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DHHFBetashares · Mixed Asset · Multi-asset · Multi-region
Betashares Diversified All Growth ETF
Fee p.a.
0.19%
ASX report
Fund size
A$1.5b
12m flow A$604m
Yield
2.0%
4 payments / yr
Volatility 3y
10.4%
annualised
Max DD 3y
−13.5%
all-time −28.5%
Listed
2019
6 Dec 2019 · spread 0.05%
$8k$10k$12k$14k$16k$18k$20k20192020202120222023202420252026
Performance
Period
Total
ASX
1 month
−0.4%
−0.6%
3 months
3.2%
—
6 months
8.2%
—
Year to date
6.5%
—
1 year
9.1%
10.2%
3 years p.a.
14.0%
14.1%
5 years p.a.
9.7%
10.5%
10 years p.a.
—
—
Since listing p.a.
10.7%
—
Total return to 4 Sept 2026, distributions reinvested, before franking. ASX figures are to 31 July 2026 and gross of franking, so they run higher for franked Australian funds.
Sharpe 3y 0.96Vol 1y 9.7%Vol 5y 11.1%Max DD 1y −8.0%Max DD 5y −17.3%Best year 23.1%83% positive years
Calendar-year returns
2020
3.8%
2021
23.1%
2022
−8.9%
2023
17.0%
2024
21.7%
2025
11.9%
2026
6.5%
Where the money is
Look-through exposure as at 2 Sept 2026 · 2781 securities · top 10 = 24.2%
Country
Australia40.6%
United States40.4%
Taiwan3.2%
Hong Kong2.2%
Japan2.0%
India1.5%
United Kingdom1.3%
Canada1.2%
South Korea0.8%
France0.8%
Sector
Information Technology29.8%
Financials25.5%
Materials14.7%
Industrials8.1%
Consumer Discretionary4.4%
Communication Services4.0%
Real Estate3.8%
Health Care3.7%
Consumer Staples2.7%
Energy2.3%
Utilities1.1%
Top holdings
AUD - AUSTRALIA DOLLAR
0.1%
Top 6 of 2781 holdings.
Most similar funds
Overlap is the share of the portfolio held in common, look-through. Correlation is of daily returns. High overlap means close substitutes.
Code
Fund
Fee
Overlap
Corr 3y