Vanguard FTSE All-World ex-US ETF
0
Funds holding %
of 6,809 funds
–
Analysts bullish %
Fund manager confidence
Based on 2024 Q3 regulatory filings by fund managers ($100M+ AUM)
15,321% more call options, than puts
Call options by funds: $2.93M | Put options by funds: $19K
45% more first-time investments, than exits
New positions opened: 100 | Existing positions closed: 69
3% more funds holding
Funds holding: 1,187 [Q2] → 1,218 (+31) [Q3]
2% more repeat investments, than reductions
Existing positions increased: 437 | Existing positions reduced: 429
2% more capital invested
Capital invested by funds: $18.5B [Q2] → $18.9B (+$323M) [Q3]
0% more funds holding in top 10
Funds holding in top 10: 111 [Q2] → 111 (+0) [Q3]
2.0% less ownership
Funds ownership: 48.16% [Q2] → 46.16% (-2.0%) [Q3]
Research analyst outlook
We haven’t received any recent analyst ratings for VEU.
Financial journalist opinion
Positive
Seeking Alpha
1 week ago
Around The World In 80 Stocks: A Global Hunt For Value
U.S. stocks trade at significantly higher valuation multiples than international markets, despite some justifiable dominance by key companies like Amazon, Apple, and Alphabet. The article highlights interesting global companies, emphasizing regions and stocks with potential for value investing, such as renewable energy in Canada, luxury brands in France, and undervalued industrials in Sweden. Regions like Mexico, Brazil, and Argentina present opportunities and risks, while countries like the UK and Netherlands showcase strong small- and mid-cap companies and profitable technology leaders.
Positive
ETF Trends
3 weeks ago
Moving Averages: S&P Finishes November 2024 Up 5.7%
This article provides an update on the monthly moving averages we track for the S&P 500 and the Ivy Portfolio after the close of the last business day of the month. The Ivy Portfolio The Ivy Portfolio is based on the asset allocation strategy used by endowment funds from Harvard and Yale.
Neutral
ETF Trends
1 month ago
Moving Averages: S&P Finishes October 2024 Down 1.0%
This article provides an update on the monthly moving averages we track for the S&P 500 and the Ivy Portfolio after the close of the last business day of the month. The Ivy Portfolio The Ivy Portfolio is based on the asset allocation strategy used by endowment funds from Harvard and Yale.
Positive
ETF Trends
2 months ago
Moving Averages: S&P Finishes September 2024 Up 2.0%
This article provides an update on the monthly moving averages we track for the S&P 500 and the Ivy Portfolio after the close of the last business day of the month. The Ivy Portfolio The Ivy Portfolio is based on the asset allocation strategy used by endowment funds from Harvard and Yale.
Neutral
Seeking Alpha
3 months ago
VEU: A Cheap Mid-Teens P/E Outweighs Near-Term Technical Concerns
Foreign companies may achieve their highest EPS since 2009, with the ACWX Index forecasted for strong EPS growth over the next 12 months. VEU trades at a low forward P/E of 14.0x, offering broad international exposure and a forward dividend yield of 3.0%. Despite bearish seasonal trends, VEU's long-term technical trend is positive, with rising 200-day moving averages and strong diversification.
Positive
ETF Trends
3 months ago
Moving Averages: S&P Finishes August 2024 Up 2.3%
This article provides an update on the monthly moving averages we track for the S&P 500 and the Ivy Portfolio after the close of the last business day of the month. The Ivy Portfolio The Ivy Portfolio is based on the asset allocation strategy used by endowment funds from Harvard and Yale.
Positive
ETF Trends
4 months ago
Moving Averages: S&P Finishes July 2024 Up 1.1%
This article provides an update on the monthly moving averages we track for the S&P 500 and the Ivy Portfolio after the close of the last business day of the month. The Ivy Portfolio The Ivy Portfolio is based on the asset allocation strategy used by endowment funds from Harvard and Yale.
Positive
ETF Trends
5 months ago
Moving Averages: S&P Finishes June 2024 Up 3.5%
This article provides an update on the monthly moving averages we track for the S&P 500 and the Ivy Portfolio after the close of the last business day of the month. The Ivy Portfolio The Ivy Portfolio is based on the asset allocation strategy used by endowment funds from Harvard and Yale.
Neutral
Zacks Investment Research
5 months ago
Top ETF Stories of Q2 2024
Wall Street has delivered a moderate performance in the second quarter of 2024.
Neutral
Seeking Alpha
6 months ago
VEU: The Underperformance Intensifies
The US continues to outperform global markets, with the S&P 500 hitting all-time highs while VEU lags behind. VEU is a diversified fund with attractive valuation, low expense ratio, and good dividend yield. Despite the potential for a catch-up trade, it is hard to predict what the catalyst could be and VEU's diversification could work against it.
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