Vanguard FTSE Developed Markets ETFVEA
VEA
0
Funds holding %
of 7,327 funds
–
Analysts bullish %
Fund manager confidence
Based on 2025 Q1 regulatory disclosures by fund managers ($100M+ AUM)
139% more first-time investments, than exits
New positions opened: 184 | Existing positions closed: 77
25% more call options, than puts
Call options by funds: $13.1M | Put options by funds: $10.5M
25% more repeat investments, than reductions
Existing positions increased: 1,119 | Existing positions reduced: 895
9% more funds holding in top 10
Funds holding in top 10: 481 [Q4 2024] → 523 (+42) [Q1 2025]
2% more funds holding
Funds holding: 2,363 [Q4 2024] → 2,415 (+52) [Q1 2025]
1% more capital invested
Capital invested by funds: $110B [Q4 2024] → $111B (+$946M) [Q1 2025]
0.07% less ownership
Funds ownership: 76.64% [Q4 2024] → 76.58% (-0.07%) [Q1 2025]
Research analyst outlook
We haven’t received any recent analyst ratings for VEA.
Financial journalist opinion
Based on 3 articles about VEA published over the past 30 days
Positive
Seeking Alpha
1 week ago
Japan Trade Deal Boosts Return Premium For Foreign Stocks
Global equities ex-US were already leading US stocks in 2025 by a wide margin ahead of the trade deal announced this week between the US and Japan. Vanguard International Stock ETF rose sharply yesterday, and is now up 21.8% year to date.

Neutral
The Motley Fool
3 weeks ago
$1,000 in VEA Could Turn Into $57,000
International stocks can be a great addition to any long-term portfolio because they can provide geographical diversification and protect against risks specific to the U.S. economy. And there are some excellent exchange-traded funds (ETFs) that can help you get exposure.

Positive
24/7 Wall Street
3 weeks ago
3 Vanguard ETFs That Could See Massive Inflows In the Next Year
Vanguard is among the top exchange traded fund (ETF) providers, and actually was a pioneer of this industry.

Positive
Seeking Alpha
1 month ago
VEA: A High-Conviction Case For Global Diversification Beyond U.S. Borders
VEA is essential for long-term, cost-efficient diversification, offering exposure to non-U.S. developed markets with minimal overlap and ultra-low fees. Blending VEA with U.S. equities smooths returns, reduces risk, and captures leadership rotations that single-region portfolios miss. VEA's broad sector and geographic diversification, low concentration, and Vanguard's scale make it structurally superior to international ETF peers.

Neutral
ETF Trends
1 month ago
Advisors Pivoting to International Equities Have Choices
Core U.S. equity and U.S. fixed income ETFs were up 2%-3% year-to-date through mid-June. Such modest performance has led many advisors to look for diversification benefits through other investments.

Neutral
The Motley Fool
2 months ago
4 Vanguard ETFs to Buy With $1,000 and Hold Forever
It's a chaotic time in the market, that's for sure. The roller-coaster ride of 2025 has left many investors feeling confused and not a little bit fearful.

Positive
ETF Trends
3 months ago
Vanguard Turns 50: How the Asset Management Giant Changed the Industry
Congratulations to Vanguard, which is celebrating its 50th anniversary today. Vanguard is well-known for making investing more accessible, affordable, and efficient for investors over the past 50 years.

Positive
Investors Business Daily
3 months ago
Investors Score On These 10 Popular ETFs — None Own The S&P 500
If you want to make money on popular ETFs this year, there's one key strategy — avoid the S&P 500.

Positive
The Motley Fool
3 months ago
The Smartest International Stock ETF to Buy With $100 Right Now
The United States is the world's leading economy, a position it has held for many years. That's probably not going to change anytime soon, but that doesn't mean things are rosy.

Positive
Seeking Alpha
3 months ago
VEA: Solution To A Falling Dollar, Record Alpha And Compelling Valuation
The US dollar's decline has boosted international stocks, with Vanguard FTSE Developed Markets ETF outperforming the S&P 500 by 23 percentage points in 77 trading days. VEA's valuation is attractive, with a low earnings multiple of 13.5x and a high yield over 3%, compared to the S&P 500. The ETF's diversified portfolio, leaning towards value stocks, has shown resilience, amid market volatility, supported by strong financial and tech sector performance.

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