Compare AU

Compare G200 vs. LNYN

Compare shares and ETFs on the ASX that you can trade on Pearler.

BetaShares Wealthbuilder Aus200 Geared Complex ETF

ASX

Buy

Buy

Overview
Performance

Overview

When it comes to investing in the Australian stock market, shares and ETFs are a popular choice. Two options in the ASX are G200 and LNYN. In this comparison, we'll delve into these options across various dimensions to help you make an informed investment decision.

Community Stats

G200

LNYN

Popularity

Low

N/A

Pearlers invested

24

0

Median incremental investment

$2,513.00

$0

Median investment frequency

Fortnightly

N/A

Median total investment

$9,788.87

$0

Average age group

> 35

N/A


Key Summary

G200

LNYN

Strategy

G200.AX was created on 2024-04-19 by BetaShares. The fund's investment portfolio concentrates primarily on large cap equity. G200.AX seeks to help investors build long-term wealth by providing a cost-effective way to benefit from moderately geared exposure to the returns of the broad Australian sharemarket.

N/A

Top 3 holdings

BETASHARES AUSTRALIA 200 ETF (144.33 %)

AUD - AUSTRALIA DOLLAR (-44.33 %)

Lanyon Investment Fund Active ETF (100 %)

Top 3 industries

Top 3 countries

Management fee

0.35 %

0 %


Key Summary

G200

LNYN

Issuer

BetaShares

Tracking index

Asset class

ETF

Stock

Management fee

0.35 %

0 %

Price

$28.21

$1.60

Size

$8.569 million

N/A

10Y return

N/A

N/A

Annual distribution/ dividend yield (5Y)

0.64 %

0.46 %

Market

ASX

ASX

First listed date

22/04/2024

31/07/2024

Purchase fee

$6.50

$6.50


Community Stats

G200

LNYN

Popularity

Low

N/A

Pearlers invested

24

0

Median incremental investment

$2,513.00

$0

Median investment frequency

Fortnightly

N/A

Median total investment

$9,788.87

$0

Average age group

> 35

N/A


Pros and Cons

G200

LNYN

Pros

  • Exposure to more markets and sectors

  • Higher dividend/distribution yield

Cons

  • Exposure to 1 market and 1 sector only

  • Lower dividend/distribution yield

G200

LNYN

Exposure to more markets and sectors

Exposure to 1 market and 1 sector only

Higher dividend/distribution yield

Lower dividend/distribution yield

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