At a glance
Side-by-side comparison
| Metric |
BGBL
BetaShares Global Shares ETF
|
IWLD
iShares Core MSCI World ex Australia ESG ETF
|
VGS
Vanguard MSCI Index International Shares ETF
|
WXOZ
State Street SPDR S&P World ex Australia Carbon Aware ETF
|
|---|---|---|---|---|
| Snapshot | ||||
| Provider |
BetaShares
|
iShares
|
Vanguard
|
State Street
|
| Tracks index |
Solactive GBS Developed Markets Large & Mid Cap Index
|
MSCI World ex Australia Custom ESG Select Index
|
MSCI World ex Australia Index
|
—
|
| Categories |
Intl, Large-Cap, Market-Cap
|
Intl, ESG
|
Intl, Large-Cap, Market-Cap
|
Intl, Large-Cap, Market-Cap, ESG
|
| Listed since |
2021 (5 yrs)
|
2020 (6 yrs)
|
2014 (12 yrs)
|
—
|
| Fund size (AUM) |
$4.7bn
|
$1.8bn
|
$50.2bn
|
$778m
|
| Cost & income | ||||
| Management fee |
0.08%
|
0.15%
|
0.18%
|
0.07%
|
| Dividend yield |
1.17%
|
1.37%
|
1.28%
|
6.01%
|
| Franking |
0%
|
0%
|
0%
|
0%
|
| Turnover |
5%
|
15%
|
3%
|
—
|
| Tax drag | 0.49% | 0.8% | 0.48% | 1.92% |
| Returns |
Tax bracket
|
|||
| 1-year return |
10.7%
net
|
10%
net
|
10.5%
net
|
7.8%
net
|
| 3-year return |
16.9%
net
|
16.6%
net
|
16.7%
net
|
15.8%
net
|
| 5-year return |
—
|
12.6%
net
|
12.3%
net
|
11.3%
net
|
| 10-year return |
—
|
13.9%
net
|
13.8%
net
|
13.1%
net
|
| Risk | ||||
| Volatility (3y) |
9.9%
|
10.9%
|
9.9%
|
9.7%
|
| Volatility (5y) |
—
|
12.3%
|
11.1%
|
11%
|
| Volatility (10y) |
—
|
11.6%
|
10.9%
|
10.8%
|
| Sharpe ratio (3y) |
1.23
|
1.1
|
1.2
|
1.15
|
| Sharpe ratio (5y) |
—
|
0.78
|
0.83
|
0.74
|
| Sharpe ratio (10y) |
—
|
1
|
1.05
|
1
|
| Bid/ask spread |
—
|
—
|
—
|
—
|
marks the strongest fund in each row. “net” shows the after-tax return at your selected bracket. “—” means we don’t have that data point yet.
Each fund at a glance
- Top-20% returns over 3 years (45th of 226 ETFs we track).
- Low-cost: a 0.08% management fee keeps more of the return in your pocket.
- Top-13% returns over 10 years (14th of 108 ETFs we track).
- Low-cost: a 0.15% management fee keeps more of the return in your pocket.
- Cheaper alternatives exist: WXOZ, BGBL, and EXUS.
- Top-14% returns over 5 years (27th of 188 ETFs we track).
- Low-cost: a 0.18% management fee keeps more of the return in your pocket.
- Cheaper alternatives exist: BGBL and IWLD.
- Top-17% returns over 10 years (18th of 108 ETFs we track).
- Low-cost: a 0.07% management fee keeps more of the return in your pocket.
- That income is taxed yearly at your marginal rate, so it's less efficient for higher earners.
Frequently Asked Questions
BGBL, IWLD, VGS, and WXOZ are 4 Australian-listed ETFs we compare side by side. WXOZ carries the lowest management fee (0.07%). Over 10 years, IWLD has delivered the highest total return (13.9% a year). The table above breaks down fees, returns, income and risk for each.
WXOZ has the lowest management fee at 0.07% a year, versus BGBL 0.08%, IWLD 0.15%, and VGS 0.18%.
Over the past 10 years, IWLD has delivered the highest total return at 13.9% a year. Past performance is not a reliable indicator of future returns.
WXOZ pays the highest at 6.01%. Remember distributions are taxed each year at your marginal rate.
VGS is the largest fund by assets ($50.2bn). Larger funds are typically more liquid and trade on tighter spreads.
Related comparisons
General information only, generated from each fund's published data — not personal financial advice. Past performance is not a reliable indicator of future returns. Consider your own circumstances or seek licensed advice before investing.