Components Vanguard FTSE Emerging Markets ETF - USD

ETF

VWO

US9220428588

Delayed Nyse 03:27:22 2024-04-24 pm EDT 5-day change 1st Jan Change
41.73 USD +0.36% Intraday chart for Vanguard FTSE Emerging Markets ETF - USD +2.19% +1.52%

Composition of Vanguard FTSE Emerging Markets ETF - USD

Weight
783 TWD +3.85%-0.63%+32.04%5.46%
344.2 HKD +3.55%+14.05%+17.23%3.14%
2,900 INR -0.63%-1.06%+12.20%1.39%
1,512 INR +0.27%+0.16%-11.56%1.28%
127.4 USD -0.45%+12.64%-12.67%1.18%
1,431 INR -0.81%+1.15%-7.27%0.87%
63.65 BRL +0.51%+2.40%-17.62%0.80%
113.6 HKD +4.60%+15.10%+38.71%0.75%
4.93 HKD +0.41%+3.57%+6.02%0.74%
1,010 TWD +3.91%-4.27%-0.49%0.66%
3,831 INR -1.13%-1.08%+0.99%0.61%
78.6 SAR -0.13%-2.24%-9.13%0.61%
156 TWD +8.33%+10.64%+49.28%0.54%
41.39 BRL -0.27%+4.05%+11.14%0.51%
4.14 HKD +0.49%+3.50%+8.38%0.51%
9,950 IDR +2.31%+5.01%+5.85%0.45%
3,599 ZAR +4.86%+12.21%+15.04%0.42%
3.46 HKD +0.58%+6.79%+16.11%0.41%
1,064 INR +0.69%+1.04%-3.56%0.40%
36.95 SAR -1.20%-3.78%-4.40%0.40%
1,336 INR -0.45%+9.83%+29.38%0.40%
16.66 HKD +2.97%+4.65%+6.79%0.39%
178 MXN -1.70%+4.64%+4.24%0.39%
3,635 INR +0.69%+2.53%+3.06%0.38%
2,259 INR -0.16%+1.72%-15.18%0.38%
31.87 BRL -0.41%+0.57%-6.18%0.37%
30.1 SAR 0.00%+0.67%-8.79%0.36%
201.2 HKD +1.87%-1.95%-6.16%0.36%
5,225 IDR -1.42%-2.34%-8.73%0.35%
197.6 MXN -2.59%-3.26%-10.60%0.32%
304 TWD +2.18%+3.75%-3.03%0.29%
0.869 KWD +0.23%+1.16%+2.07%0.29%
65.22 MXN +1.73%+2.71%-8.87%0.29%
7,329 INR +0.95%+5.39%+0.02%0.29%
0.73 KWD -0.14%+2.10%+9.59%0.29%
15.85 MXN +0.13%+5.18%+0.70%0.28%
1,694 CNY +0.08%+1.41%-1.88%0.28%
61.76 ZAR +1.35%+2.61%-15.98%0.27%
78.9 SAR -1.13%-3.90%-5.51%0.27%
13.9 QAR 0.00%-1.42%-15.91%0.26%
2,058 INR -0.20%+1.34%+19.03%0.26%
260.5 TWD +9.92%+4.41%+16.04%0.26%
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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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