Betashares Ftse Rafi Australia 200 ETF Company Overview
Betashares Ftse Rafi Australia 200 ETF

About Betashares Ftse Rafi Australia 200 ETF
Betashares FTSE RAFI Australia 200 ETF (ASX:QOZ) is an exchange-traded fund (ETF) that tracks the performance of the FTSE RAFI Australia 200 Index. The index is a market-cap weighted index that is designed to represent the largest 200 companies in Australia, but with a twist. Instead of weighting each company based on its market capitalization, the index weights each company based on a combination of four fundamental factors: sales, cash flow, book value, and dividends. This approach is designed to give investors exposure to a more diversified portfolio of Australian companies, and to reduce the impact of overvalued stocks on the overall performance of the index.
What is Betashares Ftse Rafi Australia 200 ETF known for?
Snapshot
2013
Year founded
128
Employees
Sydney, Australia
Head office
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Operations
All Locations
Sydney, AU
Produtos e/ou serviços de Betashares Ftse Rafi Australia 200 ETF
- Provides exposure to a diversified portfolio of Australian equities: QOZ provides investors with exposure to a diversified portfolio of Australian equities, weighted by fundamental factors such as sales, cash flow, book value and dividends.
- Actively managed by an experienced team of investment professionals: QOZ is actively managed by an experienced team of investment professionals who seek to outperform the market over the long term.
- Low management fee: QOZ has a low management fee, which means that investors can keep more of their returns.
- Traded on the Australian Securities Exchange (ASX): QOZ is traded on the Australian Securities Exchange (ASX), which means that it is easy to buy and sell.
- Popular choice for investors seeking exposure to the Australian equity market: QOZ is a popular choice for investors seeking exposure to the Australian equity market, due to its diversified portfolio, active management, low management fee and liquidity.
- Unique investment strategy: QOZ's investment strategy is unique in that it weights companies based on fundamental factors rather than market capitalisation. This approach is designed to reduce the impact of overvalued stocks on the overall performance of the fund.