Components Vanguard FTSE All-World ex-US ETF - USD

ETF

0LMO

US9220427754

Delayed London S.E. 09:50:10 2024-05-31 am EDT 5-day change 1st Jan Change
59.39 USD +0.32% Intraday chart for Vanguard FTSE All-World ex-US ETF - USD -.--% -.--%

Composition of Vanguard FTSE All-World ex-US ETF - USD

Weight
936.2 DKK +1.33%+2.24%+34.11%1.21%
97.55 CHF -0.05%+7.11%+0.15%1.16%
839 TWD -0.83%-3.01%+41.48%1.14%
896.5 EUR +2.70%+0.91%+31.52%1.12%
75,300 KRW -0.53%-2.96%-4.08%1.08%
380.4 HKD +0.79%+2.53%+29.56%0.88%
3,218 JPY -2.43%-5.07%+24.22%0.82%
2,724 GBX +0.06%-2.73%+5.97%0.81%
94.19 CHF +1.57%+4.26%+11.19%0.78%
236.6 CHF +1.05%+2.96%-3.31%0.75%
737.5 EUR +0.34%+1.82%+0.52%0.75%
12,475 GBX +0.57%+4.71%+17.85%0.75%
43.9 AUD -0.86%-2.62%-12.91%0.64%
169.4 EUR +0.45%-3.57%+21.55%0.63%
683 GBX -1.05%-0.36%+7.41%0.59%
64.72 EUR +0.61%-1.40%+5.05%0.56%
147 CAD -0.76%+2.54%+9.66%0.53%
176.6 EUR +1.30%+0.38%+3.81%0.52%
123.5 AUD +0.82%+4.33%+10.44%0.48%
4,379 GBX +0.27%+3.67%+15.24%0.45%
76.1 CAD +0.90%+0.42%-11.12%0.44%
13,435 JPY +0.71%+7.52%+0.19%0.44%
452.7 EUR +0.13%+2.82%+0.45%0.43%
90.61 EUR +0.38%+3.28%+0.92%0.41%
226.1 EUR +0.76%-0.55%+24.38%0.40%
261.6 EUR -0.17%-0.80%+8.20%0.40%
183.6 EUR +0.71%+2.46%+4.22%0.38%
59.05 HKD +0.25%-2.24%-13.23%0.37%
1,643 JPY -2.41%+0.37%+35.62%0.37%
463.8 GBX +0.21%-5.00%-0.32%0.37%
1,527 INR +2.95%+1.25%-10.66%0.36%
285.9 AUD +1.37%+2.75%-0.28%0.35%
27.86 CHF +0.13%-0.25%+6.67%0.35%
153.3 EUR +0.43%-2.21%+9.66%0.34%
60.68 USD +1.64%+4.28%-22.11%0.34%
145.8 USD -0.74%-2.59%-0.32%0.33%
70,030 JPY -2.21%+0.03%+12.73%0.32%
22.66 EUR +1.87%+4.81%+4.18%0.31%
5,354 GBX +0.04%-2.27%-8.36%0.30%
2,640 GBX +0.04%+2.26%-7.27%0.30%
5,946 JPY -0.02%+0.97%+0.49%0.30%
12.39 EUR +0.63%+3.86%+4.34%0.29%
33,540 JPY -2.67%-5.20%+32.81%0.29%
49.27 CAD -0.85%-0.12%+3.29%0.29%
3,485 GBX -0.06%+2.25%+12.28%0.28%
472.3 CHF +0.43%+0.21%+7.37%0.28%
1,650 GBX +2.15%-5.76%+13.50%0.28%
468.8 GBX +0.07%-3.13%-0.84%0.28%
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ETF Ratings

Description

US9220427754
Total Expense Ratio 0.08%
Asset Class
Sector
Size
Currency
Provider
Underlying FTSE All-World ex US Net Tax (US RIC) Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2007-02-28
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-04-29 )

AuM (EUR) 35,415 M€
AuM 1M 36,045 M€
AuM 3 months 33,952 M€
AuM 6 months 30,987 M€
AuM 12 months 31,944 M€
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