Composição do VEA: lista de ações e pesos

Vanguard FTSE Developed Markets ETF

3.828 posições em ações com peso positivo nos dados · Vanguard · composição em 2026-06-30

Esta lista cobre as posições em ações presentes nos dados. Caixa, derivativos, opções, notas estruturadas e outros ativos que não são ações ficam de fora, então os pesos listados podem não somar 100% e não são um inventário completo de todos os ativos do fundo.

O que o VEA realmente tem na carteira?

O VEA (Vanguard FTSE Developed Markets ETF) tem 3828 posições em ações com peso positivo presentes nos dados em 2026-06-30. A fonte é SEC Form N-PORT filing da Vanguard. As três maiores posições são Samsung Electronics Co Ltd com 3,17%, SK hynix Inc com 3,02% e ASML Holding NV com 2,36% do fundo. As dez maiores posições em ações somam 14,7 pontos percentuais da exposição informada do fundo. Entre os 80 fundos acompanhados aqui, o VEA se sobrepõe mais com o VXUS, compartilhando 71,5% do peso pelo método do menor dos dois. Quem tem o VEA ao lado de outro fundo amplo pode ter as mesmas empresas duas vezes sem perceber, porque a alocação por fundo não diz nada sobre as ações por baixo. Todos os pesos desta página são lidos do conjunto de dados datado de 2026-06-30, não estimados nem modelados pelo OverlapCheck.

Holdings source and freshness

Issuer
Vanguard
Source type
SEC Form N-PORT filing (sec_nport)
Holdings as of
Source status
ok
Source checked
Filing date
SEC accession
0000923202-26-000149
Source link
View SEC filing on EDGAR

Todas as 3.828 posições em ações presentes estão disponíveis nesta página. As 500 maiores vêm no HTML inicial; pesquise ou carregue mais para navegar pelo restante em blocos. As dez maiores somam 14,7 pontos percentuais da exposição informada em SEC Form N-PORT filing de 2026-06-30.

VEA equity holdings

Showing the largest 500 of 3,828 positive-weight equity holdings in the initial HTML, ordered from highest to lowest reported weight. Search or load additional chunks to browse the complete list without leaving this page.

Showing 500 of 3,828 holdings.

