Global Sustainability Leaders ETF | BetaShares
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OVERVIEW

About

*Information on Facebook’s removal from the Fund: On March 23 2018, the Responsible Investment Committee of the Fund determined to remove Facebook from the index that ETHI is designed to track, and accordingly from the ETF. For more information on this see BetaShares Media Statement

Provides simple, cost-effective and transparent exposure to a portfolio of sustainable, ethical companies from a broad range of global locations.

The Fund owns stocks that have been identified as “Climate Leaders” that have also passed other eligibility screens designed to exclude companies with direct or significant exposure to the fossil fuel industry or engaged in other activities deemed inconsistent with responsible investment considerations.

  • Recognised as a responsible and ethical investment option by Australia’s leading certifier of responsible investors, the Responsible Investment Association Australasia (RIAA).
  • “Climate Leaders” are selected based on relative carbon efficiency
  • Additional eligibility exclusion screens are applied to remove companies with material exposure to: fossil fuel, gambling, tobacco, armaments, uranium/nuclear energy, destruction of valuable environments, animal cruelty, chemicals of concern, mandatory detention of asylum seekers, alcohol, junk foods, pornography, ESG related reputational risk or controversy, human rights & supply chain concerns
  • A core component of a global equities allocation providing transparency and diversification benefits in addition to being consistent with ethical and sustainable objectives
  • Tactical exposure to global equities

Advantages

  • Diversification – with a single trade, investors can get exposure to a diversified portfolio of sustainable, ethical companies from a broad range of global locations
  • Cost effective – Fund tracks the performance of an index (no ‘active manager’ fees)
  • Large company exposure – strategy invests only in large global companies
  • No W-8 BEN forms and no US estate tax implications for investors – simplified tax administration, unlike cross-listed alternatives
  • Transparent – portfolio holdings, value of the Fund’s assets and net asset value per unit available daily on our website
  • Liquidity – available to trade on the 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 requires no minimum investment

 

1. The Responsible Investment Certification Program does not constitute financial product advice. Neither the Certification Symbol nor RIAA recommends to any person that any financial product is a suitable investment or that returns are guaranteed. Appropriate professional advice should be sought prior to making an investment decision. RIAA does not hold an Australian Financial Services Licence. www.responsibleinvestment.org

KEY FACTS

Pricing Information 24 September 2019

Current Price
Last Trade* $8.97
% Change (prev day) -0.11%
Bid (delayed) $8.95
Offer (delayed) $8.98
*Data is delayed by at least 20 minutes.
Download NAV history
NAV
NAV/Unit * $8.96
* As at 19 September 2019

Profile

Net Assets* ($A) $379,867,461
Units Outstanding* (#) 42,397,384
Mgmt Costs** (% p.a.) 0.59%
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 19 September 2019
**Certain additional costs apply. Please refer to PDS.

Trading Information

ASX Code ETHI
Bloomberg Code ETHI AU
IRESS Code ETHI.AXW
Trading Hours 10.00-16.00 (AEST)
Market Makers Deutsche Securities
SMSF Eligible Yes

Index Information

Index Nasdaq Future Global Sustainability Leaders Index
Index Provider Nasdaq
Index Ticker N/A
Bloomberg Index Ticker NQFGSLN
Index Methodology

