ETF comparison tool

GHHF vs GGBL

Betashares Wealth Builder Diversified All Growth Geared (30-40% LVR) Complex ETF vs Betashares Wealth Builder Global Shares Geared (30-40% LVR) Complex ETF

ETF comparison

GHHFGGBL
Fund nameBetashares Wealth Builder Diversified All Growth Geared (30-40% LVR) Complex ETFBetashares Wealth Builder Global Shares Geared (30-40% LVR) Complex ETF
Annual fee-?-?
Dividend frequencySemi-annualAnnual
Annualised returnsGHHFGGBL
YTD2.06%-6.21%
1 year17.96%-?
Dividend yield historyGHHFGGBL
20252.08%N/A

GHHF is a fund-of-funds holding A200 (55.6%), BGBL (54.5%), HGBL (30.2%), IEMG (9.5%). GGBL is a fund-of-funds holding BGBL (156.7%). Holdings below show the effective underlying exposure after resolving sub-ETF holdings.

Effective holdingsGHHFGGBL
BGBL.AX30.19%-
NVDA2.88%8.28%
AAPL2.61%7.52%
MSFT1.96%5.65%
CBA.AX5.27%-
BHP.AX5.16%-
AMZN1.32%3.79%
GOOGL1.19%3.42%
GOOG1.04%2.98%
AVGO1.00%2.87%
META0.95%2.73%
TSLA0.79%2.27%
WBC.AX2.81%-
NAB.AX2.81%-
ANZ.AX2.32%-
LLY0.58%1.66%
WES.AX2.00%-
CSL.AX1.86%-
MQG.AX1.69%-
GMG.AX1.29%-
RIO.AX1.19%-
2330.TW1.11%-
005930.KS0.50%-
0700.HK0.30%-
000660.KS0.28%-
9988.HK0.22%-
HDFCBANK.NS0.08%-
009390.07%-
2317.TW0.07%-
2454.TW0.07%-
RELIANCE.NS0.07%-
Sector allocationGHHFGGBL
Technology18.6%27.6%
Financial Services22.7%16.0%
Industrials9.2%11.0%
Consumer Cyclical9.0%9.9%
Healthcare8.3%9.6%
Communication Services7.1%9.7%
Basic Materials11.1%3.0%
Consumer Defensive4.6%5.4%
Energy3.9%3.7%
Real Estate3.5%1.7%
Utilities2.1%2.5%

ETF data is based on the most recent available holdings from fund providers. Only the top holdings are compared, so actual overlap may differ. Fund-of-funds holdings are resolved using the top reported holdings of each sub-ETF. Actual exposure may differ. Annualised returns are trailing figures and do not guarantee future performance. This is not financial advice.

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Sankey diagram showing ETF holding overlap connectionsShared holdings table showing weight percentages across ETFs