Can someone explain the sector allocation of the fund will help diversify the total portfolio...

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Accounting

Can someone explain the sector allocation of the fund will help diversify the total portfolio hold by fund manager? for context the fund is M&G SA EQUITY CLASS F with benchmark of SATRIX 40 ETF, we have other ETF in portfolio which is iShare Core S&P/ASX 200. Does the weight allocated differently on each sector from m&g and ishare contribute to diversification? for example 5% on material in m&g and 10% on materials in iShare. Also they have different top holding such as technology. in ishare there's no technology company but they have it on m&g mutual fund.

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