VEA icon

Vanguard FTSE Developed Markets ETF

47.57 USD
-0.73
1.51%
At close Dec 20, 4:00 PM EST
After hours
49.75
+2.18
4.58%
1 day
-1.51%
5 days
-4.50%
1 month
-3.23%
3 months
-8.43%
6 months
-4.63%
Year to date
0.42%
1 year
2.06%
5 years
7.53%
10 years
23.27%
0
Funds holding %
of 6,809 funds
Analysts bullish %

Fund manager confidence

Based on 2024 Q3 regulatory filings by fund managers ($100M+ AUM)

40% more first-time investments, than exits

New positions opened: 150 | Existing positions closed: 107

32% more repeat investments, than reductions

Existing positions increased: 1,012 | Existing positions reduced: 766

5% more funds holding in top 10

Funds holding in top 10: 437 [Q2] → 457 (+20) [Q3]

2% more funds holding

Funds holding: 2,115 [Q2] → 2,158 (+43) [Q3]

4% more capital invested

Capital invested by funds: $105B [Q2] → $109B (+$3.71B) [Q3]

3.59% less ownership

Funds ownership: 79.27% [Q2] → 75.68% (-3.59%) [Q3]

56% less call options, than puts

Call options by funds: $14.2M | Put options by funds: $32.1M

Research analyst outlook

We haven’t received any recent analyst ratings for VEA.

Financial journalist opinion

Based on 4 articles about VEA published over the past 30 days

Positive
Seeking Alpha
1 week ago
VEA: Do Not Confuse Cheap Price With Good Bargain
Developed ex-US stocks, despite being cheaper, are not good bargains compared to US equities based on dividends and book values. US equities have higher required returns when their superior dividend growth and profitability are considered, making them more attractive despite higher valuations. The valuation advantage of ex-US stocks is diminished once differences between sector compositions are considered.
VEA: Do Not Confuse Cheap Price With Good Bargain
Neutral
Seeking Alpha
2 weeks ago
VEA ETF:  America's Allies Are Faltering
The Vanguard FTSE Developed Markets Index Fund ETF Shares offers broad exposure to foreign developed markets, including the EU, UK, Japan, and S. Korea. Europe's natural gas storage levels are plummeting, potentially leading to a repeat of the 2022 natural gas price spike. Major LNG consumers like Europe, Japan, and S. Korea are bidding up prices, leading to sharply higher energy costs.
VEA ETF:  America's Allies Are Faltering
Neutral
ETF Trends
2 weeks ago
VIDEO: ETF of the Week: VOO
On this episode of the “ETF of the Week” podcast, VettaFi's Head of Research Todd Rosenbluth discussed the Vanguard S&P 500 ETF (VOO) with Chuck Jaffe of Money Life. The pair discussed several topics related to the fund to give investors a deeper understanding of the ETF overall.
VIDEO: ETF of the Week: VOO
Negative
Seeking Alpha
3 weeks ago
VEA: A Bad Pick For Trump's Second Term
VEA ETF underperforms due to heavy exposure to stagnant European and Pacific economies. Rising global trade tensions further limit VEA's growth potential. I give a "Sell" rating for the VEA ETF.
VEA: A Bad Pick For Trump's Second Term
Negative
Seeking Alpha
1 month ago
The Trump Factor Takes A Toll On Foreign Stocks
The election victory has fueled a strong rally in US equities, but Trump's comeback is seen as a new risk factor elsewhere as Washington prepares to pivot to new edition of an “America First” policy. The latest surge in US shares has widened the lead for SPDR S&P 500 ETF (SPY) year to date.
The Trump Factor Takes A Toll On Foreign Stocks
Neutral
ETF Trends
2 months ago
A Time for Portfolio Reflection
For some people, the early days of the fourth calendar quarter is a good time for reflection. In life and certainly in portfolios.
A Time for Portfolio Reflection
Neutral
Seeking Alpha
2 months ago
Emerging Markets Stocks Tied With U.S. Equities Year To Date
Exclude China and broadly defined EM stocks are posting substantially softer results, based on a set of ETFs through Friday's close. US shares are effectively neck and next with EM so far in 2024.
Emerging Markets Stocks Tied With U.S. Equities Year To Date
Positive
Seeking Alpha
3 months ago
VEA: Expecting A Pause In The Uptrend, But Developed Markets Remain Cheap
I maintain a buy rating on VEA due to its attractive valuation, strong diversification, and higher dividend yield compared to US equities. VEA's underperformance relative to the S&P 500 is due to its lower exposure to tech and higher exposure to cyclical sectors. The US Dollar Index's stability in 2024 has been a tailwind, but VEA's diversified holdings have limited its alpha generation.
VEA: Expecting A Pause In The Uptrend, But Developed Markets Remain Cheap
Neutral
ETF Trends
4 months ago
VIDEO: ETF of the Week: Goldman Sachs ActiveBeta International Equity ETF (GSIE)
On this episode of the “ETF of the Week” podcast, VettaFi's Head of Research Todd Rosenbluth discussed the Goldman Sachs ActiveBeta International Equity ETF (GSIE) with Chuck Jaffe of “Money Life.” The pair talked about several topics regarding the fund to give investors a deeper understanding of the ETF overall.
VIDEO: ETF of the Week: Goldman Sachs ActiveBeta International Equity ETF (GSIE)
Neutral
ETF Trends
5 months ago
VIDEO: ETF of the Week: Franklin FTSE United Kingdom ETF (FLGB)
On this episode of the “ETF of the Week” podcast, VettaFi's Head of Research Todd Rosenbluth discussed the Franklin FTSE United Kingdom ETF (FLGB) with Chuck Jaffe of “Money Life.” The pair talked about several topics regarding the fund to give investors a deeper understanding of the ETF overall.
VIDEO: ETF of the Week: Franklin FTSE United Kingdom ETF (FLGB)
Charts implemented using Lightweight Charts™