ETFs with the most different mix from IXI (iShares Global Consumer Staples ETF)

The ASX ETFs whose mix differs most from IXI: by industry mix, AINF (100% of the portfolio would have to move to match IXI); by country mix, ASIA (100% of the portfolio would have to move to match IXI). Figures as shown on 2026-10-10, from each fund's latest published holdings, rebuilt daily.

By industry

FundMix gapHoldings classified 
AINFGlobal X Artificial Intelligence Infrastructure ETF100%97%Compare
CLNEVanEck Global Clean Energy ETF100%100%Compare
FUELBetaShares Global Energy Companies Currency Hedged ETF100%96%Compare
HACKBetaShares Global Cybersecurity ETF100%100%Compare
HGENGlobal X Hydrogen ETF100%100%Compare
MNRSBetaShares Global Gold Miners Currency Hedged ETF100%100%Compare
MVRVanEck Australian Resources ETF100%100%Compare
PAVEGlobal X US Infrastructure Development ETF100%99%Compare
QREBetaShares Australian Resources Sector ETF100%99%Compare
RCKTBETASHARES SPACE INDUSTRY ETF100%100%Compare

By country

FundMix gapHoldings classified 
ASIABetaShares Asia Technology Tigers ETF100%100%Compare
DRGNGlobal X China Tech ETF100%100%Compare
ATECBETASHARES S&P/ASX AUSTRALIAN TECHNOLOGY ETF98%100%Compare
MVBVanEck Australian Banks ETF98%100%Compare
MVRVanEck Australian Resources ETF98%100%Compare
OZFSTATE STREET SPDR S&P/ASX 200 FINANCIALS EX A-REIT ETF98%100%Compare
OZRSTATE STREET SPDR S&P/ASX 200 RESOURCES ETF98%100%Compare
QFNBetaShares Australian Financials Sector ETF98%99%Compare
QREBetaShares Australian Resources Sector ETF98%99%Compare
WIREGlobal X Copper Miners ETF80%100%Compare

How to read this

Mix gap is the share of a portfolio that would have to move between industries or countries for the fund to match IXI's mix: 0% is the same mix, 100% is nothing in common. It compares only the holdings that could be classified (100% of IXI by industry, 100% by country; every fund listed has at least 80%), and only funds in the same asset class (sector). Geared, inverse and long-short funds are left out. A different mix is not a lower-risk or lower-correlation fund: it only means the money sits in other industries or countries, and it often surfaces narrow funds.

See also funds with a similar mix, or everything about IXI.

General information only, not financial product advice. It does not take into account your objectives, financial situation or needs. Consider whether it is right for you and read the fund's product disclosure statement before deciding. See About for where the data comes from.