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Vanguard FTSE All-World ex-US Index Fund ETF Shares VEU

VanguardETFUnited States
$83.79
▲ +26.42% (1 anno)
201020132016201920222025

Statistiche

AUM (patrimonio)$94.40 B
TER (costo annuo)0.04%
Titoli3885
Quotato dal2 mar 2007
ValutaUSD
EmittenteVanguard
DomicilioUnited States
ISINUS9220427754

Prime posizioni

#12330.TW0.04%
#2005930.KS0.02%
#3000660.KS0.02%
#4ASML.AS0.02%
#50700.HK0.01%
#6HSBA.L0.01%
#7ROP.SW0.01%
#8NOVN.SW0.01%
#9AZN.L0.01%

Ripartizione geografica

0%8%15%23%30%Europe DevelopedAsia DevelopedJapanAsia EmergingNorth AmericaUnited KingdomAustralasiaAfrica/Middle EastLatin AmericaEurope Emerging

Ripartizione settoriale

Financial Services
23.3%
Technology
18.5%
Industrials
15.7%
Consumer Cyclicals
8.2%
Basic Materials
7.1%
Healthcare
7.0%
Energy
5.2%
Consumer Defensive
5.1%
Communication Services
4.6%
Utilities
3.2%
Real Estate
2.0%

Performance

YTD
+12.2%
1 mese
+0.6%
3 mesi
+11.9%
6 mesi
+13.8%
1 anno
+26.4%
3 anni
+53.6%
5 anni
+28.7%
Dall'inizio
+63.3%
Rendimenti mensili (%)
AnnoGenFebMarAprMagGiuLugAgoSetOttNovDicAnno
20264.15.3-7.66.93.9-0.2+12.2%
20253.12.1-7.413.12.83.6-1.84.54.70.00.42.4+29.7%
2024-1.44.01.8-0.01.4-1.3-1.56.72.0-4.3-0.6-3.9+2.5%
20238.2-1.40.01.9-0.50.40.7-1.1-4.31.14.52.5+12.0%
2022-2.2-7.85.3-7.41.2-8.33.4-6.0-8.66.710.3-4.0-18.2%
20210.42.12.81.34.6-2.4-1.73.3-5.32.5-3.91.8+5.0%
2020-3.4-6.6-18.88.47.45.91.93.8-1.5-2.316.81.1+8.6%
20195.32.40.13.2-5.84.7-3.4-0.81.15.60.13.0+15.7%
20183.2-3.70.00.5-1.0-4.21.9-1.4-0.1-6.6-0.4-4.0-15.1%
20175.01.21.92.14.6-2.14.10.21.02.30.01.5+23.9%
2016-5.63.21.22.90.1-2.63.92.6-0.9-3.90.01.2+1.8%
20150.45.8-0.13.8-1.7-3.3-0.9-11.41.44.5-1.2-3.4-7.0%
2014-3.95.6-0.11.51.72.0-3.31.5-7.12.1-0.3-5.1-6.1%
20132.1-2.30.34.4-3.9-4.96.6-3.77.62.50.7-1.3+7.3%
201210.62.0-1.1-4.3-11.08.82.20.91.61.01.65.1+16.8%
20112.81.00.64.3-4.81.6-3.4-11.4-10.110.9-2.8-5.0-16.9%
2010-5.81.38.8-3.6-13.22.19.91.56.42.51.20.3+9.4%
2009-14.7-9.219.46.313.2-3.312.03.51.20.67.3-2.8+32.3%
2008-3.7-1.53.63.20.4-10.9-2.0-4.1-18.1-17.4-6.87.9-42.1%
20076.22.1-0.3-3.52.26.24.2-3.0-5.7+7.9%
Rendimenti di prezzo in valuta del fondo, da chiusure settimanali (≈ fine mese). Indicativi.

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ETF USA · prezzi TwelveData · dati fondo API Ninjas / SEC EDGAR. Dati indicativi, non è consulenza finanziaria.