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VANGUARD INTERNATIONAL DIVIDEND GROWTH FUND

Open-end / ETF
Registrant
VANGUARD WHITEHALL FUNDS
Class ticker
VIDGX
Net Assets
$130,166,734
Holdings
48
Latest Report
Jul 31, 2026

Net Assets Over Time

Holdings · 48

Export CSV
Holding Balance Value % of Fund Open
Schneider Electric SE
14,701 $4,939,320 3.79%
Intact Financial Corp
23,623 $4,638,321 3.56%
Keyence Corp
8,986 $4,507,257 3.46%
ASML Holding NV
2,504 $4,126,454 3.17%
KBC Group NV
57,185 $4,113,317 3.16%
Symrise AG
34,267 $3,516,479 2.70%
AIA Group Ltd
322,958 $3,255,704 2.50%
Merck KGaA
19,672 $3,251,156 2.50%
Pan Pacific International Holdings Corp
569,080 $3,229,413 2.48%
UBS Group AG
60,014 $3,172,198 2.44%
Unilever PLC
49,251 $3,153,915 2.42%
Experian PLC
83,136 $3,136,698 2.41%
Atlas Copco AB
147,370 $3,113,901 2.39%
Sika AG
13,607 $3,061,447 2.35%
Chugai Pharmaceutical Co Ltd
69,655 $3,022,424 2.32%
DBS Group Holdings Ltd
51,858 $2,992,035 2.30%
RELX PLC
84,346 $2,966,613 2.28%
Roche Holding AG
6,722 $2,938,135 2.26%
Assa Abloy AB
77,325 $2,869,203 2.20%
Hoya Corp
18,751 $2,867,345 2.20%
BAE Systems PLC
100,829 $2,854,401 2.19%
Chocoladefabriken Lindt & Spruengli AG
247 $2,850,891 2.19%
SAP SE
15,509 $2,842,724 2.18%
Industria de Diseno Textil SA
37,726 $2,462,135 1.89%
Mizuho Financial Group Inc
47,379 $2,456,326 1.89%
Novo Nordisk A/S
51,518 $2,436,883 1.87%
Dollarama Inc
16,758 $2,282,894 1.75%
Compass Group PLC
68,879 $2,187,311 1.68%
Nippon Sanso Holdings Corp
60,233 $2,165,331 1.66%
Novartis AG
13,737 $2,148,354 1.65%
L'Oreal SA
4,423 $1,969,983 1.51%
Kone Oyj
34,126 $1,968,966 1.51%
DSV A/S
8,711 $1,882,629 1.45%
Prudential PLC
114,886 $1,726,570 1.33%
AstraZeneca PLC
9,696 $1,649,390 1.27%
Shell PLC
34,233 $1,566,902 1.20%
Vanguard Cmt Funds-Vanguard Market Liquidity Fund
1,560,316 $1,560,160 1.20%
London Stock Exchange Group PLC
13,065 $1,469,715 1.13%
Nestle SA
14,275 $1,426,800 1.10%
KDDI Corp
74,390 $1,370,540 1.05%
Ajinomoto Co Inc
43,609 $1,344,830 1.03%
Safran SA
3,369 $1,323,954 1.02%
Iberdrola SA
54,124 $1,285,639 0.99%
Nintendo Co Ltd
23,090 $1,101,442 0.85%