VEA positive-weight equity holdings
# Company Ticker % of fund
1 Samsung Electronics Co Ltd 3.17%
2 SK hynix Inc 3.02%
3 ASML Holding NV 2.36%
4 HSBC Holdings PLC 1.00%
5 Novartis AG 0.90%
6 Royal Bank of Canada RY 0.90%
7 Roche Holding AG 0.89%
8 AstraZeneca PLC 0.87%
9 Nestle SA 0.82%
10 Siemens AG 0.73%
11 Shell PLC 0.67%
12 Mitsubishi UFJ Financial Group Inc 0.67%
13 Tokyo Electron Ltd 0.66%
14 BHP Group Ltd 0.65%
15 Toronto-Dominion Bank/The TD 0.63%
16 Banco Santander SA 0.62%
17 Kioxia Holdings Corp 0.60%
18 Commonwealth Bank of Australia 0.59%
19 Allianz SE 0.56%
20 Toyota Motor Corp 0.55%
21 Schneider Electric SE 0.55%
22 ABB Ltd 0.52%
23 Iberdrola SA 0.52%
24 Rolls-Royce Holdings PLC 0.50%
25 SAP SE 0.49%
26 UBS Group AG 0.48%
27 Novo Nordisk A/S 0.47%
28 Advantest Corp 0.46%
29 TotalEnergies SE 0.46%
30 Siemens Energy AG 0.45%
31 Sumitomo Mitsui Financial Group Inc 0.44%
32 Banco Bilbao Vizcaya Argentaria SA 0.44%
33 Shopify Inc SHOP 0.43%
34 SoftBank Group Corp 0.43%
35 LVMH Moet Hennessy Louis Vuitton SE 0.42%
36 Safran SA 0.42%
37 UniCredit SpA 0.42%
38 Airbus SE 0.40%
39 Unilever PLC 0.39%
40 British American Tobacco PLC 0.39%
41 Bank of Montreal BMO 0.39%
42 Murata Manufacturing Co Ltd 0.39%
43 Infineon Technologies AG 0.38%
44 Cie Financiere Richemont SA 0.38%
45 Hitachi Ltd 0.38%
46 Sony Group Corp 0.37%
47 Enbridge Inc ENB 0.37%
48 BNP Paribas SA 0.35%
49 Mizuho Financial Group Inc 0.35%
50 Zurich Insurance Group AG 0.34%
51 Bank of Nova Scotia/The BNS 0.33%
52 Canadian Imperial Bank of Commerce CM 0.33%
53 Intesa Sanpaolo SpA 0.32%
54 GSK PLC 0.32%
55 DBS Group Holdings Ltd 0.32%
56 SK Square Co Ltd 0.31%
57 Rio Tinto PLC 0.30%
58 BP PLC 0.30%
59 AIA Group Ltd 0.30%
60 Keyence Corp 0.29%
61 Recruit Holdings Co Ltd 0.29%
62 Deutsche Telekom AG 0.29%
63 Fast Retailing Co Ltd 0.29%
64 Sanofi SA 0.28%
65 Barclays PLC 0.28%
66 ING Groep NV 0.28%
67 Brookfield Corp BN 0.28%
68 Enel SpA 0.27%
69 Lloyds Banking Group PLC 0.26%
70 Mitsubishi Corp 0.26%
71 Westpac Banking Corp 0.26%
72 Tokio Marine Holdings Inc 0.25%
73 National Grid PLC 0.25%
74 AXA SA 0.25%
75 Canadian Natural Resources Ltd CRC 0.25%
76 National Australia Bank Ltd 0.25%
77 Shin-Etsu Chemical Co Ltd 0.25%
78 Samsung Electro-Mechanics Co Ltd 0.25%
79 Agnico Eagle Mines Ltd AEM 0.24%
80 Anheuser-Busch InBev SA/NV 0.24%
81 Canadian Pacific Kansas City Ltd CP 0.24%
82 Investor AB 0.23%
83 Mitsubishi Heavy Industries Ltd 0.23%
84 ANZ Group Holdings Ltd 0.23%
85 Mitsubishi Electric Corp 0.23%
86 Air Liquide SA 0.22%
87 BAE Systems PLC 0.22%
88 ITOCHU Corp 0.22%
89 Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen 0.22%
90 Vinci SA 0.22%
91 Wesfarmers Ltd 0.22%
92 NatWest Group PLC 0.22%
93 Industria de Diseno Textil SA 0.22%
94 Glencore PLC 0.21%
95 TC Energy Corp TRP 0.21%
96 Mitsui & Co Ltd 0.21%
97 Manulife Financial Corp MFC 0.21%
98 Nokia Oyj 0.21%
99 Fujikura Ltd 0.20%
100 Canadian National Railway Co CNR 0.20%
101 Panasonic Holdings Corp 0.20%
102 Suncor Energy Inc SU 0.20%
103 Hermes International SCA 0.19%
104 Oversea-Chinese Banking Corp Ltd 0.19%
