Components Vanguard FTSE Emerging Markets ETF - USD

ETF

VWO

US9220428588

Market Closed - Nyse 16:00:00 2024-05-03 EDT 5-day change 1st Jan Change
43.63 USD +0.88% Intraday chart for Vanguard FTSE Emerging Markets ETF - USD +4.28% +6.16%

Composition of Vanguard FTSE Emerging Markets ETF - USD

Weight
780 TWD +1.04%-0.26%+31.53%5.46%
364.4 HKD +1.11%+4.59%+24.11%3.14%
2,868 INR -2.22%-1.28%+10.95%1.39%
1,520 INR -0.83%+0.65%-11.10%1.28%
140.2 USD +1.92%+8.41%-4.19%1.18%
1,416 INR +0.13%-0.98%-8.21%0.87%
63.99 BRL +1.04%+1.99%-17.11%0.80%
119.7 HKD +0.50%+3.55%+46.15%0.75%
5.18 HKD +0.97%+4.23%+11.40%0.74%
1,040 TWD +4.00%+3.48%+2.46%0.66%
3,843 INR -0.52%+0.58%+1.32%0.61%
79.8 SAR -0.13%+2.97%-7.75%0.61%
156 TWD +1.30%+0.65%+49.28%0.54%
39.89 BRL +2.98%-4.23%+7.12%0.51%
4.28 HKD +1.18%+3.13%+12.04%0.51%
9,850 IDR +3.14%+2.34%+4.79%0.45%
3,759 ZAR +1.59%+3.70%+20.16%0.42%
3.49 HKD +0.29%+0.87%+17.11%0.41%
1,141 INR -0.76%+0.97%+3.45%0.40%
36.2 SAR -2.82%-2.03%-6.34%0.40%
1,277 INR -2.25%-3.68%+23.61%0.40%
18.18 HKD +3.06%+4.72%+16.54%0.39%
173.3 MXN +0.42%+0.08%+1.51%0.39%
3,499 INR -2.74%-2.86%-0.79%0.38%
2,216 INR -0.45%-0.27%-16.82%0.38%
32.2 BRL +1.26%-0.03%-5.21%0.37%
29.95 SAR -0.33%-0.50%-9.24%0.36%
226.4 HKD +0.62%+6.39%+5.60%0.36%
4,750 IDR -0.21%-1.66%-17.03%0.35%
201.3 MXN +1.01%-1.84%-8.92%0.32%
327.5 TWD +5.82%+3.97%+4.47%0.29%
0.858 KWD -0.69%-0.58%+0.78%0.29%
64.34 MXN +1.34%-3.19%-10.10%0.29%
6,932 INR +0.71%+2.98%-5.41%0.29%
0.717 KWD 0.00%-0.83%+7.64%0.29%
16.45 MXN +2.43%+1.67%+4.51%0.28%
1,705 CNY +0.06%-0.26%-1.22%0.28%
65.03 ZAR -0.15%+2.34%-11.54%0.27%
82.5 SAR -1.55%+4.70%-1.20%0.27%
13.89 QAR -0.07%+0.29%-15.97%0.26%
2,193 INR +0.36%+7.24%+26.81%0.26%
256.5 TWD -1.72%-0.39%+14.25%0.26%
63f50ed7849715c99826.U4W6sUlA0VBbvNCtQoUNhhSfms2ctUQxDEN7Pvd4iJ0.KfT4gnAU4yQz95PKB9xYwGf16KOq-SoCVA4zDp9M4OoYqIzSJzWlGW-L6A

ETF Ratings

Description

US9220428588
Total Expense Ratio 0.08%
Asset Class
Sector
Size
Currency
Provider
Underlying FTSE Emerging Markets All Cap China A Inclusion Net Tax (US RIC) Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2005-03-03
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-03-27 )

AuM (EUR) 70,353 M€
AuM 1M 69,664 M€
AuM 3 months 67,354 M€
AuM 6 months 67,244 M€
AuM 12 months 65,855 M€
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  4. Components Vanguard FTSE Emerging Markets ETF - USD