VEU icon

Vanguard FTSE All-World ex-US ETF

62.34 USD
-0.04
0.06%
At close Apr 30, 4:00 PM EDT
After hours
62.50
+0.16
0.26%
1 day
-0.06%
5 days
1.76%
1 month
2.77%
3 months
4.02%
6 months
2.99%
Year to date
8.99%
1 year
9.02%
5 years
42.30%
10 years
22.14%
0
Funds holding %
of 7,425 funds
Analysts bullish %

Fund manager confidence

Based on 2024 Q4 regulatory disclosures by fund managers ($100M+ AUM)

263% more call options, than puts

Call options by funds: $919K | Put options by funds: $253K

75% more first-time investments, than exits

New positions opened: 159 | Existing positions closed: 91

22% more repeat investments, than reductions

Existing positions increased: 491 | Existing positions reduced: 401

4% more funds holding

Funds holding: 1,225 [Q3] → 1,269 (+44) [Q4]

1% more funds holding in top 10

Funds holding in top 10: 112 [Q3] → 113 (+1) [Q4]

1.36% less ownership

Funds ownership: 46.29% [Q3] → 44.93% (-1.36%) [Q4]

7% less capital invested

Capital invested by funds: $18.9B [Q3] → $17.7B (-$1.25B) [Q4]

Research analyst outlook

We haven’t received any recent analyst ratings for VEU.

Financial journalist opinion

Based on 4 articles about VEU published over the past 30 days

Neutral
ETF Trends
9 hours ago
Moving Averages of the Ivy Portfolio and S&P 500: April 2025
This article provides an update on the monthly moving averages we track for the S&P 500 and the Ivy Portfolio after the close of the last business day of the month. The Ivy Portfolio The Ivy Portfolio is based on the asset allocation strategy used by endowment funds from Harvard and Yale.
Moving Averages of the Ivy Portfolio and S&P 500: April 2025
Negative
Seeking Alpha
2 days ago
VEU: A New Golden Age For International Equities
Foreign investors are divesting from US equities, a trend accelerated by heightened financial volatility. Tariffs and trade conflicts could weigh more heavily on US markets than foreign ones, potentially reversing a decade of outperformance. US large-cap equities remain historically overvalued compared to international peers, with CAPE ratios indicating muted long-term returns.
VEU: A New Golden Age For International Equities
Positive
Seeking Alpha
1 week ago
5 Dividend Growth Stocks I'm Buying As Defensive Sectors Become Sexy Again
The market has shifted from tech to defensive stocks, with real estate and consumer staples outperforming due to tariffs and trade wars. US companies with high foreign sales exposure are struggling, while non-US stocks benefit from an international backlash against US tariffs. My buy list is narrowing, focusing on undervalued, high-conviction dividend growth stocks like Blackstone and Alphabet, despite market volatility.
5 Dividend Growth Stocks I'm Buying As Defensive Sectors Become Sexy Again
Neutral
ETF Trends
4 weeks ago
Moving Averages of the Ivy Portfolio and S&P 500: March 2025
This article provides an update on the monthly moving averages we track for the S&P 500 and the Ivy Portfolio after the close of the last business day of the month. The Ivy Portfolio The Ivy Portfolio is based on the asset allocation strategy used by endowment funds from Harvard and Yale.
Moving Averages of the Ivy Portfolio and S&P 500: March 2025
Positive
The Motley Fool
1 month ago
This Vanguard Fund Invests in Non-U.S. Stocks and Is Up 8% This Year
If you're worried about the U.S. economy or simply want a way to diversify your portfolio, you may want to look at investing in companies based in other parts of the world. It can be a good way to balance out some of your risk, both in the short term and the long term.
This Vanguard Fund Invests in Non-U.S. Stocks and Is Up 8% This Year
Neutral
24/7 Wall Street
1 month ago
VEU vs VWO: Which International Vanguard ETF Is a Better Fit for Your Portfolio?
It's getting harder to find value in the U.S. International diversification could be the key in getting better deals.
VEU vs VWO: Which International Vanguard ETF Is a Better Fit for Your Portfolio?
Neutral
ETF Trends
2 months ago
Moving Averages of the Ivy Portfolio & S&P 500: February 2025
This article provides an update on the monthly moving averages we track for the S&P 500 and the Ivy Portfolio after the close of the last business day of the month. The Ivy Portfolio The Ivy Portfolio is based on the asset allocation strategy used by endowment funds from Harvard and Yale.
Moving Averages of the Ivy Portfolio & S&P 500: February 2025
Positive
Seeking Alpha
2 months ago
VEU: International Stocks Outperforming To Start 2025, More Upside Ahead
I maintain a buy rating on VEU due to its compelling valuation, positive momentum, and broad international exposure, especially in large-cap stocks. The recent performance of VEU suggests a potential shift away from US exceptionalism, with VEU outperforming VTI since late 2024. VEU's low expense ratio, high dividend yield, and favorable PEG ratio make it an attractive option for diversifying away from US equities.
VEU: International Stocks Outperforming To Start 2025, More Upside Ahead
Neutral
24/7 Wall Street
2 months ago
VEA vs VEU: Which International Vanguard ETF Is the Better Buy Today?
If you were asked what did Samsung Electronics, Saudi Aramco and Kweichow Moutai have in common, besides being 3 of the largest companies in the world?
VEA vs VEU: Which International Vanguard ETF Is the Better Buy Today?
Positive
ETF Trends
2 months ago
Moving Averages: S&P Finishes January 2025 Up 2.70%
This article provides an update on the monthly moving averages we track for the S&P 500 and the Ivy Portfolio after the close of the last business day of the month. The Ivy Portfolio The Ivy Portfolio is based on the asset allocation strategy used by endowment funds from Harvard and Yale.
Moving Averages: S&P Finishes January 2025 Up 2.70%
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