Home
About
Pricing
Log In

What are you looking for?

Home
Pricing
Back
Compare AU

Compare SMLL vs. VISM

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

Betashares Australian Small Companies Select ETF

ASX

Buy

Buy

Overview
Industry & Region

Industry & Region

Country Exposure

SMLL

VISM

Australia

96.92 %

0.04 %

China

3.08 %

0.16 %

United States

62.46 %

Japan

12.96 %

United Kingdom of Great Britain and Northern Ireland

4.62 %

Canada

4.32 %

Sweden

1.88 %

Switzerland

1.78 %

Israel

1.61 %

Germany

1.53 %

France

1.34 %

Italy

1.14 %

Singapore

0.85 %

Denmark

0.78 %

Norway

0.69 %

Spain

0.59 %

Belgium

0.54 %

Austria

0.46 %

Netherlands

0.43 %

Finland

0.43 %

Hong Kong

0.37 %

New Zealand

0.13 %

Brazil

0.12 %

India

0.10 %

Ireland

0.08 %

Portugal

0.08 %

Greece

0.06 %

South Africa

0.04 %

Taiwan

0.03 %

Indonesia

0.02 %

Mexico

0.01 %

Lithuania

0.01 %

Philippines

0.00 %

Poland

0.00 %

Industry Exposure

icon for key differences panel

Key differences

  • β€’

    SMLL has a higher allocation (32.78 %) in the Materials sector than VISM (6.78 %).

  • β€’

    The most popular industries that SMLL is exposed to are Materials (32.78 %), Consumer Discretionary (18.57 %), and Real Estate (11.77 %). Comparatively, VISM is most exposed to Industrials (19.35 %), Financials (14.55 %), and Consumer Discretionary (12.64 %).

SMLL

VISM

Materials

32.78 %

6.78 %

Consumer Discretionary

18.57 %

12.64 %

Real Estate

11.77 %

8.85 %

Industrials

11.00 %

19.35 %

Consumer Staples

7.72 %

4.57 %

Energy

5.85 %

5.13 %

Financials

5.38 %

14.55 %

Information Technology

5.15 %

11.12 %

Health Care

1.09 %

10.78 %

Other

0.69 %

0.44 %

Communication Services

0.58 %

2.66 %

Utilities

3.13 %