Compare AU

Compare MGOC vs. JHGA

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

Magellan Global Fund (Open Class) (Managed Fund)

ASX

Buy

Buy

Overview
Performance

Overview

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

Community Stats

MGOC

JHGA

Popularity

Low

N/A

Pearlers invested

39

0

Median incremental investment

$807.15

$0

Median investment frequency

Monthly

N/A

Median total investment

$3,158.40

$0

Average age group

> 35

N/A


Key Summary

MGOC

JHGA

Strategy

MGOC.AX was created on 2007-07-01 by Magellan. The fund's investment portfolio concentrates primarily on total market equity. The investment objectives of the Fund are to achieve attractive risk-adjusted returns over the medium to long-term while reducing the risk of permanent capital loss. The Fund aims to deliver 9% p.a. net of fees over the economic cycle.

N/A

Top 3 holdings

Magellan Global Fund (Open Class) (Managed Fund) (100 %)

Jpm Gbl Equity Premium Income Hedged Complex ETF (100 %)

Top 3 industries

Top 3 countries

Management fee

1.35 %

0 %


Key Summary

MGOC

JHGA

Issuer

Magellan

Tracking index

Asset class

ETF

Stock

Management fee

1.35 %

0 %

Price

$3.29

$51.54

Size

N/A

N/A

10Y return

N/A

N/A

Annual dividend yield (5Y)

2.74 %

0.41 %

Market

ASX

ASX

First listed date

29/11/2020

31/07/2024

Purchase fee

$6.50

$6.50


Community Stats

MGOC

JHGA

Popularity

Low

N/A

Pearlers invested

39

0

Median incremental investment

$807.15

$0

Median investment frequency

Monthly

N/A

Median total investment

$3,158.40

$0

Average age group

> 35

N/A


Pros and Cons

MGOC

JHGA

Pros

  • Exposure to more markets and sectors

  • Higher dividend/distribution yield

Cons

  • Exposure to 1 market and 1 sector only

  • Lower dividend/distribution yield

MGOC

JHGA

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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