Portfolio Holdings

Name Weight (%)
HOME DEPOT INC/THE 4.4
MASTERCARD INC 4.3
APPLE INC 4.3
VISA INC 4.2
ROCHE HOLDING AG 3.9
UNITEDHEALTH GROUP INC 3.5
ADOBE INC 2.3
PAYPAL HOLDINGS INC 2.1
AIA GROUP LTD 2.0
STARBUCKS CORP 1.9
Ticker Name Weight (%) Asset Class Sector Country Currency Shares/Unit (#) Market Value (AUD) Notional Value (AUD)
HD UN HOME DEPOT INC/THE 4.4 Equities Consumer Discretionary United States USD 50,256 $16,687,874 $16,687,874
MA UN MASTERCARD INC 4.3 Equities Information Technology United States USD 40,957 $16,414,883 $16,414,883
AAPL UW APPLE INC 4.3 Equities Information Technology United States USD 50,769 $16,337,473 $16,337,473
V UN VISA INC 4.2 Equities Information Technology United States USD 61,743 $15,883,811 $15,883,811
ROG SW ROCHE HOLDING AG 3.9 Equities Healthcare Switzerland CHF 35,007 $14,884,763 $14,884,763
UNH UN UNITEDHEALTH GROUP INC 3.5 Equities Healthcare United States USD 39,002 $13,424,735 $13,424,735
ADBE UW ADOBE INC 2.3 Equities Information Technology United States USD 21,327 $8,759,957 $8,759,957
PYPL UW PAYPAL HOLDINGS INC 2.1 Equities Information Technology United States USD 51,853 $8,019,358 $8,019,358
1299 HK AIA GROUP LTD 2.0 Equities Financials Hong Kong HKD 528,800 $7,524,935 $7,524,935
SBUX UW STARBUCKS CORP 1.9 Equities Consumer Discretionary United States USD 54,380 $7,239,147 $7,239,147
NKE UN NIKE INC 1.9 Equities Consumer Discretionary United States USD 55,635 $7,127,463 $7,127,463
NFLX UW NETFLIX INC 1.8 Equities Communication Services United States USD 17,449 $6,982,437 $6,982,437
ASML NA ASML HOLDING NV 1.8 Equities Information Technology Netherlands EUR 18,413 $6,777,819 $6,777,819
NVDA UW NVIDIA CORP 1.8 Equities Information Technology United States USD 26,213 $6,690,398 $6,690,398
NOVOB DC NOVO NORDISK A/S 1.7 Equities Healthcare Denmark DKK 82,733 $6,468,731 $6,468,731
CRM UN SALESFORCE.COM INC 1.6 Equities Information Technology United States USD 27,190 $6,236,902 $6,236,902
BKNG UW BOOKING HOLDINGS INC 1.5 Equities Consumer Discretionary United States USD 1,863 $5,593,874 $5,593,874
CVS UN CVS HEALTH CORP 1.4 Equities Healthcare United States USD 56,108 $5,332,167 $5,332,167
BMY UN BRISTOL-MYERS SQUIBB CO 1.4 Equities Healthcare United States USD 70,625 $5,278,608 $5,278,608
SYK UN STRYKER CORP 1.3 Equities Healthcare United States USD 15,069 $4,926,490 $4,926,490
CB UN CHUBB LTD 1.2 Equities Financials United States USD 19,829 $4,621,101 $4,621,101
CME UW CME GROUP INC 1.2 Equities Financials United States USD 14,533 $4,535,387 $4,535,387
TJX UN TJX COS INC/THE 1.1 Equities Consumer Discretionary United States USD 53,532 $4,336,519 $4,336,519
ANTM UN ANTHEM INC 1.1 Equities Healthcare United States USD 11,117 $4,142,011 $4,142,011
INTU UW INTUIT INC 1.1 Equities Information Technology United States USD 10,354 $4,119,258 $4,119,258
SPGI UN S&P GLOBAL INC 1.1 Equities Financials United States USD 10,753 $4,017,356 $4,017,356
ZTS UN ZOETIS INC 1.0 Equities Healthcare United States USD 21,161 $3,928,828 $3,928,828
CCI UN CROWN CASTLE INTERNATIONAL COR 1.0 Equities Real Estate United States USD 17,766 $3,691,316 $3,691,316
BLK UN BLACKROCK INC 1.0 Equities Financials United States USD 5,563 $3,653,771 $3,653,771
ISRG UW INTUITIVE SURGICAL INC 0.9 Equities Healthcare United States USD 4,576 $3,592,356 $3,592,356
SCHW UN CHARLES SCHWAB CORP/THE 0.9 Equities Financials United States USD 55,777 $3,526,663 $3,526,663
ICE UN INTERCONTINENTAL EXCHANGE INC 0.9 Equities Financials United States USD 25,753 $3,514,299 $3,514,299
9433 JT KDDI CORP 0.9 Equities Communication Services Japan JPY 89,200 $3,509,731 $3,509,731
