Components Vanguard FTSE Developed World UCITS ETF - USD

ETF

VEVE

IE00BKX55T58

Market Closed - Swiss Exchange 09:25:02 25/06/2024 am IST 5-day change 1st Jan Change
80.34 GBX +0.28% Intraday chart for Vanguard FTSE Developed World UCITS ETF - USD +0.94% +12.42%

Composition of Vanguard FTSE Developed World UCITS ETF - USD

Weight
208.1 USD +0.31%-3.94%+8.11%4.58%
447.7 USD -0.47%-0.16%+19.05%4.51%
185.5 USD -1.89%+0.78%+22.09%2.21%
118.1 USD -6.68%-9.83%+138.50%1.90%
179.2 USD -0.23%+1.12%+28.30%1.34%
498.9 USD +0.83%-1.52%+40.95%1.26%
182.6 USD -0.23%-2.59%-26.52%1.11%
890.1 USD +0.70%+0.58%+52.70%0.80%
198.9 USD +1.31%+2.00%+16.92%0.79%
490 USD +1.53%+0.15%-6.93%0.79%
1,592 USD -3.70%-12.94%+42.64%0.78%
276.3 USD +0.39%+1.89%+6.13%0.67%
114 USD +2.97%+5.25%+14.07%0.65%
149.1 USD +0.25%+2.17%-4.86%0.61%
457 USD +0.46%+1.97%+7.14%0.57%
350.9 USD -1.38%+0.39%+1.25%0.56%
168.4 USD +0.11%+0.57%+14.95%0.56%
988.4 DKK +0.05%+0.81%+41.58%0.52%
94.68 CHF +1.05%-0.44%-2.90%0.50%
948.5 EUR -1.55%-2.16%+39.14%0.48%
848.2 USD -0.02%-2.28%+28.49%0.47%
80,600 KRW +0.75%+3.20%+2.68%0.47%
133 USD +1.71%+4.28%+21.96%0.45%
524.2 USD -1.74%+1.05%-12.14%0.44%
172.7 USD +1.38%+1.80%+11.47%0.44%
159.3 USD +2.60%+4.00%+6.80%0.41%
239.9 USD -2.09%+4.10%-8.82%0.40%
160.3 USD -0.60%+1.18%+8.72%0.38%
168.1 USD +0.48%+1.17%-1.04%0.38%
40.02 USD +1.34%+1.29%+18.86%0.37%
63.97 USD +1.91%+2.16%+8.55%0.37%
68.9 USD +1.46%+2.20%+31.11%0.36%
307.2 USD -0.57%+7.59%-12.45%0.36%
3,301 JPY +4.79%+8.16%+27.43%0.36%
2,794 GBX +0.63%+2.51%+8.67%0.35%
260.4 USD +0.38%+2.71%-12.19%0.35%
30.57 USD -1.67%-1.32%-39.16%0.34%
669 USD -2.49%-1.01%+37.41%0.34%
96.01 CHF +2.15%+2.64%+13.13%0.34%
566 USD +0.24%-0.36%+6.62%0.33%
47.28 USD -0.02%+3.48%-6.41%0.33%
726.5 EUR +1.28%+1.27%-0.97%0.33%
12,478 GBX +0.05%+0.40%+17.72%0.32%
255.4 CHF +1.03%+4.03%+4.46%0.32%
443.1 USD +0.09%+0.57%+7.90%0.32%
105.3 USD -0.40%+1.79%-4.33%0.31%
6,24,082 USD +1.48%+1.67%+15.01%0.30%
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ETF Ratings

Description

IE00BKX55T58
Total Expense Ratio 0.12%
Asset Class
Sector
Size
Currency
Provider
Underlying FTSE Developed Index NTR - USD

Features and characteristics

Jurisdiction
Replication Method
Replication Model
Date of creation
30/09/2014
Dividend Policy
Geographical Focus

Distribution

Retail investor
Qualified Investor

AuM evolution ( 31/05/2024 )

AuM (EUR) 2,608 M€
AuM 1M 2,479 M€
AuM 3 months 2,423 M€
AuM 6 months 2,028 M€
AuM 12 months 1,720 M€
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