A200
Asset Logo

BetaShares Australia 200 ETF

🇦🇺 ASX

🇦🇺 AUSTRALIA

💸 FINANCIALS

⛳️ DIVERSIFIED

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👑 Overview

📈 Performance

📙 Holdings

💰 Distributions

💵 Cost

🍃 Esg

🤓 Advanced

👨‍👩‍👧‍👦 Community

📈

+ 5.51%
Annual Growth

5 years average annual growth

💰

3.13%
Annual distribution yield

Based on the most recent distribution

💵

$ 500
Minimum Order

Due to regulatory requirements

🌏

4,906
Pearlers Invested

Since January 2020

👑 Overview

Key information
🔎 Fund Overview

BetaShares Australia 200 ETF (ASX: A200) seeks to track the performance of the Solactive Australia 200 index before account fees, expenses, and taxes. The index tracks the largest 200 companies on the Australian Securities Exchange (ASX).

📝 View Factsheet
A200 ETF Overview

BetaShares Australia 200 ETF (ASX: A200) seeks to track the performance of the Solactive Australia 200 Index before account fees, expenses, and taxes. The index consists of the 200 largest companies listed on the Australian Stock Exchange. It has the lowest management fees in the ASX. Since it gives investors broadly diversified exposure to the Australian markets at a low cost, It is a popular choice among passive investors. It also has a high average dividend yield of 3.59%. So, historically, it has also been a good option for investors wanting stable dividend income with some long-term capital gains.

About the Solactive Australia 200 Index

Since this ETF seeks to match the performance of the Solactive Australia 200 Index, let's further discuss the underlying index and its composition. The Solactive Australia 200 consists of the 200 largest companies listed on the Australian Securities Exchange (ASX shares). The largest sectors included in the index are financials and materials, representing ~50-55% of the index. Six out of the top 10 companies are large banks and established mining companies. This index represents ~80% of Australia’s stock market. 98% of the companies in the index are based in the Pacific region and ~2% are international shares. 

Frequently Asked Questions

Why choose BetaShares Australia 200 ETF? 

Who is the A200 ETF best suited for?

What are the risks associated with the A200 ETF?

What are the returns of the A200 ETF?

📈 Performance

Price History

+40.84%

1M

1Y

All Time

Graph

Table

How could long term investing grow your wealth?*

Based on an initial investment of

$

and recurring investments every

for

$

Your wealth could grow to...
$70,875.06

after 5 years

$162,202.54

after 10 years

*Disclaimer: The information provided in this calculator is only a model to show you how long you need to invest for to achieve your goal, based on several factors, including past performance which is not an indicator of future performance. It is not a prediction and relies on assumptions, such as interest rates, that may vary and change the actual outcome. The results shown are only estimates and are not intended to be relied on when making a financial decision. Consider whether to get advice from a licensed financial adviser before making any financial decision.

Unsure how much or often to invest?
🗓️ Investing frequency calculator

Determine the investment frequency needed to reach your goals

Try it out →
💵 Investing amount calculator

Determine the recurring investment needed to reach your goals

Try it out →
⏱️ Investing duration calculator

Determine how long you will need to invest to reach your goals

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📙 Top Holdings

Show more
COMMONWEALTH BANK OF AUSTRALIA
10.89%
CSL LTD
5.53%

Updated as of 25 November 2024

Industry Exposure
🏦 Financials
34%
🧱 Materials
18%
🩺 Health
9%
🛍️ Consumer
8%
🏡 Real Estate
7%
📙 Other
7%
🏭 Industrials
7%
🔋 Energy
4%
📞 Communication
4%
🤖 Information
3%
⚡️ Utilities
1%
Country Exposure
🇦🇺 Australia
95%
🇺🇸 United States
3%
🇳🇿 New Zealand
1%

💰 Distributions

Payouts

💰 Annual Distribution Yield*

3.13%

💰 Annual Distribution Earnings Per $1,000 invested**

$31.31

💰 Most Recent Distribution Franked Percentage Estimate

77.87%

💰 Average Distribution Franked Percentage Estimate

74.20 %

💰 Distribution reinvestment

Learn more

* Based on the most recent distribution

** Calculated by multiplying the most recent distribution yield by $1,000

Estimate your distribution

If you held

$

of A200, your last distribution payment(s) would have been:

$ 120.28

on Wed Oct 16 2024

$ 78.03

on Tue Jul 16 2024

*Disclaimer: The information provided in this calculator is only a model to show you how long you need to invest for to achieve your goal, based on several factors, including past performance which is not an indicator of future performance. It is not a prediction and relies on assumptions, such as interest rates, that may vary and change the actual outcome. The results shown are only estimates and are not intended to be relied on when making a financial decision. Consider whether to get advice from a licensed financial adviser before making any financial decision.

