VEU icon

Vanguard FTSE All-World ex-US ETF

71.59 USD
-0.05
0.07%
At close Updated Sep 17, 4:00 PM EDT
Pre-market
After hours
71.77
+0.18
0.25%
1 day
-0.07%
5 days
1.16%
1 month
2.89%
3 months
8.85%
6 months
13.87%
Year to date
25.16%
1 year
17.23%
5 years
37.41%
10 years
58.84%
0
Funds holding %
of 7,463 funds
Analysts bullish %

Fund manager confidence

Based on 2025 Q2 regulatory disclosures by fund managers ($100M+ AUM)

167% more first-time investments, than exits

New positions opened: 128 | Existing positions closed: 48

29% more repeat investments, than reductions

Existing positions increased: 541 | Existing positions reduced: 419

14% more capital invested

Capital invested by funds: $17.8B [Q1] → $20.4B (+$2.55B) [Q2]

4% more funds holding

Funds holding: 1,274 [Q1] → 1,324 (+50) [Q2]

3% more funds holding in top 10

Funds holding in top 10: 125 [Q1] → 129 (+4) [Q2]

0.42% more ownership

Funds ownership: 44.56% [Q1] → 44.98% (+0.42%) [Q2]

22% less call options, than puts

Call options by funds: $2.96M | Put options by funds: $3.79M

Financial journalist opinion

Positive
MarketBeat
16 days ago
Low-Cost Global Exposure: 3 Diversified ETFs for Value Investors
Tumult in U.S. markets this year has prompted investors to search abroad for investment opportunities. While the S&P 500 has recovered from its early-April tariff-related dip, a number of international and value exchange-traded funds (ETFs) have managed to easily outperform its year-to-date (YTD) returns of 10.2%.
Low-Cost Global Exposure: 3 Diversified ETFs for Value Investors
Neutral
ETF Trends
19 days ago
Moving Averages of the Ivy Portfolio & S&P 500: August 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: August 2025
Neutral
ETF Trends
1 month ago
Moving Averages of the Ivy Portfolio & S&P 500: July 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: July 2025
Positive
Seeking Alpha
1 month ago
VEU: A Beneficiary Of European Defense Spending
Vanguard FTSE All-World ex-US Index Fund ETF Shares offers broad international large-cap exposure at a best-in-class 0.04% expense ratio, making it ideal for long-term, cost-conscious investors. The fund's 40% European allocation is a key tailwind, as rising EU defense spending should boost regional GDP and drive returns. Given high U.S. valuations, VEU is a Buy for those seeking growth at a reasonable price and diversification outside the U.S. with minimal fees.
VEU: A Beneficiary Of European Defense Spending
Neutral
ETF Trends
2 months ago
Moving Averages of the Ivy Portfolio & S&P 500: June 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: June 2025
Positive
Seeking Alpha
2 months ago
6 Dividend Stocks I'm Buying As The AI Bubble Inflates
Tariffs are directly fueling inflation, impacting both imported and domestic goods, and CFOs are increasingly concerned about the economic burden. Big Tech's momentum is driven by robust earnings growth, not just AI hype, so I don't see an AI bubble yet—valuations are rich but potentially justified. REITs are deeply out of favor despite improving fundamentals and attractive valuations; I see this as a long-term buying opportunity for quality names.
6 Dividend Stocks I'm Buying As The AI Bubble Inflates
Neutral
24/7 Wall Street
3 months ago
Schwab's 50% ETF Fee Cut Sends a Message to Rivals
Retirement can be daunting, but it doesn't need to be. Imagine having an expert in your corner to help you with your financial goals.
Schwab's 50% ETF Fee Cut Sends a Message to Rivals
Neutral
ETF Trends
3 months ago
Moving Averages of the Ivy Portfolio & S&P 500: May 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: May 2025
Positive
Seeking Alpha
4 months ago
Vanguard FTSE All-World ex-US Index Fund ETF Is Very Well Positioned
I recommend Vanguard FTSE All-World ex-US Index Fund ETF Shares as a 'Buy' for international diversification and protection against a weakening U.S. dollar. VEU's portfolio is well-diversified across regions and sectors, with top holdings in leading global companies like Taiwan Semiconductor and Tencent. Acknowledging that the Fund has significantly lagged U.S. market averages over the past decade, it offers a high-quality, low-cost way to gain exposure to foreign equities.
Vanguard FTSE All-World ex-US Index Fund ETF Is Very Well Positioned
Neutral
ETF Trends
4 months 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
Charts implemented using Lightweight Charts™