VIU Vanguard FTSE Developed All Cap ex North America Index ETF
Japan, Europe, the U.K. and Australia. The developed world outside North America.
Every year since 2019.
Each bar is one calendar year of VIU's total return, payouts included. Red years were down.
- 2019+15.3%
- 2020+7.5%
- 2021+9.8%
- 2022−10.6%
- 2023+15.6%
- 2024+10.8%
- 2025+28.4%
- 2026 so far+18.8%
Returns via Yahoo Finance. 2026 is the year so far, to Sep 23.
What VIU holds.
Its ten biggest companies, then every sector, each as a share of the fund.
- Samsung Electronics2.97%
- SK hynix2.29%
- ASML Holding2.20%
- HSBC Holdings1.20%
- Roche Holding1.04%
- Novartis0.96%
- Shell0.86%
- Nestle0.85%
- Mitsubishi UFJ Financial Group0.85%
- Siemens0.82%
of VIU is in these 10 companies. The other 3,940 or so share the rest.
Shares of VIU, not of VEQT. Via Yahoo Finance.
Every sector · share of VIU
- Financials23.0%
- Industrials18.8%
- Technology16.4%
- Health care8.8%
- Consumer discretionary7.9%
- Materials6.2%
- Consumer staples5.9%
- Communication services3.9%
- Energy3.4%
- Utilities3.1%
- Real estate2.5%
VIU, day by day.
Each square is one trading day. Darker means a bigger move. Red squares were down days; ink squares were up. Click one to pin it.One square per day. Darker is a bigger move. Red was down.
Daily closes via Yahoo Finance, payouts included.