Distribution History

1Y

5Y

10Y

Graph

Table

Year
Yearly Distribution Earnings Per Share
Franking Estimate

2024

$4.29

25.96%

2023

$4.75

21.54%

2022

$7.51

25.10%

2021

$3.78

24.09%

2020

$2.82

21.66%

2019

$4.07

20.27%

2018

$1.33

28.94%

2017

$0.00

0.00%

2016

$0.00

0.00%

2015

$0.00

0.00%

💵 Costs

💵

6.50 AUD*
Purchase Fee

*$5.50 with Pearler Prepay

💼

0.04%
Management Fee

Included in unit price, not charged by Pearler

💸

Want to know the long term costs?
Calculate the historic long term costs to hold your investments
💸 Net fee calculator

🍃 Environmental, Social and Governance scores ℹ️

🌳

Environmental Score
65

A measure of an organisations or investment's impact on the natural environment, including factors such as carbon emissions, resource usage, and pollution

🕊️

Social Score
82

An assessment of an organisations management practices, board structure, transparency, and accountability, reflecting its commitment to ethical behavior and responsible decision-making.

⚖️

Governance Score
68

An evaluation of an organisations impact on society, focusing on factors such as employee welfare, diversity and inclusion, community engagement, and product safety and quality.

🤓 Advanced information

Technical Info

💰 Price*

$141.88

💰 Price To Earnings Ratio

17.94

💰 Price To Book Ratio

2.28

💰 Leveraged

No

💰 Inverse

No

*Price may be up to 24 hours old

👩‍👩‍👦 Community Insights

How our community is investing

🌏 Pearlers invested in A200

4,905

📊 Total Capital Earnings

$23M

🔃 Average investment frequency

42 weeks

💵 Average investment amount

$3,462

Last time a customer invested in A200

1 hours
A200 investor breakdown
💵 Income of investors

More than 200k

150k - 200k

7%

100k - 150k

19%

50k - 100k

40%

Less than 50k

28%
👶 Age of investors

18 - 25

10%

26 - 34

44%

35 - 90

46%
🙋 Legal gender of investors

Female

51%

Male

49%

Pearlers who invest in A200 also invest in...

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VAS

VAS.AX was created on 2009-05-04 by Vanguard. The fund's investment portfolio concentrates primarily on total market equity. Vanguard Australian Shares Index ETF seeks to track the return of the S&P/ASX 300 Index before taking into account fees, expenses and tax.

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Compare A200 alternatives

IVV.AX was created on 2007-10-10 by iShares. The fund's investment portfolio concentrates primarily on large cap equity. The Fund aims to provide investors with the performance of an index, before fees and expenses. The index is designed to measure the performance of large capitalisation US equities.

🙌 Performance (5Yr p.a)

21.26%

📊 Share price

$62.77 AUD

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🇺🇸 UNITED STATES

Compare A200 and IVV ->

VAS.AX was created on 2009-05-04 by Vanguard. The fund's investment portfolio concentrates primarily on total market equity. Vanguard Australian Shares Index ETF seeks to track the return of the S&P/ASX 300 Index before taking into account fees, expenses and tax.

🙌 Performance (5Yr p.a)

5.00%

📊 Share price

$105.28 AUD

💸 FINANCIALS

🇦🇺 AUSTRALIA

⛳️ DIVERSIFIED

🧱 MATERIALS

Compare A200 and VAS ->

VDHG.AX was created on 2017-11-20 by Vanguard. The fund's investment portfolio concentrates primarily on target outcome asset allocation. Vanguard Diversified High Growth Index ETF seeks to track the weighted average return of the various indices of the underlying funds in which it invests, in proportion to the Strategic Asset Allocation, before taking into account fees, expenses and tax.

🙌 Performance (5Yr p.a)

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⛏️ MINING

ARN Media Ltd. is a media and entertainment company. The company is headquartered in Sydney, New South Wales. The Company’s segments include ARN, HK Outdoor, and Investments. ARN segment includes Metropolitan and Regional radio networks, on-demand radio, streaming and podcasting (Australia), including equity accounted investment in Nova Entertainment (Perth) Pty Ltd. HK Outdoor segment includes Billboard, transit and other outdoor advertising (Hong Kong). Investments segment includes interests in Emotive Pty Limited (creative agency) and investment in Southern Cross Austereo Media Group Limited (SCA). The firm's portfolio of brands includes KIIS Network, Pure Gold Network, iHeartRadio, and CADA. KIIS Network includes KIIS stations, KIIS 1065, KIIS 101.1, and KIIS 97.3. Pure Gold Network delivers a combination of music, intelligent content and timeless entertainment to the Gen X audience. Its iHeartPodcast Network Australia is the preeminent podcast destination for creators, brands and audiences.

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