• Download factsheet
  • Request info pack
  • Request a call
  • Request Lonsec research

Thank you for your request, an email will be sent to you shortly. If you don’t receive it within 30 minutes please contact info@betashares.com.au

OVERVIEW

About

Provides simple, cost-effective and transparent exposure to the largest companies in the global Energy sector

  • Tactical exposure to the global energy sector
  • A core component of a global equities allocation providing transparency and diversification benefits

Advantages

  • Access – simple way to access a diversified portfolio of the world’s largest energy companies
  • Reduced currency risk – foreign currency exposure hedged to the Australian dollar
  • Diversification – with a single trade, investors can get exposure to a diversified portfolio of energy companies from a broad range of global locations
  • Cost effective – Fund aims to track the performance of an index (no ‘active manager’ fees)
  • Large cap exposure – strategy invests only in the most significant energy companies globally
  • No W-8 BEN forms and no US estate tax implications for investors – simplified tax administration, unlike cross-listed alternatives
  • Liquidity – available to trade on ASX like any share

How to Invest

  • You can buy or sell units just like you’d buy or sell any share on the ASX
  • Fund required no minimum investment

KEY FACTS

Pricing Information 25 July 2017

Current Price
Last Trade* $5.28
% Change (prev day) -0.75%
Bid (delayed) $5.22
Offer (delayed) $5.80
*Data is delayed by at least 20 minutes.
Download NAV history
NAV
NAV/Unit * $5.26
* As at 21 July 2017

Profile

Net Assets* ($A) $5,263,801
Units Outstanding* (#) 1,000,488
Mgmt Costs** (% p.a.) 0.57%
Distribution Frequency Semi-annual
Distribution Reinvestment Plan (DRP) Full or partial participation available
Issuer BetaShares Capital Ltd
Fund Administrator RBC Investor Services
Custodian RBC Investor Services
Registry Link Market Services
Auditor KPMG
* As at 21 July 2017
* As of close of previous trading day
**Certain additional costs apply. Please refer to PDS.

Trading Information

ASX Code FUEL
Bloomberg Code FUEL AU
IRESS Code FUEL.AXW
Trading Hours 10.00-16.00 (AEST)
iNAV IRESS Code N/A
Market Makers Deutsche Securities
SMSF Eligible Yes

Index Information

Index Nasdaq Global ex-Australia Energy Hedged AUD Index
Index Provider Nasdaq
Index Ticker N/A
Bloomberg Index Ticker NQXAUHEN INDEX
Index Methodology

Top Exposures

Name %
Chevron Corp 8.2 %
Exxon Mobil Cp 8.2 %
Total 6.7 %
Royal Dutch Shell-A 6.7 %
Bp Rg 6.4 %
Royal Dutch Shell-B 4.0 %
Schlumberger Ltd 3.8 %
Enbridge Rg 3.7 %
Conocophillips 3.1 %
Suncor Energy Rg 3.0 %
As of close of trading 30/06/2017
The information above shows underlying share exposures of the Fund.

Sector Allocation

Integrated Oil & Gas
56.2%
Oil & Gas Exploration & Produc
18.9%
Oil & Gas Storage & Transporta
11.0%
Oil & Gas Refining & Marketing
6.6%
Oil & Gas Equipment & Services
6.3%
Heavy Electrical Equipment
1.1%
* As of 30 June 2017

Country Allocation

United States
49.8%
Canada
12.7%
Netherlands
10.7%
France
6.8%
Britain
6.4%
China
3.1%
Italy
2.5%
Brazil
1.8%
Japan
1.6%
Other
4.5%
* As of 30 June 2017

PERFORMANCE

Fund Returns After Fees (%)

  Fund Index
1 month -2.60% -2.34%
3 months -6.48% -6.37%
6 months -10.43% -10.21%
1 year 1.19% 2.23%
3 year p.a - -
5 year p.a - -
Since inception (p.a) 7.55% 8.36%
Inception date 16-Jun-16 -
* As at 30 June 2017

Chart

Past performance is not an indicator of future performance. Returns are calculated in Australian dollars using net asset value per unit at the start and end of the specified period and do not reflect brokerage or the bid ask spread that investors incur when buying and selling units on the ASX. Returns are after fund management costs, assume reinvestment of any distributions and do not take into account tax paid as an investor in the Fund. Returns for periods longer than one year are annualised. Current performance may be higher or lower than the performance shown.

DISTRIBUTIONS

Yield Information

Distribution Frequency Semi-Annual
12 Mth Distribution Yield* (%) -
12 Mth Gross Distribution Yield* (%) -
Franking Level -
* As of 30 June 2017. Yield figures are calculated by summing the prior 12 month fund per unit distributions divided by the fund closing NAV per unit at quarter-end. Past performance is not an indicator of future performance.

Recent Distributions

Ex Date Record Date Payment Date Distribution Unit ($) Annual Distribution Return (%) (1)
3-Jul-17 4-Jul-17 18-Jul-17 $0.18208 4.17%
3-Jan-17 4-Jan-17 18-Jan-17 $0.04849 -
View more
1 This is the annual distribution return to the end of the relevant distribution date. The distribution return reflects the contribution to total investment return made by the Fund's distributions. It is calculated as the difference between total Fund return and NAV return. NAV return is the change in the Fund's NAV price. Total return is the NAV return plus reinvestment of all distributions back to the Fund. Past performance not indicative of future performance.

ANNOUNCEMENTS

ASX Announcements: FUEL

Download
Showing - of

RESOURCES

Factsheet - FUEL
Download
The Investment Case for FUEL
Download
Portfolio Holdings
Download
Index methodology
Download
Annual Report - June 2016
Download
Supplementary Product Disclosure Statement – November 2016
Download
Supplementary Product Disclosure Statement - January 2017
Download
Product Disclosure Statement - MNRS, FUEL, FOOD, HACK, BNKS, DRUG
Download
NRWT and Fund Payment Notice information - June 2017 distributions
Download
View more

LEARN MORE ABOUT FUEL

Request an info pack