Vanguard FTSE All-World ex-US ETF

Vanguard FTSE All-World ex-US ETF

VEU
Vanguard FTSE All-World ex-US ETFUS flagNew York Stock Exchange Arca
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Capital Structure

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Quarterly Revenue

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Quarterly Earnings Per Share

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Quarterly Dividends Per Share

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Business
Vanguard FTSE All-World ex-US Index Fund (VEU) is an exchange-traded fund that employs a passive indexing investment approach designed to track the performance of the FTSE All-World ex US Index, prior to fees and expenses. The fund provides broad exposure to large- and mid-cap stocks across developed and emerging markets outside the United States, including more than 3,500 holdings weighted by float-adjusted market capitalization and categorized by the Industry Classification Benchmark (ICB); top sectors encompass financial services (23.38%), industrials (15.13%), and technology (13.99%), with key geographic regions comprising the Eurozone (19.52%), emerging Asia (15.91%), and Japan (15.06%). It offers investors diversified international equity access excluding U.S. stocks, with a net expense ratio of 0.04%, total net assets of approximately $75.54 billion, and shares outstanding supporting daily pricing and liquidity. Launched on March 2, 2007, and domiciled in the United States, VEU targets institutional and retail investors seeking cost-effective foreign large-blend exposure through a full-replication strategy that remains fully invested, managed by Vanguard with co-managers Christine Franquin (since 2016) and Jeffrey Miller (since 2022). The fund's top holdings as of the latest data include Taiwan Semiconductor Manufacturing Co Ltd (3.05%), Tencent Holdings Ltd (1.52%), Alibaba Group Holding Ltd (1.16%), ASML Holding NV (1.11%), and Samsung Electronics Co Ltd (0.81%), representing 7.65% of the portfolio. In recent developments, Vanguard has continued its pattern of fee reductions across equity ETFs, including adjustments to ongoing charges for international products effective in 2025 to enhance investor value. The fund has seen substantial asset inflows, with $3.76 billion over the past year contributing to growth in assets under management to over $52 billion, alongside quarterly dividend distributions such as $0.3532 declared in September 2025. These inflows reflect sustained institutional interest, evidenced by increased holdings from investors like Americana Partners LLC (up 29.1% in Q2 2025) and Envestnet Asset Management.