETF Global X MSCI Pakistan ETF

Global X MSCI SuperDividend? Emerging Markets ETF Global X MSCI Vietnam ETF

Global X Renewable Energy Producers ETF Global X SuperDividend? ETF

Global X S&P 500? Tail Risk ETF

DATE OF STATUTORY PROSPECTUS, AS MAY

BE SUPPLEMENTED FROM TIME TO TIME

April 1, 2023 April 1, 2023 March 1, 2023 March 1, 2023 March 1, 2023 March 1, 2023 March 1, 2023 March 1, 2023 March 1, 2023 March 1, 2023 March 1, 2023 March 1, 2023 March 1, 2023

DATE OF STATEMENT OF ADDITIONAL

INFORMATION, AS MAY BE SUPPLEMENTED FROM

TIME TO TIME April 1, 2023 April 1, 2023 March 1, 2023 March 1, 2023 March 1, 2023 March 1, 2023 March 1, 2023 March 1, 2023 March 1, 2023 March 1, 2023 March 1, 2023 March 1, 2023 March 1, 2023

PLEASE RETAIN THIS SUPPLEMENT FOR FUTURE REFERENCE

GLOBAL X FUNDS (THE "TRUST")

SUPPLEMENT DATED JUNE 30, 2023 TO THE STATUTORY PROSPECTUS AND STATEMENT OF ADDITIONAL INFORMATION ("SAI") FOR THE SERIES OF THE TRUST INCLUDED IN SCHEDULE A, AS SUPPLEMENTED AND AMENDED FROM TIME TO

TIME

Capitalized terms and certain other terms used in this supplement, unless otherwise defined in this supplement, have the meanings assigned to them in the Statutory Prospectus and SAI.

The supplements dated March 29, 2023 and April 1, 2023 to the Statutory Prospectus and Statement of Additional Information for each of the funds listed in Schedule A below (the "Funds") are amended to clarify that the Funds' custodian, transfer agent and securities lending agent will transition from Brown Brothers Harriman & Co. to The Bank of New York Mellon on or about July 10, 2023.

SCHEDULE A

FUND NAME Global X Green Building ETF

Global X CleanTech ETF Global X FinTech ETF Global X Internet of Things ETF Global X Social Media ETF Global X Hydrogen ETF Global X Metaverse ETF

Global X Solar ETF Global X Wind Energy ETF Global X Artificial Intelligence & Technology ETF Global X Data Center REITs & Digital Infrastructure ETF Global X Video Games & Esports ETF Global X Cybersecurity ETF Global X Silver Miners ETF

DATE OF STATUTORY PROSPECTUS, AS MAY

BE SUPPLEMENTED FROM TIME TO TIME

April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 March 1, 2023

DATE OF STATEMENT OF ADDITIONAL

INFORMATION, AS MAY BE SUPPLEMENTED FROM

TIME TO TIME April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 March 1, 2023

PLEASE RETAIN THIS SUPPLEMENT FOR FUTURE REFERENCE

GLOBAL X FUNDS (THE "TRUST")

SUPPLEMENT DATED JUNE 21, 2023 TO THE STATUTORY PROSPECTUS AND STATEMENT OF ADDITIONAL INFORMATION ("SAI") FOR THE SERIES OF THE TRUST INCLUDED IN SCHEDULE A, AS SUPPLEMENTED AND AMENDED FROM TIME TO

TIME

Capitalized terms and certain other terms used in this supplement, unless otherwise defined in this supplement, have the meanings assigned to them in the Statutory Prospectus and SAI.

The supplements dated March 29, 2023 and April 1, 2023 to the Statutory Prospectus and Statement of Additional Information for each of the funds listed in Schedule A below (the "Funds") are amended to clarify that the Funds' custodian, transfer agent and securities lending agent will transition from Brown Brothers Harriman & Co. to The Bank of New York Mellon on or about June 26, 2023.

SCHEDULE A

FUND NAME Global X E-Commerce ETF Global X MSCI Colombia ETF Global X MSCI China Consumer Staples ETF Global X MSCI China Energy ETF Global X MSCI China Financials ETF Global X MSCI China Health Care ETF Global X MSCI China Industrials ETF Global X MSCI China Information Technology ETF Global X MSCI China Materials ETF Global X MSCI China Real Estate ETF Global X MSCI China Utilities ETF Global X MSCI SuperDividend? EAFE ETF Global X Emerging Markets Bond ETF Global X AgTech & Food Innovation ETF

DATE OF STATEMENT OF

DATE OF STATUTORY

ADDITIONAL

PROSPECTUS, AS MAY BE INFORMATION, AS MAY

SUPPLEMENTED FROM BE SUPPLEMENTED FROM

TIME TO TIME

TIME TO TIME

March 1, 2023

March 1, 2023

March 1, 2023

March 1, 2023

March 1, 2023

March 1, 2023

March 1, 2023

March 1, 2023

March 1, 2023

March 1, 2023

March 1, 2023

March 1, 2023

March 1, 2023

March 1, 2023

March 1, 2023

March 1, 2023

March 1, 2023

March 1, 2023

March 1, 2023

March 1, 2023

March 1, 2023

March 1, 2023

March 1, 2023

March 1, 2023

April 1, 2023

April 1, 2023

April 1, 2023

April 1, 2023

PLEASE RETAIN THIS SUPPLEMENT FOR FUTURE REFERENCE

GLOBAL X FUNDS (THE "TRUST")

SUPPLEMENT DATED APRIL 1, 2023 TO THE STATUTORY PROSPECTUS AND STATEMENT OF ADDITIONAL INFORMATION ("SAI") FOR THE SERIES OF THE TRUST LISTED IN SCHEDULE A AND SCHEDULE B HERETO (TOGETHER, "THE FUNDS"),

AS SUPPLEMENTED AND AMENDED FROM TIME TO TIME

Capitalized terms and certain other terms used in this supplement, unless otherwise defined in this supplement, have the meanings assigned to them in the respective Statutory Prospectus and SAI.

