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

ETF

VEU

US9220427754

Market Closed - Nyse 21:00:00 07/05/2024 BST 5-day change 1st Jan Change
58.94 USD -0.03% Intraday chart for Vanguard FTSE All-World ex-US ETF - USD +1.66% +4.99%

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

Weight
4,361 JPY +1.94%-0.50%-16.95%0.13%
13.74 SGD -3.65%-4.11%+5.77%0.13%
104.2 EUR +1.12%+1.71%+3.39%0.13%
1,876 JPY -1.21%-1.37%+6.62%0.13%
9,700 IDR -1.02%-1.02%+3.19%0.13%
78.4 EUR +0.82%+5.01%+17.61%0.13%
205.1 EUR +1.03%+3.64%+8.66%0.13%
222.1 EUR -1.33%-1.90%+20.60%0.13%
38.03 EUR +2.40%+2.70%-14.03%0.12%
4,072 CHF +2.08%+3.19%+16.88%0.12%
1,436 INR -0.36%+1.48%-6.97%0.12%
102.5 CHF +0.94%+2.68%+8.40%0.12%
38.32 EUR +2.93%+1.78%-15.32%0.12%
59.6 EUR +0.57%-0.27%-8.14%0.12%
33.11 EUR +2.25%+1.47%-19.60%0.12%
418.4 GBX +0.07%+1.28%+39.61%0.12%
3,727 ZAR -0.63%+3.33%+19.16%0.12%
34.24 AUD -0.41%+8.63%+35.30%0.12%
1,238 CHF +1.77%+4.04%+2.02%0.12%
187.3 DKK +3.11%-0.58%-12.60%0.12%
329.8 EUR +0.93%-0.05%-17.33%0.12%
22.99 CAD +0.88%+0.48%-3.97%0.12%
16,200 GBX +3.15%+8.54%+16.21%0.12%
26.58 AUD -0.75%+4.96%-8.43%0.12%
3.59 HKD +0.56%+3.16%+20.47%0.12%
520.2 CHF +0.35%+1.92%+47.07%0.12%
759.4 GBX +0.42%+8.33%-14.40%0.12%
30.94 AUD +0.10%-2.69%-16.76%0.12%
2,650 JPY -0.71%+0.26%+24.61%0.12%
15.46 EUR +1.15%-5.01%-2.91%0.12%
4,281 JPY -0.63%+0.42%+17.48%0.11%
5,772 GBX +1.19%-1.20%+5.68%0.11%
1,990 JPY -0.70%-2.97%+6.70%0.11%
1,016 DKK +1.69%+1.87%-14.26%0.11%
72.52 CAD -0.18%+3.17%+5.53%0.11%
1,130 INR +0.22%-1.80%+2.37%0.11%
36.15 SAR +0.84%-3.86%-6.47%0.11%
2,680 GBX -0.50%+1.75%+36.00%0.11%
1,291 INR +0.46%-1.18%+24.97%0.11%
12.9 EUR +2.30%+4.03%+6.17%0.11%
84,530 JPY -0.77%+1.95%+11.58%0.11%
2,950 GBX +2.04%+2.57%+21.85%0.11%
19.1 HKD +6.47%+8.28%+22.44%0.11%
210.4 GBX +3.95%+3.77%+36.79%0.11%
173.3 MXN +0.12%+2.19%+1.47%0.11%
786b1cd9066c8.LJK5Q5x3jpqCofKmO0zn1LM4aVs5rG7Cn3b5ssWzk00.SfXQBq0h9t_B98vteiSIpvlBJhZe9kOD6Uax8fDJoyhp_e4Qwz7I4NrzgQ

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