State Street SPDR S&P/ASX 200 Financials ex A-REIT ETF vs Betashares Gold Bullion Currency Hedged ETF
OZF may suit investors seeking income and dividend distributions. QAU may suit growth-oriented investors (noting past performance is not a reliable indicator of future returns).
Scored across Cost, Scale, Diversification, Income and Performance. General information only, not financial advice.
See full breakdown ↓General information only, not financial advice.
Overlap is estimated from the funds' listed top holdings, not their full constituent lists. Where there are no shared listed holdings it is shown as not reliably estimable.
State Street SPDR S&P/ASX 200 Financials ex A-REIT ETF
State Street (SPDR)
Comparison Scorei
Betashares Gold Bullion Currency Hedged ETF
BetaShares
Comparison Scorei
Comparison scores reflect how each ETF compares to the other on these specific dimensions only. They are not absolute ratings or recommendations. General information only — not financial advice.
OZF scores 5/10 and QAU scores 4.6/10 on this comparison, with OZF leading on Income. OZF may suit investors seeking income and dividend distributions; QAU may suit growth-oriented investors (noting past performance is not a reliable indicator of future returns). General information only, not financial advice.
Category scores compare these two ETFs only and are not absolute ratings.
OZF charges 0.34% p.a. and QAU charges 0.59% p.a.; the lower fee leads on cost.
OZF manages $44.86M and QAU manages $1.4B; the larger fund leads on scale, which can support tighter spreads.
OZF holds 31 positions and QAU holds 1; the fund with broader holdings leads on diversification.
OZF distributes approximately 3.61% (Semi-annually) and QAU approximately 1.2% (None); the higher distribution yield leads on income.
Historical return data is not available for both funds, so this dimension is shown as neutral. Past performance is not a reliable indicator of future returns.
Green highlights the factually lower fee or higher scale/income figure. Performance is never highlighted. Data from issuer disclosures, reviewed quarterly.
| Field | OZF | QAU |
|---|---|---|
| Full name | State Street SPDR S&P/ASX 200 Financials ex A-REIT ETF | Betashares Gold Bullion Currency Hedged ETF |
| Provider | State Street (SPDR) | BetaShares |
| Asset class | Thematic | Thematic |
| Index tracked | S&P/ASX 200 Financials ex A-REIT Index | Gold spot price (AUD hedged) |
| Inception | 2011 | 2011 |
| Domicile | Australia | Australia |
| Exchange | ASX | ASX |
| Field | OZF | QAU |
|---|---|---|
| Management fee (MER) | 0.34% p.a. | 0.59% p.a. |
| Est. annual cost on $10,000 | $34 | $59 |
| Est. annual cost on $50,000 | $170 | $295 |
| Est. annual cost on $100,000 | $340 | $590 |
| Field | OZF | QAU |
|---|---|---|
| Fund size (AUM) | $44.86M | $1.4B |
| Number of holdings | 31 | 1 |
| Field | OZF | QAU |
|---|---|---|
| Distribution yield | approximately 3.61% | approximately 1.2% |
| Franking | Not available | Not available |
| Payment frequency | Semi-annually | None |
| Est. annual income on $50,000 | approximately $1,805 | approximately $600 |
| Field | OZF | QAU |
|---|---|---|
| 1-year return | Not available | 38.7% |
| 3-year p.a. | Not available | 29.4% |
| 5-year p.a. | Not available | 19.6% |
Past performance is not a reliable indicator of future returns.
| Field | OZF | QAU |
|---|---|---|
| Holdings overlap | Not reliably estimable | Not reliably estimable |
| Currency hedged | No | Yes |
| Geographic focus | Australia | Global (physically held in vault) |
| Top 3 sectors | Diversified Banks, Diversified Capital Markets, Property & Casualty Insurance | Gold |
OZF top holdings
QAU top holdings
Holdings not published for this fund type.
OZF scores 5/10 and QAU scores 4.6/10 on this comparison. OZF has the higher overall comparison score.
OZF may suit investors who: investors seeking income and dividend distributions.
QAU may suit investors who: growth-oriented investors (noting past performance is not a reliable indicator of future returns).
This comparison is general information only and not personal financial advice. Past performance is not a reliable indicator of future returns. ETFLens does not hold an Australian Financial Services Licence (AFSL). Consider your own objectives, financial situation and needs, or speak with a licensed financial adviser before making investment decisions.
OZF and QAU do not share enough listed top holdings to reliably estimate a holdings overlap. Compare their fees, holdings and sectors on this page. General information only, not financial advice.
OZF has the lower management fee. OZF charges 0.34% per year ($34 per year on a $10,000 investment) and QAU charges 0.59% per year ($59 per year on a $10,000 investment). The difference is $25 per year per $10,000 invested. General information only, not financial advice.
OZF (State Street SPDR S&P/ASX 200 Financials ex A-REIT ETF) manages approximately $44.86M and QAU (Betashares Gold Bullion Currency Hedged ETF) manages approximately $1.4B. Fund size can affect liquidity and bid-ask spreads but does not by itself change the management fee. General information only, not financial advice.
OZF and QAU do not share enough listed top holdings to estimate overlap, so whether holding both duplicates your exposure depends on their full constituent lists. General information only, not financial advice.
There is no universally right choice — it depends on your goals, time horizon and existing holdings. OZF charges 0.34% and QAU charges 0.59%, so OZF has the lower management fee. Compare their fees, holdings and sectors above and consider each fund's Product Disclosure Statement and Target Market Determination. General information only, not financial advice.
General information only.This comparison and the ETFLens tools on this page provide general information about two exchange-traded funds and do not take into account your personal objectives, financial situation or needs. It is not personal financial product or investment advice. ETFLens does not hold an Australian Financial Services Licence (AFSL). Holdings overlap is estimated from listed top holdings, not full constituent lists, and fee data is sourced from fund manager PDS documents and updated quarterly. Past performance is not a reliable indicator of future returns. Consider each fund's Product Disclosure Statement (PDS) and Target Market Determination (TMD), and seek advice from a registered tax agent or licensed financial adviser, before making investment decisions.
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