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VEU · Vanguard FTSE All-World Ex-US ETF

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$85.68 -0.03 (-0.04%) At close · Aug 14

Portfolio holdings reported by registered funds to the SEC on Form N-PORT — the individual securities a fund owns. Only mutual funds, ETFs and closed-end funds file N-PORT, so operating companies show no data.

VANGUARD PACIFIC STOCK INDEX FUND

Reported 2026-04-30
Net Assets
$13,063,655,100
Total Assets
$13,072,643,940
Holdings
2,357
Filed
2026-06-26
Holding Balance Value % Net Assets
Samsung Electronics Co Ltd 5,206,108 $783,975,231 6.00%
SK hynix Inc 597,589 $532,910,744 4.08%
Commonwealth Bank of Australia 1,845,824 $232,493,752 1.78%
Toyota Motor Corp 11,740,174 $225,357,429 1.73%
Mitsubishi UFJ Financial Group Inc 12,139,372 $218,057,538 1.67%
BHP Group Ltd 5,414,187 $214,289,965 1.64%
Vanguard Cmt Funds-Vanguard Market Liquidity Fund 2,103,474 $210,326,368 1.61%
Hitachi Ltd 4,785,340 $152,165,897 1.16%
Advantest Corp 800,496 $149,467,440 1.14%
SoftBank Group Corp 4,325,680 $147,760,063 1.13%
Tokyo Electron Ltd 489,652 $144,291,938 1.10%
Sumitomo Mitsui Financial Group Inc 4,033,164 $142,407,192 1.09%
Sony Group Corp 6,639,450 $133,023,559 1.02%
AIA Group Ltd 11,613,049 $127,496,915 0.98%
Mitsubishi Corp 3,623,363 $116,044,060 0.89%
Mizuho Financial Group Inc 2,654,437 $114,147,906 0.87%
Westpac Banking Corp 3,779,104 $105,726,721 0.81%
Mitsubishi Heavy Industries Ltd 3,539,490 $105,639,185 0.81%
Mitsui & Co Ltd 2,797,714 $105,042,710 0.80%
DBS Group Holdings Ltd 2,229,584 $102,807,605 0.79%
National Australia Bank Ltd 3,378,749 $97,739,522 0.75%
Samsung Electronics Co Ltd 886,449 $95,677,876 0.73%
Keyence Corp 206,866 $94,882,385 0.73%
Shin-Etsu Chemical Co Ltd 2,046,350 $94,218,401 0.72%
Fast Retailing Co Ltd 195,360 $91,964,783 0.70%
Tokio Marine Holdings Inc 1,990,472 $91,157,190 0.70%
ANZ Group Holdings Ltd 3,329,793 $88,444,330 0.68%
Mitsubishi Electric Corp 2,180,114 $87,490,101 0.67%
ITOCHU Corp 6,945,160 $86,072,053 0.66%
Hong Kong Exchanges & Clearing Ltd 1,321,464 $70,384,746 0.54%
Fujikura Ltd 1,791,234 $69,111,154 0.53%
Hoya Corp 367,646 $68,655,584 0.53%
Recruit Holdings Co Ltd 1,462,966 $67,771,848 0.52%
Wesfarmers Ltd 1,247,504 $66,270,340 0.51%
Macquarie Group Ltd 378,547 $65,031,419 0.50%
Marubeni Corp 1,625,243 $63,256,200 0.48%
Oversea-Chinese Banking Corp Ltd 3,597,197 $62,060,997 0.48%
Murata Manufacturing Co Ltd 1,807,237 $59,935,611 0.46%
Takeda Pharmaceutical Co Ltd 1,747,124 $58,411,215 0.45%
SK Square Co Ltd 99,022 $57,630,872 0.44%
Nintendo Co Ltd 1,137,950 $55,667,249 0.43%
Sumitomo Electric Industries Ltd 832,803 $54,826,932 0.42%
Hyundai Motor Co 149,040 $54,021,004 0.41%
Panasonic Holdings Corp 2,485,235 $50,837,485 0.39%
KDDI Corp 3,056,732 $50,021,972 0.38%
Woodside Energy Group Ltd 2,089,984 $49,966,585 0.38%
Rio Tinto Ltd 407,280 $49,887,546 0.38%
Kioxia Holdings Corp 202,700 $49,045,001 0.38%
CSL Ltd 533,938 $48,193,540 0.37%
Goodman Group 2,188,035 $47,405,401 0.36%
Showing 1–50 of 2,357 holdings
Key facts CIK 857489 CUSIP 922042775 13F (30d) 439 filings 422 filers