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Compare MOGL vs. A200

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

Montaka Gbl Long Only Equities Fund (Managed Fund)

ASX

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Buy

Overview
Industry & Region

Industry & Region


Country Exposure

MOGL

A200

United States

81.43 %

3.04 %

China

8.13 %

0.09 %

France

2.82 %

United Kingdom of Great Britain and Northern Ireland

2.72 %

0.38 %

India

2.66 %

Australia

2.24 %

95.07 %

New Zealand

1.41 %


Industry Exposure

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Key differences

  • MOGL has a lower allocation (29.48 %) in the Financials sector than A200 (33.91 %).

  • The most popular industries that MOGL is exposed to are Financials (29.48 %), Information Technology (27.35 %), and Communication Services (22.15 %). Comparatively, A200 is most exposed to Financials (33.91 %), Materials (17.89 %), and Health Care (8.74 %).

MOGL

A200

Financials

29.48 %

33.91 %

Information Technology

27.35 %

2.85 %

Communication Services

22.15 %

3.52 %

Consumer Discretionary

21.02 %

7.73 %

Other

7.37 %

3.35 %

Materials

17.89 %

Health Care

8.74 %

Real Estate

6.69 %

Industrials

6.62 %

Energy

3.74 %

Consumer Staples

3.58 %

Utilities

1.38 %

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