·ETF Intelligence
ETF · Exchange Traded Fund
VEAVEA

VEA

Vanguard FTSE Developed Markets Index Fund ETF Shares
$70.60
↑1.65(2.40%)
Total Assets
$316.3B
Expense Ratio
—
Holdings
Top 20 shown
What is this ETF?

Vanguard FTSE Developed Markets ETF. Tracks developed markets ex-US — Europe, Japan, and Pacific. Pairs well with VTI or VOO for international diversification.

What themes are you invested in?

Through VEA, you have exposure to these market themes.

Semiconductors
ASML 1.3%SSNLF 1.0%HXSCL 0.3%
2.6%
of ETF
Pharmaceuticals & Biotech
AZN 0.7%SNY 0.5%
1.2%
of ETF
Memory Chips & HBM
SSNLF 1.0%HXSCL 0.3%
1.3%
of ETF
Artificial Intelligence
HXSCL 0.3%
0.3%
of ETF
Weight Loss Drugs
NVO 1.1%
1.1%
of ETF
Software & SaaS
SAP 0.6%
0.6%
of ETF
Electric Vehicles
TM 0.6%
0.6%
of ETF
Industrials
ABB 0.3%
0.3%
of ETF
Robotics & Automation
ABB 0.3%
0.3%
of ETF
Luxury Goods
LVMUY 0.5%
0.5%
of ETF
Companies we cover in this ETF

Click any to read the full plain-English research.

ASMLASML
ASML
1.3% of ETF
NVONVO
NVO
1.1% of ETF
SSNLFSSNLF
SSNLF
1.0% of ETF
AZNAZN
AZN
0.7% of ETF
SAPSAP
SAP
0.6% of ETF
TMTM
TM
0.6% of ETF
SNYSNY
SNY
0.5% of ETF
LVMUYLVMUY
LVMUY
0.5% of ETF
ULUL
UL
0.4% of ETF
RIORIO
RIO
0.4% of ETF
BHPBHP
BHP
0.4% of ETF
HXSCLHXSCL
HXSCL
0.3% of ETF
ABBABB
ABB
0.3% of ETF
SHELSHEL
SHEL
0.2% of ETF
BPBP
BP
0.2% of ETF
Top 20 holdings
How much do you have in VEA?
Enter your position and see exactly how your money is split across every holding
$
1
ASMLASML
ASMLASML
1.3%
2
NVONVO
NVONovo Nordisk
1.1%
3
SSNLFSSNLF
SSNLFSamsung
1.0%
4
AZNAZN
AZNAstraZeneca
0.7%
5
SAPSAP
SAPSAP
0.6%
6
TMTM
TMToyota
0.6%
7
SNYSNY
SNYSanofi
0.5%
8
LVMUYLVMUY
LVMUYLVMH
0.5%
9
HSBCHSBC
HSBCHSBC
0.4%
10
ULUL
ULUnilever
0.4%
11
RIORIO
RIORio Tinto
0.4%
12
BHPBHP
BHPBHP
0.4%
13
DEODEO
DEODiageo
0.3%
14
HXSCLHXSCL
HXSCLSK Hynix
0.3%
15
NOVNNOVN
NOVNNovartis
0.3%
16
ABBABB
ABBABB
0.3%
17
AIRAIR
AIRAirbus
0.3%
18
SHELSHEL
SHELShell
0.2%
19
BPBP
BPBP
0.2%
20
OROR
ORLOreal
0.2%
Sector breakdown
Financial Services
23%
Technology
18%
Industrials
18%
Healthcare
8%
Consumer Cyclical
7%
Basic Materials
7%
Consumer Defensive
5%
Energy
4%
Communication Services
3%
Utilities
3%
Realestate
2%