Components Vanguard FTSE Developed Asia Pacific ex Japan UCITS ETF Accumulating - USD

ETF

VAPU

IE00BK5BQZ41

Delayed Swiss Exchange 23:55:02 2024-05-28 EDT 5-day change 1st Jan Change
30.9 USD +0.31% Intraday chart for Vanguard FTSE Developed Asia Pacific ex Japan UCITS ETF Accumulating - USD -2.14% -0.73%

Composition of Vanguard FTSE Developed Asia Pacific ex Japan UCITS ETF Accumulating - USD

Weight
47,050 KRW -5.52%-1.16%-18.88%-.--%
3.71 NZD -2.88%-5.60%-37.12%-.--%
0.63 HKD 0.00%-1.56%-25.88%-.--%
105,000 KRW -0.10%-0.66%-25.16%-.--%
2.9 AUD +1.40%+3.57%-15.94%-.--%
61,700 KRW -0.96%-2.68%+42.17%-.--%
20.8 HKD +0.24%+3.74%+54.30%-.--%
43,150 KRW -0.46%+14.30%+9.66%-.--%
1.025 AUD -1.91%-2.38%-22.93%-.--%
58,700 KRW -4.55%+2.98%+16.47%-.--%
21,000 KRW -3.67%-1.87%-18.76%-.--%
11.7 HKD 0.00%-0.34%+8.33%-.--%
26.15 AUD -2.64%-3.04%+7.22%-.--%
6.21 AUD -3.12%-3.87%+9.72%-.--%
7,010 KRW +0.14%0.00%+21.91%-.--%
3.64 AUD 0.00%-0.27%+2.25%-.--%
0.46 AUD -4.17%-5.15%-10.68%-.--%
2.11 AUD -1.40%-1.86%-18.85%-.--%
7.58 NZD -1.94%+2.16%-13.86%-.--%
14,120 KRW -3.16%-3.16%+6.01%-.--%
46.71 AUD -2.03%-0.98%-17.31%-.--%
10.34 HKD -1.71%-3.54%-29.27%-.--%
344,000 KRW +0.58%-8.02%+30.80%-.--%
1.9 AUD -0.52%-2.81%-6.86%-.--%
1.15 SGD 0.00%+1.77%+10.58%-.--%
14.2 HKD -1.53%-6.46%-10.13%-.--%
19.12 HKD -1.85%-6.73%-16.32%-.--%
177,400 KRW -0.89%-3.17%-20.80%-.--%
3.44 AUD -1.99%+0.58%-13.13%-.--%
4.1 NZD -1.80%-2.38%-20.85%-.--%
77,100 KRW +1.05%-5.51%+42.51%-.--%
36.06 NZD +1.43%+3.03%+1.58%-.--%
2.96 HKD -0.34%-5.43%+19.84%-.--%
24.45 HKD -4.12%-7.39%-7.39%-.--%
39.2 HKD -2.00%-6.78%-6.33%-.--%
21,800 KRW +2.35%+23.09%+37.11%-.--%
1.8 AUD +3.45%-1.37%+98.90%-.--%
64.65 HKD -2.19%-2.78%+0.31%-.--%
73.67 AUD -1.76%-6.07%+5.24%-.--%
0.84 SGD -2.89%-2.33%0.00%-.--%
189.5 AUD -1.30%-3.17%+3.19%-.--%
3.09 AUD -2.52%-3.13%+3.34%-.--%
7.38 HKD -2.64%-7.29%+14.77%-.--%
8.85 HKD -1.56%-10.97%-26.98%-.--%
25,800 KRW -0.77%-0.96%-4.62%-.--%
61,300 KRW +0.66%-1.29%+2.17%-.--%
118.3 AUD -1.64%-2.60%+5.85%-.--%
89,800 KRW -1.43%+9.51%+24.38%-.--%
11.62 HKD -1.69%+1.75%+6.41%-.--%
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ETF Ratings

Description

Features and characteristics

Jurisdiction
Replication Method
Replication Model
Date of creation
2019-09-22
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-04-29 )

AuM (EUR) 295 M€
AuM 1M 297 M€
AuM 3 months 280 M€
AuM 6 months 261 M€
AuM 12 months 331 M€
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