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Choose Your ETF

Showing 42 of 42 total funds | as of 31/07/24Clear filters
ASX Code Name 1 yr 3 yr p.a. 5 yr p.a. Since Inception p.a. Dividend Frequency Fee AUM
1GOV
1-5 Year Australian Government Bond ETF
-- -- -- 4.23 Monthly 0.22% $11.3M
5GOV
5-10 Year Australian Government Bond ETF
-- -- -- 5.90 Monthly 0.22% $40.7M
CETF
FTSE China A50 ETF
-7.12 -5.22 -1.07 -1.60 1 each year 0.60% $24.8M
CLNE
Global Clean Energy ETF
-22.85 -12.81 -- -10.49 1 each year 0.65% $74.9M
CNEW
China New Economy ETF
-17.89 -12.38 -0.67 4.14 1 each year 0.95% $96.5M
DVDY
Morningstar Australian Moat Income ETF
7.72 3.19 -- 7.63 4 each year 0.35% $67.4M
EBND
Emerging Income Opportunities Active ETF (Managed Fund)
6.62 1.77 -- 1.81 Monthly 0.95% $161.7M
EMKT
MSCI Multifactor Emerging Markets Equity ETF
18.63 8.28 9.15 6.40 1 each year 0.69% $133.6M
ESGI
MSCI International Sustainable Equity ETF
26.00 11.48 13.33 12.62 1 each year 0.55% $187.1M
ESPO
Video Gaming and Esports ETF
21.00 6.30 -- 8.37 1 each year 0.55% $62.8M
FLOT
Australian Floating Rate ETF
5.45 2.99 2.25 2.41 Monthly 0.22% $768.9M
GCAP
Bentham Global Capital Securities Active ETF (Managed Fund)
10.64 -- -- 0.45 Monthly 0.59% $27.6M
GDX
Gold Miners ETF
26.50 8.45 9.56 11.32 1 each year 0.53% $563.9M
GMVW
Geared Australian Equal Weight Fund (Hedge Fund)
-- -- -- 8.21 2 each year 0.35% $8.7M
GOAT
Morningstar International Wide Moat ETF
10.25 6.78 -- 11.81 1 each year 0.55% $39.9M
GPEQ
Global Listed Private Equity ETF
38.27 -- -- 8.69 1 each year 0.65% $32.8M
GRNV
MSCI Australian Sustainable Equity ETF
13.66 6.17 6.47 6.94 2 each year 0.35% $170.3M
HLTH
Global Healthcare Leaders ETF
12.37 -1.21 -- 4.46 1 each year 0.45% $55.7M
HVLU
MSCI International Value (AUD Hedged) ETF
-- -- -- 17.48 1 each year 0.43% $6.3M
IFRA
FTSE Global Infrastructure (Hedged) ETF
8.21 3.69 3.26 6.08 4 each year 0.20% $975.0M
LEND
Global Listed Private Credit (AUD Hedged) ETF
-- -- -- 7.81 Monthly 0.65% $57.6M
MHOT
Morningstar Wide Moat (AUD Hedged) ETF
-- -- -- 21.05 1 each year 0.52% $36.6M
MOAT
Morningstar Wide Moat ETF
13.90 11.80 15.39 15.93 1 each year 0.49% $916.5M
MVA
Australian Property ETF
13.60 4.35 2.36 9.16 2 each year 0.35% $585.5M
MVB
Australian Banks ETF
32.90 14.03 10.44 9.03 3 each year 0.28% $195.2M
MVE
S&P/ASX MidCap ETF
5.78 5.42 8.71 5.12 2 each year 0.45% $297.3M
MVR
Australian Resources ETF
-8.63 7.07 6.63 8.65 2 each year 0.35% $429.4M
MVS
Small Companies Masters ETF
10.80 1.14 2.65 5.43 2 each year 0.49% $58.9M
MVW
Australian Equal Weight ETF
8.54 7.61 6.92 9.31 2 each year 0.35% $2.3B
NUGG
Gold Bullion ETF
26.74 -- -- 22.84 - 0.25% $65.7M
PLUS
Australian Corporate Bond Plus ETF
8.01 -0.81 0.87 2.67 Monthly 0.32% $321.5M
QHAL
MSCI International Quality (Hedged) ETF
23.58 7.79 13.81 13.94 1 each year 0.43% $1.3B
QHSM
MSCI International Small Companies Quality (AUD Hedged) ETF
-- -- -- 31.11 1 each year 0.62% $160.3M
QSML
MSCI International Small Companies Quality ETF
25.92 10.74 -- 14.23 1 each year 0.59% $779.7M
QUAL
MSCI International Quality ETF
28.18 12.95 16.77 16.63 1 each year 0.40% $6.1B
REIT
FTSE International Property (Hedged) ETF
6.27 -4.69 -0.50 -0.25 4 each year 0.20% $364.6M
SUBD
Australian Subordinated Debt ETF
6.99 3.85 -- 3.49 Monthly 0.29% $1.8B
TBIL
1-3 Month US Treasury Bond ETF
8.70 -- -- 7.19 Monthly 0.22% $109.0M
VBTC
VanEck Bitcoin ETF
-- -- -- 4.06 Other 0.59% $40.2M
VLUE
MSCI International Value ETF
14.54 10.00 -- 11.57 1 each year 0.40% $247.8M
XCO2
Global Carbon Credits ETF (Synthetic)
-10.98 -- -- -0.19 1 each year 0.45% $3.7M
XGOV
10+ Year Australian Government Bond ETF
-- -- -- 6.20 Monthly 0.22% $176.7M
Results are calculated to the last business day of the month and assume immediate reinvestment of distributions. ETF results are net of management fees and costs, but before brokerage fees or bid/ask spreads incurred when investors buy/sell on the ASX. Returns for periods longer than one year are annualised. Past performance is not a reliable indicator of current or future performance which may be lower or higher. Read the PDS and TMD. The Inception date for each fund is available on each fund’s snapshot page.