Components Vanguard FTSE All-World ex-US ETF - USD

ETF

VEU

US9220427754

Market Closed - Nyse 21:00:00 08/05/2024 BST 5-day change 1st Jan Change
58.86 USD -0.14% Intraday chart for Vanguard FTSE All-World ex-US ETF - USD +2.94% +4.85%

Composition of Vanguard FTSE All-World ex-US ETF - USD

Weight
35.96 EUR 0.00%+4.01%+46.41%0.18%
2,284 GBX +0.48%+3.72%+6.43%0.18%
38.31 EUR -0.73%-2.42%-14.59%0.18%
3,977 INR -0.05%+4.09%+4.84%0.17%
5,042 JPY +2.06%-0.16%+42.87%0.17%
43.62 EUR +1.30%+1.80%+10.63%0.17%
35.07 SGD -1.79%-1.38%+15.43%0.17%
80.3 SAR -0.62%+0.50%-7.17%0.17%
3.594 EUR 0.00%+1.91%+35.94%0.17%
190.4 AUD -0.18%+1.19%+3.60%0.17%
33.08 EUR -0.44%+4.97%+22.57%0.17%
69.15 AUD -1.85%+3.94%+21.14%0.17%
75.02 CAD +0.40%-0.98%-3.86%0.16%
199.8 SEK +0.25%+2.20%+15.10%0.16%
66.73 CAD +1.34%+3.44%+4.59%0.16%
259 HKD +0.39%-2.19%-3.36%0.16%
3,013 JPY +0.58%+0.17%+24.89%0.16%
4,080 JPY +0.67%-1.09%+0.64%0.16%
1,382 GBX +0.62%+3.25%+24.40%0.16%
22,730 JPY +2.04%+2.90%-1.11%0.16%
7,809 JPY -1.66%+0.21%+24.09%0.16%
129.6 SEK -1.07%+0.82%+3.95%0.16%
18,300 JPY +0.69%+0.41%+3.83%0.16%
53.67 CAD +0.43%+3.63%+26.43%0.16%
79.76 CHF +0.61%+3.34%+20.81%0.15%
169.5 TWD 0.00%+8.65%+62.20%0.15%
59.32 EUR +1.02%+1.13%+1.09%0.15%
52 CAD +1.07%+5.80%+0.46%0.15%
406.2 USD +1.30%-2.34%+20.03%0.15%
33.6 CAD +0.99%+3.61%+14.75%0.15%
28.14 AUD +0.91%+3.46%-9.50%0.15%
277 SEK -0.25%-2.26%+5.85%0.15%
219.5 USD +0.26%+3.83%+13.70%0.15%
165.4 USD -0.06%+2.06%+10.81%0.14%
4.32 HKD +0.70%+1.89%+12.83%0.14%
72.94 CHF -0.52%+2.59%+11.12%0.14%
53.94 GBX +0.41%+3.33%+13.06%0.14%
40,990 JPY -0.41%+0.42%+17.15%0.14%
186.8 EUR -0.11%+3.15%+0.19%0.14%
1,215 EUR 0.00%+7.50%+4.15%0.14%
3,401 GBX +0.53%+5.62%+6.21%0.14%
28.48 EUR -0.04%+4.11%-15.33%0.14%
14.94 EUR 0.00%-1.32%-2.68%0.14%
148.5 EUR +1.96%+4.58%-7.04%0.13%
2,816 JPY -0.30%+0.63%-5.93%0.13%
147.5 EUR +1.03%+4.80%+14.61%0.13%
4,363 JPY +0.14%+0.76%-16.91%0.13%
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ETF Ratings

Description

US9220427754
Total Expense Ratio 0.08%
Asset Class
Sector
Size
Currency
Provider
Underlying FTSE All-World ex US Net Tax (US RIC) Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
01/03/2007
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 29/04/2024 )

AuM (EUR) 0 M€
AuM 1M 0 M€
AuM 3 months 0 M€
AuM 6 months 0 M€
AuM 12 months 0 M€
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  4. Components Vanguard FTSE All-World ex-US ETF - USD