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G200

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Analysis and statistics

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About

G200.AU represents the BetaShares Geared Australian Equity Fund, an exchange-traded fund (ETF) listed on the Australian Securities Exchange (ASX). This fund aims to provide investors with geared exposure to the returns of the S&P/ASX 200 Index, meaning it seeks to amplify both positive and negative movements in the Australian stock market. Due to its geared nature, it is considered a high-risk investment and is designed for sophisticated investors who understand the risks associated with leverage and daily compounding. The fund uses borrowing to increase its exposure to the index, potentially delivering greater returns in a rising market but also magnifying losses in a falling market.
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Factors

Constituent Stock Prices: The G200.AU ETF tracks the S&P/ASX 200 index. Price fluctuations in its constituent stocks directly impact the ETF's value.

Supply and Demand: Increased demand for the ETF drives its price up, while higher supply leads to a price decrease.

Market Sentiment: Overall investor confidence or pessimism in the Australian stock market influences the ETF's price.

Economic Factors: Economic growth, interest rates, inflation, and unemployment data can affect the performance of the companies within the index and the ETF.

Currency Fluctuations: Changes in the Australian dollar's value can impact returns for international investors holding the ETF.

Dividend Yield: The combined dividend yield of the underlying stocks influences the ETF's attractiveness and price.

Fund Management Fees: The ETF's expense ratio affects the overall return and can indirectly impact its price relative to its benchmark.

Global Events: Major global events (e.g., recessions, pandemics) impact stock markets worldwide, influencing G200.AU.

Index Rebalancing: Changes to the S&P/ASX 200 index composition during rebalancing can cause short-term price adjustments in the ETF.

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