105 Barrick Mining Corp B 0.19%
106 Nordea Bank Abp 0.19%
107 National Bank of Canada NTIOF 0.19%
108 Macquarie Group Ltd 0.19%
109 Societe Generale SA 0.18%
110 L'Oreal SA 0.18%
111 Deutsche Bank AG 0.18%
112 Argenx SE 0.18%
113 RELX PLC 0.17%
114 Deutsche Post AG 0.17%
115 Hong Kong Exchanges & Clearing Ltd 0.17%
116 Sumitomo Electric Industries Ltd 0.17%
117 Compass Group PLC 0.17%
118 EssilorLuxottica SA 0.17%
119 Bayer AG 0.17%
120 Hoya Corp 0.17%
121 Anglo American PLC 0.17%
122 ASM International NV 0.17%
123 Volvo AB VOLVB 0.16%
124 CaixaBank SA 0.16%
125 Prosus NV 0.16%
126 Rheinmetall AG 0.16%
127 Atlas Copco AB 0.16%
128 Danone SA 0.16%
129 Wheaton Precious Metals Corp WPM 0.16%
130 London Stock Exchange Group PLC 0.16%
131 Renesas Electronics Corp 0.16%
132 Takeda Pharmaceutical Co Ltd 0.16%
133 Deutsche Boerse AG 0.15%
134 Standard Chartered PLC 0.15%
135 Prysmian SpA 0.15%
136 KDDI Corp 0.15%
137 Alimentation Couche-Tard Inc ATD 0.15%
138 BASF SE 0.15%
139 STMicroelectronics NV 0.15%
140 Lonza Group AG 0.15%
141 Swiss Re AG 0.14%
142 Generali 0.14%
143 DSV A/S 0.14%
144 RWE AG 0.14%
145 E.ON SE 0.14%
146 Disco Corp 0.14%
147 Holcim AG 0.14%
148 Diageo PLC 0.14%
149 Rio Tinto Ltd 0.14%
150 Cameco Corp CCO 0.14%
151 Hyundai Motor Co 0.14%
152 Nintendo Co Ltd 0.13%
153 Sun Life Financial Inc SLF 0.13%
154 Ferrari NV 0.13%
155 Eni SpA 0.13%
156 Goodman Group 0.13%
157 Legrand SA 0.13%
158 Marubeni Corp 0.13%
159 Daikin Industries Ltd 0.13%
160 FANUC Corp 0.13%
161 TDK Corp 0.13%
162 Sandvik AB 0.13%
163 ORIX Corp 0.13%
164 Galderma Group AG 0.13%
165 Waste Connections Inc WCN 0.13%
166 Reckitt Benckiser Group PLC 0.13%
167 Celestica Inc CLS 0.13%
168 Air Liquide SA 0.13%
169 Haleon PLC 0.13%
170 Cie de Saint-Gobain SA 0.13%
171 Japan Tobacco Inc 0.12%
172 Franco-Nevada Corp FNV 0.12%
173 Orange SA 0.12%
174 Sumitomo Corp 0.12%
175 Teva Pharmaceutical Industries Ltd 0.12%
176 SSE PLC 0.12%
177 CSL Ltd 0.12%
178 Mercedes-Benz Group AG 0.12%
179 Tesco PLC 0.12%
180 Daiichi Life Group Inc 0.12%
181 Ibiden Co Ltd 0.12%
182 Erste Group Bank AG 0.12%
183 Sandoz Group AG 0.12%
184 Constellation Software Inc/Canada CNSWF 0.11%
185 United Overseas Bank Ltd 0.11%
186 SoftBank Corp 0.11%
187 Woodside Energy Group Ltd 0.11%
188 Intact Financial Corp IFCZF 0.11%
189 UCB SA 0.11%
190 Koninklijke Ahold Delhaize NV 0.11%
191 KB Financial Group Inc 0.11%
192 Dollarama Inc DOL 0.11%
193 Komatsu Ltd 0.11%
194 Fairfax Financial Holdings Ltd FRFHF 0.11%
195 Assa Abloy AB 0.11%
196 adidas AG 0.11%
197 Ajinomoto Co Inc 0.11%
198 Japan Post Bank Co Ltd 0.10%
199 Danske Bank A/S 0.10%
200 Woolworths Group Ltd 0.10%
201 Prudential PLC 0.10%
202 Honda Motor Co Ltd 0.10%
203 Fujitsu Ltd 0.10%
204 Bank Leumi Le-Israel BM 0.10%
205 Cenovus Energy Inc CVE 0.10%
206 Sika AG 0.10%
207 L'Oreal SA 0.10%
208 Power Corp of Canada PWCDF 0.10%
209 Alcon AG 0.10%
210 3i Group PLC 0.10%
211 Sompo Holdings Inc 0.10%
212 Givaudan SA 0.10%
213 MS&AD Insurance Group Holdings Inc 0.10%
214 Ferrovial NV FER 0.10%
215 Transurban Group 0.10%
216 Swiss Life Holding AG 0.09%