6098 JP RECRUIT HOLDINGS CO LTD 0.9 Equities Industrials Japan JPY 74,200 $3,437,980 $3,437,980
BSX UN BOSTON SCIENTIFIC CORP 0.9 Equities Healthcare United States USD 53,436 $3,418,925 $3,418,925
MMC UN MARSH & MCLENNAN COS INC 0.9 Equities Financials United States USD 22,278 $3,322,273 $3,322,273
AMAT UW APPLIED MATERIALS INC 0.8 Equities Information Technology United States USD 42,408 $3,194,076 $3,194,076
EW UN EDWARDS LIFESCIENCES CORP 0.8 Equities Healthcare United States USD 9,281 $3,013,101 $3,013,101
ITW UN ILLINOIS TOOL WORKS INC 0.8 Equities Industrials United States USD 13,114 $3,005,405 $3,005,405
PLD UN PROLOGIS INC 0.8 Equities Real Estate United States USD 23,267 $2,900,638 $2,900,638
9983 JT FAST RETAILING CO LTD 0.7 Equities Consumer Discretionary Japan JPY 3,100 $2,800,291 $2,800,291
NOW US SERVICENOW INC 0.7 Equities Information Technology United States USD 6,861 $2,749,774 $2,749,774
4661 JP ORIENTAL LAND CO LTD/JAPAN 0.7 Equities Consumer Discretionary Japan JPY 12,300 $2,692,357 $2,692,357
ILMN UW ILLUMINA INC 0.7 Equities Healthcare United States USD 5,806 $2,656,464 $2,656,464
ATVI UW ACTIVISION BLIZZARD INC 0.7 Equities Communication Services United States USD 31,605 $2,557,922 $2,557,922
MCO UN MOODY'S CORP 0.6 Equities Financials United States USD 7,724 $2,443,917 $2,443,917
VRTX UW VERTEX PHARMACEUTICALS INC 0.6 Equities Healthcare United States USD 9,255 $2,436,448 $2,436,448
388 HK HONG KONG EXCHANGES & CLEARING 0.6 Equities Financials Hong Kong HKD 55,800 $2,422,655 $2,422,655
ITX SQ INDUSTRIA DE DISENO TEXTIL SA 0.6 Equities Consumer Discretionary Spain EUR 52,756 $2,342,707 $2,342,707
KLAC UW KLA-TENCOR CORP 0.6 Equities Information Technology United States USD 10,094 $2,319,860 $2,319,860
SBAC UW SBA COMMUNICATIONS CORP 0.6 Equities Real Estate United States USD 6,038 $2,291,424 $2,291,424
VMC UN VULCAN MATERIALS CO 0.6 Equities Materials United States USD 10,181 $2,254,085 $2,254,085
FSLR UW FIRST SOLAR INC 0.6 Equities Information Technology United States USD 22,813 $2,248,932 $2,248,932
CTAS UW CINTAS CORP 0.6 Equities Industrials United States USD 5,964 $2,236,985 $2,236,985
HUM UN HUMANA INC 0.6 Equities Healthcare United States USD 5,418 $2,220,371 $2,220,371
ADSK UW AUTODESK INC 0.6 Equities Information Technology United States USD 9,782 $2,216,926 $2,216,926
GIS UN GENERAL MILLS INC 0.6 Equities Consumer Staples United States USD 26,656 $2,140,438 $2,140,438
GEBN SW GEBERIT AG 0.6 Equities Industrials Switzerland CHF 2,949 $2,108,377 $2,108,377
AMD UW ADVANCED MICRO DEVICES INC 0.6 Equities Information Technology United States USD 47,236 $2,097,904 $2,097,904
EXPN LN EXPERIAN PLC 0.5 Equities Industrials Britain GBP 44,498 $2,082,805 $2,082,805
9021 JP WEST JAPAN RAILWAY CO 0.5 Equities Industrials Japan JPY 16,000 $2,069,913 $2,069,913
ORLY UW O'REILLY AUTOMOTIVE INC 0.5 Equities Consumer Discretionary United States USD 3,500 $2,063,272 $2,063,272
AMS SQ AMADEUS IT GROUP SA 0.5 Equities Information Technology Spain EUR 18,569 $2,056,167 $2,056,167
MSCI US MSCI INC 0.5 Equities Financials United States USD 6,062 $2,022,429 $2,022,429
KNEBV FH KONE OYJ 0.5 Equities Industrials Finland EUR 23,878 $2,002,470 $2,002,470
4519 JT CHUGAI PHARMACEUTICAL CO LTD 0.5 Equities Healthcare Japan JPY 17,600 $1,973,398 $1,973,398
APTV UN APTIV PLC 0.5 Equities Consumer Discretionary United States USD 15,165 $1,951,547 $1,951,547
SEBA SS SKANDINAVISKA ENSKILDA BANKEN 0.5 Equities Financials Sweden SEK 138,928 $1,949,399 $1,949,399
GIVN SW GIVAUDAN SA 0.5 Equities Materials Switzerland CHF 471 $1,946,107 $1,946,107
MKC US MCCORMICK & CO INC/MD 0.5 Equities Consumer Staples United States USD 8,002 $1,893,941 $1,893,941
