IXN vs MBAAX Fund Comparison

A comparison between IXN and MBAAX based on their expense ratio, growth, holdings and how well they match their benchmark performance.

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Minafi's Take on IXN vs MBAAX

Here's an in depth look at the differences between iShares Global Tech ETF ($IXN) and Morgan Stanley Institutional Fund Trust Global Strategist Portfolio Class A ($MBAAX).

To start off, here's a look at the basics of each fund. Keep an eye on the FI Score. That's a custom score from 0 to 100 that we generate based on how good this fund is for the casual investor. Most investors only need a handful of total funds in their portfolio. The higher the score, the more likely this is one of those few. Score alone isn't enough! Keep reading on to see how different (or perhaps similar) these two funds are.

64% FI Score
  • ixn
  • ETF
  • Sector Equity
  • Technology

iShares Global Tech ETF

Expenses: 0.46% (Better than 1% of similar funds)

This is an OK choice for a Technology Sector Equity fund. See why »

43% FI Score
  • mbaax
  • Mutual Fund
  • Allocation
  • Total World

Morgan Stanley Institutional Fund Trust Global Strategist Portfolio Class A

Expenses: 1.03% (Better than 1% of similar funds)

This is a bad choice for a Total World Allocation fund. See why »

$IXN is classified as an ETF while $MBAAX is classified as a Mutual Fund. Even though one of these is a mutual fund and the other is an ETF, that doesn't matter too much for their holdings. Both ETFs and mutual funds are just containers to hold lots of investments inside of them.

The biggest differences between these two is where they may be offered. ETFs are more widely availble from a larger number of investment apps and websites. Mutual funds, on the other hand, are generally offered by the platform they're issued by (Fidelity funds on Fidelity, Vanguard funds on Vanguard). Usually 401(k)'s will offer both ETFs and Mutual Funds. If you're investing outside of a 401(k), I'd recommend you verify the fees associated with ETF and mutual fund transactions. Some platforms charge an additional fee to purchase a mutual fund.

To learn more about the difference between these two, you can read about the difference between ETFs and Mutual Funds.

When evaluating a fund, the first things I look at are:

  • What it invests in
  • How much it charges in fees
  • How large the fund is

Let's look into these criteria one by one and see if either of these funds stands out.

Fund Holdings Comparison

Minafi's FI Score algorithm takes into account the category and market. The more niche a fund is, the lower the score. This doesn't mean it's a worse fund, but it does mean you should stop and make sure this a fund you need to diversify your portfolio.

IXN MBAAX
Market Score 8.3 /10 6.1 /10
Category Score 0.0 /10 5.0 /10
Total 8.3 11.1

A score of 10 means this is a solid market and category that almost every investor will want to have investments in. The lower the score, the more specific the investment. These scores are based on when most investors would add these funds to their portfolio. A score of 10 means that this fund (or one like it) belongs in a three-fund portfolio. The lower the score, the farther down in your portfolio a fund would go.

Winner: $MBAAX

Fee Comparison

Fees are one of the biggest killers of portfolio growth. The difference between a 2% fee and a 0.04% fee over 30 years can result in your portfolio having half the total value!

If you're just getting started investing and learning how fees impact your portfolio, I'd encourage you to read through my free investment course (specifically '2.2 - All About Fees') where I go over all the different types of fees you can be charged and how to lower them.

For these two funds, IXN has an expense ratio of 0.46% while MBAAX has an expense ratio of 1.03%.

Winner: $IXN

Fund Size Comparison

One place these two funds differ is in their total assets under management. This is a good indication of how many other investors trust this fund. A large fund by itself doesn't mean it's a good fund, but it is one thing to consider when figuring out how to choose the right fund.

In the case of these two funds, IXN is a large fund with 3.52 Billion in assets under management. MBAAX, on the other hand, is a medium fund with 378 Million in assets under management.

Winner: $IXN, iShares Global Tech ETF

Which Should You Choose? IXN or MBAAX?

Comparing these two funds isn't an apples to apples comparison. IXN is a Sector Equity Technology fund, while MBAAX is a Allocation Total World fund.

If you're aiming to build a diversified, low-fee, tax-optimized portfolio you likely won't be choosing between these two funds since they're different enough.

Running both of these funds through Minafi's FI Score algorithm, gives IXN a score of 64 and MBAAX a score of 43.

Winner: Neither, I'd research more funds if you're looking to invest for retirement.

$IXN

iShares Global Tech ETF

64

Read More
Ratings
Rating Type Rating
Diversification Score 0 /10
Expense Ratio Score 8 /10
Expense Rating 5 /10
Market Score 8 /10
Category Score 0 /10
Overview
Overview Details
Fund Type ETF
Inception Date Nov-12-2001
Exchange NYSE ARCA
Expense Ratio 0.460%
Net Assets 3.52 Billion
Yield 1.01%
Holdings
Description Info
Market Sector Equity
Category Technology
Sectors
  • Basic Materials 0.00%
  • Communication Services 0.00%
  • Consumer Cyclicals 0.00%
  • Consumer Defensive 0.00%
  • Energy 0.00%
  • Financial Services 9.46%
  • Healthcare 0.00%
  • Industrials 2.48%
  • Real Estate 0.00%
  • Technology 88.06%
  • Utilities 0.00%
Regions
  • Asia Developed 7.39%
  • Asia Emerging 0.26%
  • Australasia 0.05%
  • Europe Developed 6.36%
  • Japan 3.95%
  • Latin America 0.07%
  • North America 81.64%
  • United Kingdom 0.26%

$MBAAX

Morgan Stanley Institutional Fund Trust Global Strategist Portfolio Class A

43

Read More
Ratings
Rating Type Rating
Expense Ratio Score 6 /10
Expense Rating 0 /10
Market Score 6 /10
Category Score 5 /10
Overview
Overview Details
Fund Type Mutual Fund
Inception Date Dec-31-1992
Exchange NMFQS
Expense Ratio 1.030%
Net Assets 378 Million
Yield 0.00%
Holdings
Description Info
Market Allocation
Category Total World
Sectors
  • Basic Materials 3.91%
  • Communication Services 8.84%
  • Consumer Cyclical 9.71%
  • Consumer Defensive 9.00%
  • Energy 3.35%
  • Financial Services 14.84%
  • Healthcare 14.40%
  • Industrials 10.37%
  • Real Estate 4.68%
  • Technology 17.25%
  • Utilities 3.63%
Regions
  • Africa/Middle East 0.01%
  • Asia Developed 1.09%
  • Asia Emerging 0.13%
  • Australasia 1.66%
  • Europe Developed 13.90%
  • Europe Emerging 0.01%
  • Japan 1.79%
  • Latin America 0.07%
  • North America 76.36%
  • United Kingdom 4.99%

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