217 Telefonaktiebolaget LM Ericsson 0.09%
218 Swedbank AB 0.09%
219 Nutrien Ltd NTR 0.09%
220 Experian PLC 0.09%
221 KBC Group NV 0.09%
222 Bank Hapoalim BM 0.09%
223 Engie SA 0.09%
224 Sunbelt Rentals Holdings Inc SUNB 0.09%
225 NEC Corp 0.09%
226 Chugai Pharmaceutical Co Ltd 0.09%
227 Otsuka Holdings Co Ltd 0.09%
228 Skandinaviska Enskilda Banken AB 0.09%
229 Tower Semiconductor Ltd 0.09%
230 Fortis Inc/Canada FTS 0.09%
231 Daiichi Sankyo Co Ltd 0.09%
232 Resona Holdings Inc 0.09%
233 Kinross Gold Corp KGC 0.09%
234 Vestas Wind Systems A/S 0.09%
235 Teck Resources Ltd TECK 0.09%
236 Mitsubishi Estate Co Ltd 0.09%
237 Kyocera Corp 0.09%
238 Commerzbank AG 0.09%
239 Imperial Brands PLC 0.09%
240 Repsol SA 0.08%
241 Amrize Ltd 0.08%
242 Pembina Pipeline Corp PBA 0.08%
243 Sampo Oyj 0.08%
244 Shinhan Financial Group Co Ltd 0.08%
245 Atlas Copco AB 0.08%
246 ACS Actividades de Construccion y Servicios SA 0.08%
247 QBE Insurance Group Ltd 0.08%
248 Veolia Environnement SA 0.08%
249 Aviva PLC 0.08%
250 Toyota Tsusho Corp 0.08%
251 Banco BPM SpA 0.08%
252 ArcelorMittal SA 0.08%
253 ABN AMRO Bank NV 0.08%
254 Amadeus IT Group SA 0.08%
255 Nomura Holdings Inc 0.08%
256 FUJIFILM Holdings Corp 0.08%
257 Doosan Enerbility Co Ltd 0.08%
258 Singapore Telecommunications Ltd 0.08%
259 Adyen NV 0.08%
260 AIB Group PLC 0.08%
261 Restaurant Brands International Inc QSR 0.08%
262 Loblaw Cos Ltd LBLCF 0.08%
263 Cie Generale des Etablissements Michelin SCA 0.08%
264 Samsung C&T Corp 0.08%
265 SMC Corp 0.08%
266 Lasertec Corp 0.08%
267 Banca Monte dei Paschi di Siena SpA 0.08%
268 DNB Bank ASA 0.08%
269 InterContinental Hotels Group PLC 0.07%
270 NTT Inc 0.07%
271 Seven & i Holdings Co Ltd 0.07%
272 Heidelberg Materials AG 0.07%
273 Vodafone Group PLC 0.07%
274 Daimler Truck Holding AG 0.07%
275 Astellas Pharma Inc 0.07%
276 BPER Banca SPA 0.07%
277 Mitsui Fudosan Co Ltd 0.07%
278 Techtronic Industries Co Ltd 0.07%
279 VAT Group AG 0.07%
280 Powszechna Kasa Oszczednosci Bank Polski SA 0.07%
281 Sumitomo Mitsui Trust Group Inc 0.07%
282 BE Semiconductor Industries NV 0.07%
283 Thales SA 0.07%
284 NN Group NV 0.07%
285 Publicis Groupe SA 0.07%
286 Aristocrat Leisure Ltd 0.07%
287 Bridgestone Corp 0.07%
288 Equinor ASA 0.07%
289 CK Hutchison Holdings Ltd 0.07%
290 Coles Group Ltd 0.07%
291 MTU Aero Engines AG 0.07%
292 Lenovo Group Ltd 0.07%
293 Heineken NV 0.07%
294 Japan Post Holdings Co Ltd 0.07%
295 Novonesis (Novozymes) B 0.07%
296 Geberit AG 0.07%
297 Next PLC 0.07%
298 East Japan Railway Co 0.07%
299 Merck KGaA 0.07%
300 Koninklijke Philips NV 0.07%
301 RB Global Inc RBA 0.07%
302 Leonardo SpA 0.07%
303 Suzuki Motor Corp 0.07%
304 Universal Music Group NV 0.07%
305 Canon Inc 0.07%
306 Kia Corp 0.07%
307 Aena SME SA 0.07%
308 Fortescue Ltd 0.07%
309 Legal & General Group PLC 0.06%
310 Hanwha Aerospace Co Ltd 0.06%
311 Samsung Life Insurance Co Ltd 0.06%
312 Elbit Systems Ltd ESLT 0.06%
313 Svenska Handelsbanken AB 0.06%
314 Engie SA 0.06%
315 Aeon Co Ltd 0.06%
316 Furukawa Electric Co Ltd 0.06%
317 Resonac Holdings Corp 0.06%
318 Coca-Cola Europacific Partners PLC CCEP 0.06%
