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QUS
Description
Description
QUS.AX was created on 2014-12-17 by BetaShares. The fund's investment portfolio concentrates primarily on large cap equity. The ETF currently has 1392.06m in AUM and 503 holdings. QUS.AX aims to track the performance of the S&P 500 Equal Weight Index (before fees and expenses). The Index provides exposure to 500 leading listed U.S. companies, with each holding in the index weighted equally.
ASX
ETF - A bundle of shares
Diversified
United States
View factsheet
Performance
Performance
$54.82
AUD
▲ $27.08 (97.62%)
16th September 2026, 06:41 a.m.
1M
1Y
10Y
GRAPH
TABLE
GRAPH
TABLE
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Quick facts
Quick facts
▲ 30.18% Growth
5 years capital growth
▲ 2.94% Dividends
5 year average dividend yield
$500 minimum investment
Due to regulatory requirements
$6,765.00 median portfolio
Median amount held by the community
Holdings & exposure
Holdings & exposure
Top holdings
View all
MRNA (MODERNA INC)
1%
VEEV (VEEVA SYSTEMS INC)
0%
ZBRA (ZEBRA TECHNOLOGIES CORP)
0%
Top country exposure
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United States
99%
Switzerland
0%
Ireland
0%
Top industry exposure
View all
Industrials
16%
Financials
15%
Information Technology
14%
Distributions
Distributions
Annual dividend yield
2.57%
Average franked amount
0%
5 year avg. dividend yield (p.a.)
2.94%
Dividend reinvestment
Highest franked amount
0%
Payout dates
See dividend history
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Costs
Costs
PURCHASE FEE
$6.50 AUD (or $5.50 with Pearler Prepay)
MANAGEMENT FEE
0.29% p.a.
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Advanced information
Advanced information
Leveraged
No
P/E ratio
20.43
Inverse
No
P/B ratio
3.34
Expense ratio
0.29
Inception date
2014-12-17
Pearler community insights
Pearler community insights
General statistics
90 investors hold QUS
30 weeks average time between investments
$4,909 average holding per investor
2 days since last community investment
Demographics
Income of investors
Less than 50k
48%
50k - 100k
27%
100k - 150k
13%
150k - 200k
6%
More than 200k
6%
Age of investors
35-90 years old
63%
26-34 years old
34%
18-25 years old
2%
Legal gender of investors
57% male
43% female
Related items
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Pricing data reflects the most recent end-of-day traded price. Live pricing is shown at the time of buy/sell and may differ from what's displayed here. Other data is provided by our data partner, last updated on 15 September 2026, and may have changed since.
Learn more
Learn more
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