6 9
ETL0402AU
AUD 2.2782
AUD 0.0041 As of 02-Oct-26
AUD 178M
As of 31-Aug-26

Blended Research® Global Equity Trust

ETL0402AU
AUD 0.0041 As of 02-Oct-26
As of 31-Aug-26
ETL0402AU
AUD  2.2782
AUD 0.0041 As of 02-Oct-26
AUD 178M
As of 31-Aug-26

Investment Objective

"The Trust aims to seek capital appreciation over the longer term by investing in a diversified portfolio of global shares selected through a blend of fundamental and quantitative research, and aims to outperform the MSCI All Country World ex-Tobacco Index (net dividends reinvested), unhedged, measured in AUD, over a full market cycle, before taking into account fees, taxes and expenses."

Investment Focus

Integrates fundamental and quantitative research in a disciplined portfolio construction process

Invests in above-average quality companies that are trading at favorable valuations with an investment catalyst

Trust Facts

  • Inception Date 03-Apr-2014
  • ARSN 168 190 154
  • APIR ETL0402AU
  • Net Assets (AUD M) As of 31-Aug-26 AUD178.08
  • Exit Price As of 02-Oct-26 AUD2.2782
  • Most Recent Exit Price Change As of 02-Oct-26 AUD0.0041 | 0.18%
  • Management Fee 0.40%
  • Buy/Sell Spread 0.25%
  • Benchmark MSCI All Country World ex Tobacco Index (net div)

Managers

Top 10 Holdings

As of 31-Aug-26

  • NVIDIA CORP
  • APPLE INC
  • MICROSOFT CORP
  • ALPHABET INC
  • AMAZON.COM INC
  • TAIWAN SEMICONDUCTOR MANUFACTURING CO LTD
  • NORTHERN TRUST CORP
  • MASTERCARD INC
  • BNP PARIBAS SA
  • ASML HOLDING NV

Performance

Total Return

Total Return (%)

Monthly | Quarterly

As of 30-Sep-26

(*YTD Updated Monthly, As of 30-Sep-26 , subject to revision and not annualized.)
    Annual Performance

    Annual Performance (%)

    As of 31-Dec-25

    |

    Benchmark: MSCI All Country World ex Tobacco Index (net div)

    annual rate of return table
    2016 2017 2018 2019 2020 2021 2022 2023 2024 2025
    Gross of Fees 8.02 16.45 -0.20 26.80 0.49 31.44 -7.24 23.15 31.04 15.77
    Net of Fees 7.48 15.87 -0.69 26.16 -0.01 30.78 -7.70 22.54 30.39 15.22
    MSCI All Country World ex Tobacco Index (net div) 8.39 14.89 0.98 26.87 6.05 25.85 -12.64 21.63 29.41 13.52
    at NAV MSCI All Country World ex Tobacco Index (net div)
    2025 15.77 13.52
    2024 31.04 29.41
    2023 23.15 21.63
    2022 -7.24 -12.64
    2021 31.44 25.85
    2020 0.49 6.05
    2019 26.8 26.87
    2018 -0.2 0.98
    2017 16.45 14.89
    2016 8.02 8.39
    Pricing

    Pricing History

    • Market Price (MP): 
    Historical MP Lookup
    Enter date for which you wish to obtain a Historical MP for this fund

    Historical MP may not be available for all dates.

    Portfolio & Holdings Information

    Sector, Holding & Characterstics

    Largest Sector Weights

    As of 31-Aug-26

    Holding Characteristics

    As of 31-Aug-26

    Data table of holding characteristics
    characterstics Equity Earning
    Weighted Average Price/Earnings (next 12 months) 14.11x
    Weighted Average Price/Cash Flow 14.76x
    Weighted Average Price/Sales 2.03x
    Weighted Average Price/Book 3.18x
    Weighted Average IBES Long Term EPS Growth 19.51%
    Weighted Average Market Cap AUD1453.1b
    Weighted Median Market Cap AUD154.7b
    Number of Issues 141
    Active Share 63.34%
    Portfolio Turnover 63.67%
    % in Top Ten 26.59%

    Top 10 Holdings

    As of 31-Aug-26

    • NVIDIA CORP
    • APPLE INC
    • MICROSOFT CORP
    • ALPHABET INC
    • AMAZON.COM INC
    • TAIWAN SEMICONDUCTOR MANUFACTURING CO LTD
    • NORTHERN TRUST CORP
    • MASTERCARD INC
    • BNP PARIBAS SA
    • ASML HOLDING NV

    Type Of Holdings (%)

    As of 31-Aug-26

    Sector Weights (%)

    As of 31-Aug-26

    •  % Assets
    • Information Technology
      30.99
    • Financials
      16.82
    • Industrials
      11.00
    • Health Care
      8.81
    • Consumer Discretionary
      8.27
    • Communication Services
      6.71
    • Energy
      4.57
    • Consumer Staples
      4.04
    • Materials
      3.13
    • Utilities
      2.60
    • Real Estate
      1.79
    • Cash & Cash Equivalents
      1.28
    Region & Country

    Region & Country

    As of 31-Aug-26

    Region & Country Table
    Region & Country % Assets
    North America

    2 Countries

    67.08

    Emerging Markets

    6 Countries

    11.67

    Europe ex-U.K.

    9 Countries

    10.70

    Japan

    1 Countries

    4.66

    United Kingdom

    1 Countries

    2.87

    Asia/Pacific ex-Japan

    2 Countries

    1.45

    Cash & Cash Equivalents

    1 Countries

    1.28

    Developed - Middle East/Africa

    1 Countries

    0.30

    By Country Table
    By Country

    Top Country Weightings (%)

    As of 31-Aug-26

    • United States
      62.75
    • Japan
      4.66
    • Canada
      4.33
    • France
      3.74
    • South Korea
      3.60
    close video