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Vanguard FTSE Developed Markets ETF
Fund Name: |
Vanguard FTSE Developed Markets ETF |
Issuer: |
Vanguard |
Total Net Assets: |
$187,193,175,055 |
Inception: |
07/20/2007 |
Related Index: |
FTSE Developed All Cap ex US Index |
ETF Category: |
Global |
Expense Ratio: |
0.05 |
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Net Asset Value: |
$50.27 |
Recent NAV Premium: |
0.00% |
NAV Symbol: |
VEA.NV |
Number of Holdings: |
4032 |
Annualized Yield: |
2.27% |
Annualized Distribution: |
1.142 |
VEA Dividend History » |
|
Stock |
Weight |
Amount |
Asml Holding NV |
1.66% |
$3,076,481,506 |
Novo Nordisk A/S |
1.65% |
$3,070,758,784 |
Toyota Motor |
1.27% |
$2,364,844,426 |
Nestle SA |
1.23% |
$2,277,751,295 |
Samsung Electronics Co Ltd |
1.16% |
$2,160,230,982 |
List of all 4032 stocks held by VEA
» |
|
Bond |
Weight |
Coupon |
Amount |
United States Treasury Bill |
0.03% |
0.0% |
$42,874,285.00 |
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Buy (2.80 out of 4)
100th percentile
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ETF |
Assets |
VTI |
$1,606,118,604,435 |
VOO |
$1,108,083,580,834 |
VXUS |
$419,864,454,971 |
BND |
$316,023,551,100 |
VUG |
$226,383,003,270 |
List of all 85 others
» |
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Shares Short |
5,090,000 |
Chg. from Last Month |
-10,230,000 |
Shares Outstanding |
2,598,279,538 |
% of Shares Short |
0.20% |
Days to Cover |
0.5 |
Based on third party short interest data.
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