VRSN UW VERISIGN INC 0.5 Equities Information Technology United States USD 6,640 $1,871,389 $1,871,389
VIV FP VIVENDI SA 0.5 Equities Communication Services France EUR 46,064 $1,870,764 $1,870,764
ASSAB SS ASSA ABLOY AB 0.5 Equities Industrials Sweden SEK 55,709 $1,862,993 $1,862,993
AVB UN AVALONBAY COMMUNITIES INC 0.5 Equities Real Estate United States USD 6,006 $1,855,771 $1,855,771
WKL NA WOLTERS KLUWER NV 0.5 Equities Industrials Netherlands EUR 17,686 $1,849,528 $1,849,528
ST SP SINGAPORE TELECOMMUNICATIONS L 0.5 Equities Communication Services Singapore SGD 540,650 $1,840,091 $1,840,091
O UN REALTY INCOME CORP 0.5 Equities Real Estate United States USD 16,388 $1,838,140 $1,838,140
PAYX UW PAYCHEX INC 0.5 Equities Information Technology United States USD 15,031 $1,833,666 $1,833,666
KYG ID KERRY GROUP PLC 0.5 Equities Consumer Staples Ireland EUR 10,789 $1,830,669 $1,830,669
TSLA UW TESLA INC 0.5 Equities Consumer Discretionary United States USD 5,116 $1,819,409 $1,819,409
SWEDA SS SWEDBANK AB 0.5 Equities Financials Sweden SEK 85,122 $1,814,956 $1,814,956
MTB UN M&T BANK CORP 0.5 Equities Financials United States USD 7,677 $1,773,448 $1,773,448
FAST UW FASTENAL CO 0.5 Equities Industrials United States USD 37,489 $1,765,296 $1,765,296
SPLK UW SPLUNK INC 0.5 Equities Information Technology United States USD 9,674 $1,738,632 $1,738,632
GWW US WW GRAINGER INC 0.5 Equities Industrials United States USD 4,006 $1,729,934 $1,729,934
VWS DC VESTAS WIND SYSTEMS A/S 0.5 Equities Industrials Denmark DKK 14,312 $1,721,773 $1,721,773
IFX GY INFINEON TECHNOLOGIES AG 0.5 Equities Information Technology Germany EUR 60,705 $1,710,139 $1,710,139
66 HK MTR CORP LTD 0.4 Equities Industrials Hong Kong HKD 195,000 $1,689,944 $1,689,944
FRC US FIRST REPUBLIC BANK/CA 0.4 Equities Financials United States USD 11,999 $1,688,834 $1,688,834
ON UW ON SEMICONDUCTOR CORP 0.4 Equities Information Technology United States USD 58,603 $1,673,382 $1,673,382
SAMPO FH SAMPO OYJ 0.4 Equities Financials Finland EUR 26,964 $1,664,997 $1,664,997
SGRE SQ SIEMENS GAMESA RENEWABLE ENERG 0.4 Equities Industrials Spain EUR 75,630 $1,663,220 $1,663,220
VNA GY VONOVIA SE 0.4 Equities Real Estate Germany EUR 23,227 $1,663,448 $1,663,448
SHBA SS SVENSKA HANDELSBANKEN AB 0.4 Equities Financials Sweden SEK 113,973 $1,622,505 $1,622,505
WAT US WATERS CORP 0.4 Equities Healthcare United States USD 4,789 $1,618,747 $1,618,747
WDAY UW WORKDAY INC 0.4 Equities Information Technology United States USD 6,251 $1,616,520 $1,616,520
LGEN LN LEGAL & GENERAL GROUP PLC 0.4 Equities Financials Britain GBP 336,033 $1,566,663 $1,566,663
CNC UN CENTENE CORP 0.4 Equities Healthcare United States USD 22,701 $1,556,458 $1,556,458
PANW UN PALO ALTO NETWORKS INC 0.4 Equities Information Technology United States USD 4,964 $1,527,864 $1,527,864
ALGN UW ALIGN TECHNOLOGY INC 0.3 Equities Healthcare United States USD 4,240 $1,168,977 $1,168,977
USD USD - United States Dollar 0.1 Cash USD 208,466 $308,109 $308,109
HKD HKD - Hong Kong Dollar 0.0 Cash HKD 458,793 $86,531 $86,531
GBP GBP - British Pound 0.0 Cash GBP 31,694 $58,452 $58,452
SGD SGD - Singapore Dollar 0.0 Cash SGD 32,098 $34,462 $34,462
JPY JPY - Japanese Yen 0.0 Cash JPY 1,907,699 $26,213 $26,213
SEK SEK - Swedish Krona 0.0 Cash SEK 78,261 $11,923 $11,923
DKK DKK - Danish Krone 0.0 Cash DKK 52,607 $11,473 $11,473
EUR EUR - Euro 0.0 Cash EUR 5,664 $9,224 $9,224
CHF CHF - Swiss Franc 0.0 Cash CHF 4,374 $6,524 $6,524
CAD CAD - Canada Dollar 0.0 Cash CAD 1,045 $1,165 $1,165
AUD AUD - Australia Dollar 0.0 Cash AUD 210 $210 $210
Download CSV
* As at 20 September 2019

