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Comparison report · official data side by side

IE00B77D4428 vs LU0136234654


IE00B77D4428UBS Core MSCI USA UCITS ETF USD dis
IE00B77D4428 · Equity · United States
LU0136234654UBS MSCI USA UCITS ETF USD dis
LU0136234654 · Equity · United States
Open the interactive comparison on rebalix.com →

Comparison window: 11 Apr 20128 Sept 2026 (max: from the most recent launch) · currency: 🇪🇺 EUR · inflation: 🇮🇹 Italy · distributions: reinvested where declared

Report produced on 10 September 2026 · data as of the dates shown per section
Sources: official issuer documents (KID, factsheet, declared NAV series and holdings), ESMA register, ECB rates, Eurostat
Public methodology: rebalix.com/en/methodology

Informational document generated by rebalix.com — facts side by side, no recommendations. It does not constitute investment advice or investment research under Directive 2014/65/EU (MiFID II). Past performance is not indicative of future results.

RebalixIE00B77D4428 vs LU0136234654 · report of 10 September 2026

The funds at a glance

From official issuer documents and the ESMA register
IE00B77D4428IE00B77D4428UBS Core MSCI USA UCITS ETF USD disEquity · United States
Declared index
MSCI USA Total Return Net
TER
0.03%
Transaction (KID)
0.00%
Fund size
1.3 mld EUR
Launch
11 Apr 2012
Currency
USD
Replication
Physical (full replication)
Hedging
No
Holdings
520
Distributions 12m
1.6454 USD
Effective 🇮🇹 rate
26.00%
LU0136234654LU0136234654UBS MSCI USA UCITS ETF USD disEquity · United States
Declared index
MSCI USA Total Return Net
TER
0.14%
Transaction (KID)
0.00%
Fund size
471 mln EUR
Launch
29 Oct 2001
Currency
USD
Replication
Physical (full replication)
Hedging
No
Holdings
520
Distributions 12m
4.3861 USD
Effective 🇮🇹 rate
26.00%

Tracking difference — year by year

Fund minus index, from issuer-declared series (complete calendar years). Each measures adherence to its OWN index.
IE00B77D44283y avg: +0.17%/anno
2025
+0.17%
2024
+0.16%
2023
+0.17%
2022
+0.09%
2021
+0.08%
2020
+0.15%
LU01362346543y avg: −0.15%/anno
2025
−0.15%
2024
−0.19%
2023
−0.12%
2022
−0.01%
2021
−0.15%
2020
−0.12%
Rebalix · IE00B77D4428 vs LU0136234654section 1 of 4
RebalixIE00B77D4428 vs LU0136234654 · report of 10 September 2026
IE00B77D4428UBS Core MSCI USA UCITS ETF USD dis · IE00B77D4428 · Equity · United States
LU0136234654UBS MSCI USA UCITS ETF USD dis · LU0136234654 · Equity · United States

Performance over the period, in euro

From 11 Apr 2012 to 8 Sept 2026 · base 100 · ECB rates, dividends reinvested where declared
In euro (nominal)
10078798769742
In today’s purchasing power (net of Italy inflation)
10078798598577
IE00B77D4428LU0136234654
Same scale in both panels: the gap between endpoints is Italian inflation over the period (Eurostat). Volatility stays nominal, as everywhere on the site.

How far they fell — drawdown from peak (nominal)

In euro · distance from the previous peak, day by day, on NAV: for distributing classes it includes ex-dividend drops (slightly deeper than total return)
0%-10%-20%-30%-40%-50%IE00B77D4428LU013623465420132014201520162017201820192020202120222023202420252026trough IE00B77D4428: −34.0% · 23 Mar 2020trough LU0136234654: −34.1% · 23 Mar 2020
Filled area: IE00B77D4428; thin lines: the other funds.
The worst episode, fund by fund
FundMax drawdownTroughRecovery timeUnderwater
IE00B77D4428−34.0%23 Mar 2020283 days316 days · back to break-even on 31 Dec 2020
LU0136234654−34.1%23 Mar 2020280 days313 days · back to break-even on 28 Dec 2020
"Recovery time" = the climb only: trough to break-even (0%). "Underwater" = decline + recovery: peak to break-even.

