PortfoliosLab logoPortfoliosLab logo

iShares Growth Portfolio UCITS ETF EUR (Acc) (MAGR.DE) belongs to the Global Allocation category. Below you'll find alternative ETFs from the same category, ranked by key criteria, plus funds that investors commonly compare with MAGR.DE. Use the tables to find lower-cost options, better risk-adjusted returns, or a closer substitute for your current allocation.

Cheapest Alternatives to MAGR.DE

MAGR.DE charges 0.25% annually. No ETFs in the Global Allocation category have lower expense ratios; the lowest-cost alternatives shown here go as low as 0.25%.


Best Risk-Adjusted Alternatives to MAGR.DE

MAGR.DE has a PortfoliosLab risk / return rank of 76. There are 3 ETFs in the Global Allocation category with higher risk-adjusted ranks, going as high as 87.


Top Performing MAGR.DE Alternatives (YTD)

MAGR.DE is at 12.86% YTD. There are 2 ETFs in the Global Allocation category with higher YTD returns, going as high as 16.53%.


Lowest Volatility Alternatives to MAGR.DE

MAGR.DE has 11.64% 1-year volatility. There are 8 ETFs in the Global Allocation category with lower 1-year volatility, going as low as 5.26%.


Lowest Drawdown Alternatives to MAGR.DE

MAGR.DE has a 1-year max drawdown of -7.55%. There are 10 ETFs in the Global Allocation category with shallower 1-year drawdowns, going as shallow as -3.95%.


Other ETFs from iShares

The 10 most viewed iShares ETFs shown here include SXR8.DE, QDVE.DE, SXRV.DE and span 8 categories.


Compare MAGR.DE with Any Fund or Stock

Compare MAGR.DE with any ETF, mutual fund, or stock using PortfoliosLab's comparison tool.


 

Diversifiers

Pair MAGR.DE with funds that move differently

iShares Growth Portfolio UCITS ETF EUR (Acc) alternatives help with substitution. Diversifiers are the next step when you want funds with lower historical correlation to MAGR.DE.

Explore MAGR.DE Diversifiers