Sector Allocation

Information Technology
31.4%
Healthcare
21.4%
Consumer Discretionary
14.6%
Financials
14.0%
Industrials
7.5%
Communication Services
4.6%
Real Estate
3.8%
Consumer Staples
1.6%
Materials
1.1%
* As of 31 August 2019

Country Allocation

United States
75.9%
Switzerland
4.8%
Japan
4.3%
Hong Kong
3.1%
Netherlands
2.1%
Denmark
2.1%
Sweden
1.8%
Spain
1.6%
Finland
1.0%
Other
3.4%
* As of 31 August 2019

PERFORMANCE

Fund Returns After Fees (%)

  Fund Index
1 month 1.68% 1.72%
3 months 10.44% 10.60%
6 months 13.54% 13.92%
1 year 13.20% 13.77%
3 year p.a - 17.71%
5 year p.a - 17.72%
Since inception (p.a) 19.30% 19.71%
Inception date 5-Jan-17 -
* As at 30 August 2019

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* (%) 4.2%
12 Mth Gross Distribution Yield* (%) -
Franking Level -
*As at 31 August 2019. Yield figures are calculated by summing the prior 12 month net and gross fund per unit distributions divided by the fund closing NAV per unit. Past performance is not an indicator of future performance.

Recent Distributions

Ex Date Record Date Payment Date Distribution Unit ($) Annual Distribution Return (%) (1)
1-Jul-19 2-Jul-19 16-Jul-19 $0.35981 4.98%
2-Jan-19 3-Jan-19 17-Jan-19 $0.01701 1.97%
2-Jul-18 3-Jul-18 17-Jul-18 $0.1247 2.18%
2-Jan-18 3-Jan-18 17-Jan-18 $0.01267 -
3-Jul-17 4-Jul-17 18-Jul-17 $0.07949 -
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ANNOUNCEMENTS

ASX Announcements: ETHI

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RESOURCES

Factsheet - ETHI
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Fund Flyer - ETHI
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The Case for Sustainable Investing
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ETHI: Portfolio Holdings - Company Profiles - Examples
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Portfolio Holdings
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Product Disclosure Statement - ETHI
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Product Disclosure Statement Updates - ETHI
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Annual Report - June 2018
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NRWT and Fund Payment Notice information - June 2019 distributions
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NRWT and Fund Payment Notice information – December 2018 distributions
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Notice of Modifications to Fund Constitution – AMIT Tax Regime
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2018 Distribution Calendar
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Interim Financial Report 2018
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