Drawdown net of Italy inflation

Same curve in purchasing-power terms: as on the site, drawdown follows the real view (volatility stays nominal, per methodology)
0%-10%-20%-30%-40%-50%IE00B77D4428LU013623465420132014201520162017201820192020202120222023202420252026trough IE00B77D4428: −35.4% · 23 Mar 2020trough LU0136234654: −35.5% · 23 Mar 2020
In real terms declines are deeper and recoveries slower. Monthly price index (Eurostat), held at the last published value.
Rebalix · IE00B77D4428 vs LU0136234654section 2 of 4
RebalixIE00B77D4428 vs LU0136234654 · report of 10 September 2026
IE00B77D4428UBS Core MSCI USA UCITS ETF USD dis · IE00B77D4428 · Equity · United States
LU0136234654UBS MSCI USA UCITS ETF USD dis · LU0136234654 · Equity · United States

Geographic composition

% of portfolio, from full declared holdings
IE00B77D4428LU0136234654

Sector composition

GICS sectors, same sources and dates
IE00B77D4428LU0136234654

Portfolio overlap

520 common holdings · ticker match on full official portfolios
25%50%75%100%Weight of common holdings in IE00B77D442898.8%Weight of common holdings in LU013623465498.8%Truly shared part (duplicated investment)98.7%
How the shared part is computed: for each security held by both funds, only the SMALLER of the two weights counts — a stock at 5% in one fund and 1% in the other overlaps by 1%, not 5%. Summed over all 520 common holdings this gives 98.7%: buying both funds, roughly this share of your money buys the same stocks twice. Matching uses the ISIN of each security, as published by both issuers in their baskets.
Rebalix · IE00B77D4428 vs LU0136234654section 3 of 4
RebalixIE00B77D4428 vs LU0136234654 · report of 10 September 2026

Full comparison table

"—" = not published by the source, never estimated
IE00B77D4428UBS Core MSCI USA UCITS ETF USD dis · IE00B77D4428 · Equity · United States
LU0136234654UBS MSCI USA UCITS ETF USD dis · LU0136234654 · Equity · United States
MetricIE00B77D4428LU0136234654Note
Identity
CategoryEquity · United StatesEquity · United StatesRebalix engine classification
ReplicationPhysical (full replication)Physical (full replication)as declared by the issuer
Currency hedgingNoNosource: class name, factsheet
Income policydistributingdistributing
Costs
TER0.03%0.14%from the KID
Transaction costs (KID)0.00%0.00%internal
All-in cost0.03%0.14%TER + transaction
Tracking difference (3a)+0.17%−0.15%vs its OWN index
Performance in euro (ECB rates)
1 year+20.1%+19.7%
3 years+64.1%+62.8%
5 years+79.7%+77.6%
10 years+286.4%+277.2%— = series younger than the window
Risk · last 3 years
Volatility (ann.)+15.16%+15.18%
Max drawdown−19.18%−19.19%
Sharpe1.071.07risk-free = ECB MRO avg
Sortino1.561.57like Sharpe, downside only
Distributions (fund currency)
Frequencysemi-annualsemi-annual
Distributions, last 12 months1.6454 USD4.3861 USDper share
Distribution yield0.88%0.59%12 months / NAV
Last ex-date13 Aug 2026 · 0.8369 USD13 Aug 2026 · 2.4414 USD
Italian taxation
Effective capital-gains rate26.00%26.00%white list, current half-year
Documents & exchanges
Listing venues109ESMA register
Borsa Italiana tickerUSAEUYUSAEUA
Indicative cumulative cost: on 10,000 euro over 5 years (stated assumption: 5%/yr growth, cost = TER + transaction) ~19 euro IE00B77D4428 · ~89 euro LU0136234654. Broker costs not included.

Disclaimer

This document is for information only and does not constitute investment advice under Directive 2014/65/EU (MiFID II), investment research, a personal recommendation, or an offer or solicitation to buy or sell financial instruments.

Past performance is not indicative of, nor a guarantee of, future results. The value of an investment can go down as well as up and investors may not get back the capital invested. Euro returns are affected by currency fluctuations.

Before any investment decision, read the KID and the Prospectus, available from the issuers. Tax treatment depends on individual circumstances and may change.

Data come from official issuer documents and public registers, following the public methodology at rebalix.com/en/methodology. "—" fields were not published by the source and have not been estimated. Rebalix receives no compensation from the issuers mentioned.

Rebalix · IE00B77D4428 vs LU0136234654section 4 of 4