ETF Comparison: HAUZ vs DBEF
ETF 說明
HAUZ - DBX ETF Trust - Xtrackers International Real Estate ETF
The DBX ETF Trust - Xtrackers International Real Estate ETF is a global real estate fund that tracks an index of publicly-traded securities in developed and emerging markets outside of the U.S., Pakistan, and Vietnam. The fund provides broad-based access to the real estate asset class, offering the potential for attractive current returns and long-term capital appreciation. With a low expense ratio, it is one of the cheapest options in the global real estate category.
DBEF - Xtrackers MSCI EAFE Hedged Equity ETF
The Xtrackers MSCI EAFE Hedged Equity ETF provides exposure to developed equity markets outside of the US, with a unique feature of hedging out currency exposure. This fund tracks the MSCI EAFE US Dollar Hedged Index, offering a broad-based, market-cap weighted portfolio of international stocks. It is designed to isolate the performance of developed market stocks, neutralizing the impact of exchange rate fluctuations. This ETF can be a useful component in long-term portfolios, offering a currency-neutral tactical tilt towards the EAFE region.
比較表
| HAUZ | DBEF | |
|---|---|---|
| 基金名稱 | DBX ETF Trust - Xtrackers International Real Estate ETF | Xtrackers MSCI EAFE Hedged Equity ETF |
| Fund Provider | Deutsche Bank | Deutsche Bank |
| Index | iSTOXX Developed and Emerging Markets ex USA PK VN Real Estate Index | MSCI EAFE US Dollar Hedged Index |
| Asset Class | Real Estate | Equity |
| Listing | US-listed | US-listed |
| Expense Ratio | 0.10% | 0.36% |
| Inception Date | 2013-10-01 | 2011-06-09 |
| Number Of Holdings | 391 | 746 |
| Currency | USD | USD |
| Region | Global | Developed Markets |
| Investment Style | Blend | Blend |
| Market Cap | Blend | Blend |
| Leveraged | Non-leveraged | Non-leveraged |
回測選項
摘要
關鍵指標
績效指標
風險指標
詳細報酬
績效分析
績效分析透過累積報酬、年底(EoY)報酬及 Sharpe 比率、Sortino 比率等風險調整指標,評估歷史資料以衡量投資策略報酬。這有助於投資人在不同市場條件下評估絕對和相對績效。
累積報酬
年底報酬表
年底報酬
風險分析
風險分析是指對可能導致資本損失的潛在負面事件進行評估。進行風險分析有助於決定是否應進行投資。這是透過回撤、波動率和 Beta 等風險指標來完成的,這些指標反映了利益相關者對投資策略一致性的信心。
回撤
回撤表
Monte Carlo 模擬
Monte Carlo 模擬是一種統計方法,透過從歷史資產價格資料中隨機抽樣產生大量潛在結果,用以預測投資組合報酬。它協助投資人評估各種市場條件下投資組合的潛在風險和報酬。模擬考慮初始投資,並可選擇性地模擬現金流情境,如固定投入、固定提款或比例提款。
重要提示:透過 Monte Carlo 模擬產生的預測純屬假設性質,不保證未來報酬。投資決策應考量多種因素,過去表現不代表未來結果。