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VEA ETF Holdings

All holdings

(total: 3897)
AssetWeightMarket capShares countShare priceTotal valueSectorIndustryCountry

Novo Nordisk A/S Class B

1.46%-27 M

ASML Holding NV

1.18%-3 M

SAP SE

1.14%-9 M

Nestle SA

0.98%-22 M

Novartis AG

0.95%-18 M

Toyota Motor Corp.

0.89%-102 M

Shell plc

0.89%-54 M

AstraZeneca plc

0.89%-13 M

Roche Holding AG

0.88%-6 M

Samsung Electronics Co. Ltd.

0.82%-41 M
0.78%$167 B12 M$118.31$1.44 BFinancial ServicesBanks - DiversifiedCanada

HSBC Holdings plc

0.76%-160 M

Commonwealth Bank of Australia

0.76%-14 M

LVMH Moet Hennessy Louis Vuitton SE

0.68%-2 M

Unilever plc

0.65%-21 M

Siemens AG

0.63%-6 M

Schneider Electric SE

0.60%-5 M

Mitsubishi UFJ Financial Group Inc.

0.59%-98 M

BHP Group Ltd.

0.58%-43 M

Allianz SE

0.53%-3 M

Sony Group Corp.

0.53%-52 M

TotalEnergies SE

0.51%-17 M

Hitachi Ltd.

0.49%-38 M

Deutsche Telekom AG

0.47%-29 M

Sanofi SA

0.47%-9 M
0.46%$102 B28 M$32.05$886.47 MFinancial ServicesBanks - DiversifiedSwitzerland

Toronto-Dominion Bank

0.44%-15 M

Recruit Holdings Co. Ltd.

0.41%-12 M

Enbridge Inc.

0.40%-18 M

ABB Ltd.

0.40%-14 M

Sumitomo Mitsui Financial Group Inc.

0.40%-32 M
0.40%$87 B13 M$57.50$736.68 MFinancial ServicesAsset ManagementCanada

Airbus SE

0.40%-5 M

Zurich Insurance Group AG

0.40%-1 M

CSL Ltd.

0.39%-4 M

RELX plc

0.39%-16 M

Iberdrola SA

0.38%-52 M

Keyence Corp.

0.37%-2 M

AIA Group Ltd.

0.37%-97 M

BP plc

0.36%-142 M

Safran SA

0.35%-3 M

National Australia Bank Ltd.

0.35%-27 M

Westpac Banking Corp.

0.33%-30 M

EssilorLuxottica SA

0.33%-3 M

Cie Financiere Richemont SA

0.33%-5 M

British American Tobacco plc

0.33%-17 M

Hermes International SCA

0.32%-292 K

London Stock Exchange Group plc

0.31%-4 M
CRH logo

CRH

CRH
0.31%$64 B6 M$93.81$554.73 MBasic MaterialsBuilding MaterialsIreland

Canadian Pacific Kansas City Ltd.

0.31%-8 M

Shin-Etsu Chemical Co. Ltd.

0.31%-16 M

Tokio Marine Holdings Inc.

0.31%-16 M

Canadian Natural Resources Ltd.

0.31%-18 M

Bank of Nova Scotia

0.31%-11 M

GSK plc

0.30%-34 M

Mitsubishi Corp.

0.30%-35 M

Tokyo Electron Ltd.

0.30%-4 M

Bank of Montreal

0.30%-6 M

Constellation Software Inc./Canada

0.30%-171 K

Banco Santander SA

0.30%-130 M

Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen

0.30%-1 M

ITOCHU Corp.

0.30%-12 M

Rio Tinto plc

0.30%-9 M

Diageo plc

0.29%-19 M

Canadian National Railway Co.

0.28%-5 M

Mizuho Financial Group Inc.

0.28%-22 M

Axa SA

0.28%-15 M

SK Hynix Inc.

0.28%-5 M

DBS Group Holdings Ltd.

0.28%-17 M

Rolls-Royce Holdings plc

0.27%-73 M

Canadian Imperial Bank of Commerce

0.27%-8 M

Nintendo Co. Ltd.

0.27%-9 M

Fast Retailing Co. Ltd.

0.27%-2 M

Mitsui & Co. Ltd.

0.27%-25 M

UniCredit SPA

0.27%-14 M

Intesa Sanpaolo SPA (Registered)

0.27%-137 M

ANZ Group Holdings Ltd.

0.27%-26 M

National Grid plc

0.27%-42 M

Compass Group plc

0.26%-15 M

SoftBank Group Corp.

0.26%-8 M

Industria de Diseno Textil SA

0.26%-9 M

BNP Paribas SA

0.26%-9 M

Daiichi Sankyo Co. Ltd.

0.26%-16 M

Manulife Financial Corp.

0.26%-16 M

Glencore plc

0.26%-105 M

Holcim AG

0.25%-5 M

Enel SPA

0.25%-67 M

Banco Bilbao Vizcaya Argentaria SA

0.24%-49 M

Vinci SA

0.23%-4 M

Macquarie Group Ltd.

0.23%-3 M

Wesfarmers Ltd.

0.23%-10 M

Prosus NV

0.23%-11 M
0.22%$76 B1 M$423.33$428.00 MConsumer CyclicalAuto ManufacturersItaly

TC Energy Corp.

0.22%-9 M

Anheuser-Busch InBev SA/NV

0.22%-8 M

KDDI Corp.

0.22%-13 M

ING Groep NV

0.22%-28 M

Suncor Energy Inc.

0.22%-11 M

Barclays plc

0.22%-127 M
0.22%$44 B2 M$171.90$381.32 MIndustrialsWaste ManagementCanada

Holding types

Countries

Sectors