Compare ATEC · AINF
ATEC and AINF hold at least 72 companies between them. None is in both, and 0.0% of each fund is the same companies.
We can see through 98.5% of these funds to individual companies. The rest is cash, bonds, or a fund whose holdings we cannot see, so every figure here is a floor.
Return, last year
Price only, last year, each fund starting at 100. No fund here paid a distribution in this window.
Side by side
Holdings, fund by fund
- Information Technology
- Industrials
- Materials
- Communication Services
- Health Care
- Everything else
- Bonds
- CPUCOMPUTERSHARE LIMITED.In 1 of 2ATEC10.5%AINFnot held
- XROXERO LIMITEDIn 1 of 2ATEC8.2%AINFnot held
- PMEPRO MEDICUS LIMITEDIn 1 of 2ATEC8.0%AINFnot held
- TNETECHNOLOGY ONE LIMITEDIn 1 of 2ATEC7.5%AINFnot held
- CARCAR GROUP LIMITEDIn 1 of 2ATEC7.3%AINFnot held
- NXTNEXTDC LIMITEDIn 1 of 2ATEC7.2%AINFnot held
- CDACODAN LIMITEDIn 1 of 2ATEC7.2%AINFnot held
- REAREA GROUP LTDIn 1 of 2ATEC6.5%AINFnot held
- ANETARISTA NETWORKS INCIn 1 of 2ATECnot heldAINF6.5%
- WTCWISETECH GLOBAL LIMITEDIn 1 of 2ATEC6.3%AINFnot held
What each fund is in
Each figure is the company's weight inside that fund, so the funds are read against each other and nothing is added up. A company listed on two exchanges counts once in a fund. Each bar in the mix is one fund as 100% of itself. The striped colours are money we cannot see inside a company (cash, bonds, a fund we cannot open). Cash, bonds and funds we cannot open that come to under 1% of a bar are in Everything else.
What ATEC already gives you
- ATEC and AINF share 0 companies0.0%A floor, not a measurement: one of these funds is not fully resolved to individual companies.
Overlap is the smaller weight in every company both funds hold: the share of each fund the other already covers. Grouped by company, so a listing on two exchanges is one holding.
What each fund changed
Reading the holdings history…
Holdings are published monthly, so this is the last publication, not this week. A re-weight counts once it moves 0.25 points of the fund or more — below that, weights are just prices moving.