Compare AU

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

Buy

Buy

BetaShares Australia 200 ETF

ASX

Overview
Industry & Region

Industry & Region


Country Exposure

MOGL

A200

United States

84.27 %

0.09 %

Luxembourg

8.90 %

China

6.83 %

Australia

94.98 %

New Zealand

1.39 %

Ireland

0.95 %


Industry Exposure

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Key differences

  • MOGL has a higher allocation (36.11 %) in the Financials sector than A200 (33.04 %).

  • The most popular industries that MOGL is exposed to are Financials (36.11 %), Communication Services (23.59 %), and Information Technology (21.44 %). Comparatively, A200 is most exposed to Financials (33.04 %), Materials (17.09 %), and Health Care (8.84 %).

MOGL

A200

Financials

36.11 %

33.04 %

Communication Services

23.59 %

Information Technology

21.44 %

Consumer Discretionary

18.85 %

6.97 %

Materials

17.09 %

Health Care

8.84 %

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