From the date of this supplement until on or about June 30, 2023, the following disclosures are in effect and shall supersede the corresponding disclosure in each Fund's Statutory Prospectus and SAI.

1a. For the Funds listed in Schedule A hereto, until on or about June 30, 2023, the following disclosure replaces and supersedes the second paragraph of the section titled "OTHER SERVICE PROVIDERS" in the Funds' Statutory Prospectus:

Brown Brothers Harriman & Co. is the custodian and transfer agent for each Fund.

1b. For the Funds listed in Schedule A hereto, until on or about June 30, 2023, the following disclosure replaces and supersedes the section titled "Custodian and Transfer Agent" of the Funds' Statutory Prospectus:

Custodian and Transfer Agent Brown Brothers Harriman & Co. 50 Post Office Square Boston, MA 02110

1c. For the Funds listed in Schedule A and Schedule B hereto, until on or about June 30, 2023, the following disclosure replaces and supersedes the section titled "MANAGEMENT OF THE TRUST ? CUSTODIAN AND TRANSFER AGENT" in the Funds' SAI:

CUSTODIAN AND TRANSFER AGENT

Brown Brothers Harriman & Co. ("BBH"), located at 50 Post Office Square, Boston, MA 02110, serves as custodian of the Funds' assets ("Custodian"). As Custodian, BBH has agreed to (1) make receipts and disbursements of money on behalf of each Fund, (2) collect and receive all income and other payments and distributions on account of each Fund's portfolio investments, (3) respond to correspondence from shareholders, security brokers and others relating to its duties; and (4) make periodic reports to the Funds concerning the Funds' operations. BBH does not exercise any supervisory function over the purchase and sale of securities. As compensation for these services, the Custodian receives certain out-of-pocket costs, transaction fees and asset-based fees which are accrued daily and paid monthly by the Adviser from its fees.

As transfer agent, BBH has agreed to (1) issue and redeem Shares of each Fund, (2) make dividend and other distributions to shareholders of each Fund, (3) respond to correspondence by shareholders and others relating to its duties; (4) maintain shareholder accounts, and (5) make periodic reports to the Funds. As compensation for these services, BBH receives certain out-of-pocket costs, transaction fees and asset-based fees which are accrued daily and paid monthly by the Adviser from its fees.

1d. For the Funds listed in Schedule A and Schedule B hereto, until on or about June 30, 2023, the following disclosure replaces and supersedes the section titled "MANAGEMENT OF THE TRUST - SECURITIES LENDING AGENT" in the Funds' SAI:

SECURITIES LENDING AGENT

The Board of Trustees has approved each Fund's participation in a securities lending program. Under the securities lending program, BBH serves as the Funds' securities lending agent ("Securities Lending Agent").

SCHEDULE A

FUND NAME Global X Robotics & Artificial Intelligence ETF Global X Internet of Things ETF Global X FinTech ETF Global X Video Games & Esports ETF Global X Autonomous & Electric Vehicles ETF Global X Cloud Computing ETF Global X Data Center REITs & Digital Infrastructure ETF Global X Cybersecurity ETF Global X Artificial Intelligence & Technology ETF Global X Metaverse ETF Global X Millennial Consumer ETF Global X Education ETF Global X Cannabis ETF Global X Genomics & Biotechnology ETF Global X China Biotech Innovation ETF Global X Telemedicine & Digital Health ETF Global X Aging Population ETF Global X Health & Wellness ETF Global X CleanTech ETF Global X U.S. Infrastructure Development ETF Global X AgTech & Food Innovation ETF Global X Blockchain ETF Global X Clean Water ETF Global X Hydrogen ETF Global X Solar ETF Global X Wind Energy ETF Global X Green Building ETF Global X Thematic Growth ETF

DATE OF STATUTORY PROSPECTUS, AS MAY BE

SUPPLEMENTED FROM TIME TO TIME April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023

April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023

DATE OF STATEMENT OF ADDITIONAL

INFORMATION, AS MAY BE SUPPLEMENTED FROM TIME TO TIME April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023

April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023

FUND NAME Global X Alternative Income ETF Global X S&P 500? Quality Dividend ETF Global X U.S. Preferred ETF Global X Variable Rate Preferred ETF Global X MLP ETF Global X MLP & Energy Infrastructure ETF Global X Conscious Companies ETF Global X Adaptive U.S. Factor ETF

SCHEDULE B

DATE OF STATUTORY PROSPECTUS, AS MAY BE

SUPPLEMENTED FROM TIME TO TIME April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023 April 1, 2023

DATE OF STATEMENT OF ADDITIONAL

INFORMATION, AS MAY BE SUPPLEMENTED FROM TIME TO TIME April 1, 2023

April 1, 2023

April 1, 2023

April 1, 2023

April 1, 2023

April 1, 2023

April 1, 2023

April 1, 2023

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