Components Vanguard FTSE Emerging Markets ETF - USD

ETF

VWO

US9220428588

Market Closed - Nyse 04:00:00 2023-12-06 pm EST Intraday chart for Vanguard FTSE Emerging Markets ETF - USD 5-day change 1st Jan Change
40.25 USD -0.12% -1.20% +3.26%

Composition of Vanguard FTSE Emerging Markets ETF - USD

Price
Change
5d. change
1-year change
Weight
570TWD0.00% -0.70% +19.25% +5.02%
307.8HKD-1.22% -5.87% +2.53% +3.63%
2,457.05INR-0.16% +3.35% -7.30% +1.37%
86.1HKD-0.35% -4.97% -48.60% +1.24%
1,465.9INR-0.57% +0.74% -8.70% +0.85%
1,630.45INR+0.16% +4.60% +1.24% +0.79%
72.84BRL+0.65% -1.42% -14.19% +0.72%
4.45HKD+0.23% -1.55% -4.71% +0.70%
141.99USD-1.02% +0.18% +63.38% +0.61%
3,614.9INR+0.30% +3.65% +6.93% +0.58%
101TWD0.00% -0.98% -1.94% +0.56%
75.3SAR0.00% -0.53% -3.21% +0.53%
33.85HKD-2.03% -5.97% -31.06% +0.52%
3.64HKD0.00% -2.67% -4.21% +0.51%
8,800IDR-1.12% -1.12% +1.44% +0.47%
927TWD-0.22% -2.22% +27.86% +0.46%
3,393.82ZAR-0.81% -1.04% +27.61% +0.45%
33.92BRL+1.25% -5.51% +33.85% +0.43%
213HKD-0.09% +1.43% +6.39% +0.42%
33SAR-0.15% -0.90% +12.91% +0.40%
34.35SAR+0.29% +0.29% -4.18% +0.39%
2,566.1INR+0.11% +1.67% -3.32% +0.38%
1,120.2INR-1.05% +5.64% +23.83% +0.37%
16.03MXN+0.38% +3.69% -12.98% +0.37%
5,425IDR-0.46% +2.36% +11.63% +0.36%
2.82HKD0.00% -1.74% +5.62% +0.36%
1,023.95INR-0.65% +2.86% +22.89% +0.34%
160.38MXN+0.31% +1.67% +8.68% +0.34%
310TWD-0.16% -2.21% +2.99% +0.33%
14.68HKD-1.34% -6.02% +37.45% +0.32%
3,391.6INR+2.31% +10.12% +61.98% +0.31%
0.88KWD+0.23% +1.38% -14.84% +0.31%
31.43BRL+0.38% -0.51% +21.07% +0.31%
0.697KWD-0.14% +0.29% -8.95% +0.31%
40.51USD-0.88% -5.79% -28.95% +0.30%
1,703CNY-0.35% -4.04% +0.89% +0.30%
54.15HKD-1.81% -6.15% -12.45% +0.30%
80SAR-0.12% +0.88% -2.44% +0.30%
199.5TWD+2.31% -0.75% +175.17% +0.30%
7,391.2INR-0.48% +3.78% +11.56% +0.30%
219.01MXN-0.51% +1.87% +45.22% +0.29%
66.47MXN-0.70% -0.75% -9.75% +0.28%

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 ( 2023-10-30 )

AuM (EUR) 64,346 M€
AuM 1M 67,244 M€
AuM 3 months 69,373 M€
AuM 6 months 64,803 M€
AuM 12 months 62,626 M€
  1. Stock
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  3. ETF Vanguard FTSE Emerging Markets ETF - USD - Nyse
  4. Components Vanguard FTSE Emerging Markets ETF - USD
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