Components Vanguard FTSE Emerging Markets Shares ETF - AUD

ETF

VGE

AU000000VGE8

Delayed Australian S.E. 02:55:05 22/05/2024 BST 5-day change 1st Jan Change
73.74 AUD -0.26% Intraday chart for Vanguard FTSE Emerging Markets Shares ETF - AUD +0.72% +9.47%

Composition of Vanguard FTSE Emerging Markets Shares ETF - AUD

Weight
9,375 IDR -1.06%-1.83%-0.27%0.44%
3,938 ZAR +0.10%-1.54%+25.91%0.41%
3.98 HKD +0.51%+2.84%+33.56%0.40%
1,138 INR -0.33%+1.36%+3.14%0.39%
34.6 SAR +0.73%-2.26%-10.48%0.39%
1,344 INR -0.02%+4.55%+30.12%0.39%
19.38 HKD +0.41%-1.92%+24.62%0.38%
169.7 MXN 0.00%-2.47%-0.64%0.38%
3,440 INR -0.30%+1.81%-2.47%0.37%
2,310 INR -0.40%-1.66%-13.26%0.37%
32.96 BRL -0.51%-1.08%-2.97%0.36%
29.95 SAR +0.17%+0.50%-9.24%0.35%
218.4 HKD +0.65%-1.17%+2.24%0.35%
4,680 IDR -2.90%-1.06%-18.25%0.34%
196.6 MXN 0.00%-3.26%-11.04%0.31%
318.5 TWD +0.16%+0.79%+1.59%0.29%
0.869 KWD -0.11%-2.36%+2.07%0.28%
67.97 MXN 0.00%+1.28%-5.03%0.28%
6,743 INR +0.23%+1.01%-7.98%0.28%
0.746 KWD +0.27%+0.81%+12.00%0.28%
16.42 MXN 0.00%-2.26%+4.32%0.28%
1,705 CNY -0.23%+0.18%-1.22%0.27%
69.42 ZAR +0.30%+4.78%-5.56%0.26%
78.5 SAR +0.51%-1.63%-5.99%0.26%
13.85 QAR +1.09%-0.50%-16.21%0.25%
2,523 INR +0.32%+11.13%+45.87%0.25%
282 TWD 0.00%-2.25%+25.61%0.25%
1,121 INR -0.84%+0.04%+12.48%0.24%
16 AED -0.74%-3.03%-18.53%0.24%
1,342 INR +0.65%+1.58%-8.47%0.24%
2,852 INR +1.49%-0.50%-16.18%0.24%
3,375 INR +0.41%+2.61%-8.19%0.24%
57.8 HKD +1.58%-0.52%+9.25%0.23%
372 INR +1.79%+4.55%+19.56%0.23%
114.6 MXN 0.00%+10.28%+21.70%0.23%
6,025 IDR -4.74%-2.82%-0.41%0.23%
38.3 USD -1.34%-2.42%-9.73%0.22%
11.41 BRL -0.17%-0.87%-21.58%0.22%
12.06 AED -0.82%-2.11%-13.61%0.22%
37.75 TWD -2.08%+4.72%+33.16%0.22%
434.8 INR -0.34%+1.19%-5.91%0.21%
1,541 INR +0.62%-0.28%+22.35%0.21%
12,473 INR -1.33%-2.66%+21.07%0.21%
72.9 TWD -1.22%+2.39%+12.50%0.21%
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Description

AU000000VGE8
Total Expense Ratio 0.48%
Asset Class
Sector
Size
Currency
Provider
Underlying FTSE Emerging Markets All Cap China A Inclusion Net Total Return Index - AUD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
16/11/2013
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 29/04/2024 )

AuM (EUR) 507 M€
AuM 1M 498 M€
AuM 3 months 444 M€
AuM 6 months 422 M€
AuM 12 months 410 M€
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  4. Components Vanguard FTSE Emerging Markets Shares ETF - AUD