319 Bombardier Inc BBD/B 0.06%
320 Kering SA 0.06%
321 SK Inc 0.06%
322 Denso Corp 0.06%
323 Helvetia Baloise Holding AG 0.06%
324 SCREEN Holdings Co Ltd 0.06%
325 Halma PLC 0.06%
326 Terumo Corp 0.06%
327 Swisscom AG 0.06%
328 Hana Financial Group Inc 0.06%
329 ORLEN SA 0.06%
330 BOC Hong Kong Holdings Ltd 0.06%
331 NAVER Corp 0.06%
332 SGS SA 0.06%
333 ENEOS Holdings Inc 0.06%
334 Bank of Ireland Group PLC 0.06%
335 Koninklijke KPN NV 0.06%
336 Hyundai Mobis Co Ltd 0.06%
337 Fresenius SE & Co KGaA 0.06%
338 Samsung SDI Co Ltd 0.06%
339 First Quantum Minerals Ltd FQVLF 0.06%
340 Pan American Silver Corp PAAS 0.06%
341 Northern Star Resources Ltd 0.06%
342 Sun Hung Kai Properties Ltd 0.06%
343 Credit Agricole SA 0.06%
344 Asics Corp 0.06%
345 Brambles Ltd 0.06%
346 Vonovia SE 0.06%
347 Bayerische Motoren Werke AG 0.06%
348 Kone Oyj 0.06%
349 Wartsila OYJ Abp 0.06%
350 Central Japan Railway Co 0.06%
351 Epiroc AB 0.06%
352 Julius Baer Group Ltd 0.05%
353 Ebara Corp 0.05%
354 Kao Corp 0.05%
355 DSM-Firmenich AG 0.05%
356 Partners Group Holding AG 0.05%
357 Hexagon AB 0.05%
358 Antofagasta PLC 0.05%
359 Investor AB 0.05%
360 Inpex Corp 0.05%
361 Magna International Inc MGA 0.05%
362 Brookfield Asset Management Ltd BAM 0.05%
363 Kubota Corp 0.05%
364 Cellnex Telecom SA 0.05%
365 WSP Global Inc WSPOF 0.05%
366 Alfa Laval AB 0.05%
367 Evolution Mining Ltd 0.05%
368 Hannover Rueck SE 0.05%
369 Banco de Sabadell SA 0.05%
370 Nippon Steel Corp 0.05%
371 Lundin Mining Corp LUNMF 0.05%
372 Terna - Rete Elettrica Nazionale 0.05%
373 Genmab A/S 0.05%
374 Oriental Land Co Ltd/Japan 0.05%
375 Essity AB 0.05%
376 Nova Ltd NVMI 0.05%
377 Emera Inc EMA 0.05%
378 Celltrion Inc 0.05%
379 Saab AB 0.05%
380 Santos Ltd 0.05%
381 Kokusai Electric Corp 0.05%
382 Daiwa House Industry Co Ltd 0.05%
383 Boliden AB 0.05%
384 Secom Co Ltd 0.05%
385 Great-West Lifeco Inc GWLIF 0.05%
386 Taiyo Yuden Co Ltd 0.05%
387 Segro PLC 0.05%
388 IHI Corp 0.05%
389 Ageas SA/NV 0.05%
390 Capgemini SE 0.05%
391 Telecom Italia SpA/Milano 0.05%
392 EDP SA 0.05%
393 Tourmaline Oil Corp TRMLF 0.05%
394 FinecoBank Banca Fineco SpA 0.05%
395 BAWAG Group AG 0.05%
396 JX Advanced Metals Corp 0.05%
397 NIDEC CORP 0.05%
398 Daifuku Co Ltd 0.05%
399 Informa PLC 0.05%
400 Kajima Corp 0.05%
401 Singapore Exchange Ltd 0.05%
402 Sumitomo Realty & Development Co Ltd 0.05%
403 POSCO Holdings Inc 0.05%
404 Mitsui Kinzoku Co Ltd 0.05%
405 James Hardie Industries PLC 0.05%
406 Wolters Kluwer NV 0.05%
407 CLP Holdings Ltd 0.05%
408 Snam SpA 0.05%
409 Poste Italiane SpA 0.05%
410 EQT AB 0.05%
411 Telefonica SA TEF 0.05%
412 Kerry Group PLC 0.05%
413 Imperial Oil Ltd IMO 0.04%
414 Naturgy Energy Group SA 0.04%
415 HD Hyundai Electric Co Ltd 0.04%
416 Suncorp Group Ltd 0.04%
417 Siemens Healthineers AG 0.04%
418 Unibail-Rodamco-Westfield 0.04%
419 Straumann Holding AG 0.04%
420 Asahi Kasei Corp 0.04%
421 LG Electronics Inc 0.04%
422 Kawasaki Heavy Industries Ltd 0.04%
423 BT Group PLC 0.04%
424 Rentokil Initial PLC 0.04%
425 Kansai Electric Power Co Inc/The 0.04%
426 Euronext NV 0.04%
427 Computershare Ltd 0.04%
