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Betashares Nasdaq 100 ETF Fund

Investment objective

The fund aims to track the performance of the Nasdaq 100 Index (before fees and expenses). The Nasdaq 100 comprises 100 of the largest nonfinancial companies listed on the Nasdaq market and includes many companies that are at the forefront of the new economy.

Investment strategy

In seeking to achieve the investment objective for the Fund it will employ a passive management approach designed to track the performance of the relevant Index, before fees and expenses. The fund will generally invest in the securities that comprise the relevant Index in proportion to the weightings of the securities in the Index.

Investment manager

Betashares Capital Limited (Betashares) is an Australian fund manager that specialises in Exchange Traded Funds (ETFs). Established in 2009, Betashares has grown to become one of the market leaders in ETFs and has a wide range of exchange traded products on the ASX. Betashares’ philosophy is to create intelligent investment solutions that broaden the investment possibilities for Australian investors. Betashares products provide access to a wide range of market indices, asset classes and investment strategies, all of which can be bought or sold like any share on the ASX.

BetaShares

Unit price

Unit price


Unit price will be updated once available

Performance


The performance of this fund will be updated once available

Key features

Key features
APIR Code TBA
Risk level 6 – high
Minimum initial investment $500
Regular investment plan Minimum monthly deposit of $100
Minimum switching amount
$500
Minimum balance $500
Total estimated fees and costs 0.64% p.a.
Recommended minimum investment period Five years

Target asset allocation

Min % Max %
International shares 100* 100

*Small cash balances may be held in the Fund from time to time. The assets of each Fund, whether securities or cash, will be held by the Fund’s custodian, other than cash held as collateral for any derivatives positions.

Unit price

Unit price


Unit price will be updated once available

Performance


The performance of this fund will be updated once available

Key features

Key features
APIR Code TBA
Risk level 6 – high
Minimum initial investment $500
Regular investment plan Minimum monthly deposit of $100
Minimum switching amount
$500
Minimum balance $500
Total estimated fees and costs 0.64% p.a.
Recommended minimum investment period Five years

Target asset allocation

Min % Max %
International shares 100* 100

*Small cash balances may be held in the Fund from time to time. The assets of each Fund, whether securities or cash, will be held by the Fund’s custodian, other than cash held as collateral for any derivatives positions.

Request a PDS

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You can apply online for a simple and easy application process, or contact us for any investment, product or administrative enquiries.