428 Scentre Group 0.04%
429 Kingspan Group PLC 0.04%
430 Chubu Electric Power Co Inc 0.04%
431 Endesa SA 0.04%
432 Telstra Group Ltd 0.04%
433 Logitech International SA 0.04%
434 Kirin Holdings Co Ltd 2503 0.04%
435 Asahi Group Holdings Ltd 0.04%
436 Pernod Ricard SA 0.04%
437 International Consolidated Airlines Group SA 0.04%
438 Dassault Systemes SE 0.04%
439 UPM-Kymmene Oyj 0.04%
440 T&D Holdings Inc 0.04%
441 Toromont Industries Ltd TMTNF 0.04%
442 Neste Oyj 0.04%
443 Symrise AG 0.04%
444 Schindler Holding AG 0.04%
445 Nitto Denko Corp 0.04%
446 Bandai Namco Holdings Inc 0.04%
447 Daiwa Securities Group Inc 0.04%
448 Hydro One Ltd H 0.04%
449 Swiss Prime Site AG 0.04%
450 Origin Energy Ltd 0.04%
451 Chocoladefabriken Lindt & Spruengli AG 0.04%
452 United Utilities Group PLC 0.04%
453 Moncler SpA 0.04%
454 Obayashi Corp 0.04%
455 Shionogi & Co Ltd 0.04%
456 Japan Exchange Group Inc 0.04%
457 Taisei Corp 0.04%
458 Fisher & Paykel Healthcare Corp Ltd 0.04%
459 Woori Financial Group Inc 0.04%
460 Coca-Cola HBC AG 0.04%
461 Alamos Gold Inc AGI 0.04%
462 Niterra Co Ltd 0.04%
463 Nippon Yusen KK 0.04%
464 Diploma PLC 0.04%
465 Phoenix Financial Ltd 0.04%
466 Stellantis NV 0.04%
467 Whitecap Resources Inc WCPRF 0.04%
468 Insurance Australia Group Ltd 0.04%
469 Accor SA 0.04%
470 NGK Corp 0.04%
471 Sekisui House Ltd 0.04%
472 iA Financial Corp Inc IAG 0.04%
473 HD Hyundai Heavy Industries Co Ltd 0.04%
474 Smith & Nephew PLC 0.04%
475 CGI Inc GIB/A 0.04%
476 Roche Holding AG 0.04%
477 Kongsberg Gruppen ASA 0.04%
478 Metro Inc/CN MTRAF 0.04%
479 Enlight Renewable Energy Ltd 0.04%
480 Israel Discount Bank Ltd DSCT 0.04%
481 Link REIT 0.04%
482 South32 Ltd 0.04%
483 Tokyo Gas Co Ltd 0.04%
484 KGHM Polska Miedz SA 0.04%
485 Carlsberg AS 0.04%
486 Singapore Technologies Engineering Ltd 0.04%
487 Samsung Fire & Marine Insurance Co Ltd 0.04%
488 Keppel Ltd 0.04%
489 LS Electric Co Ltd 0.04%
490 Admiral Group PLC 0.04%
491 ARC Resources Ltd ARX 0.04%
492 Metso Oyj 0.04%
493 Hyosung Heavy Industries Corp 0.04%
494 Intertek Group PLC 0.04%
495 Fuji Electric Co Ltd 0.04%
496 Osaka Gas Co Ltd 0.04%
497 Nomura Research Institute Ltd 0.04%
498 Sonova Holding AG 0.04%
499 Norsk Hydro ASA 0.04%
500 ASR Nederland NV 0.04%

Tem o VEA junto com outros fundos? A mesma ação pode estar em vários deles ao mesmo tempo — veja sua exposição combinada real →

Distribuição por setor

Unclassified 99%

Setores atribuídos pela participação nos ETFs setoriais do S&P 500; small caps e ações internacionais aparecem como Não classificado. Veja a metodologia.

Mais se sobrepõe com

Menor sobreposição de composição

Estas são as menores pontuações de sobreposição entre os fundos acompanhados aqui, não recomendações. Sobreposição de posições não mede correlação, volatilidade, exposição geográfica ou a fatores, taxas nem adequação ao investidor.

→ Veja o que o VEA mais seus outros fundos realmente têm, combinados

Combinar o VEA com outros fundos é a visão de interseção de ações — a parte que mais faz falta do antigo Morningstar Instant X-Ray. Veja nossa alternativa ao Morningstar Instant X-Ray.