What is VWO?

VWO was created on 2005-03-04 by Vanguard. The fund's investment portfolio concentrates primarily on total market equity. The ETF currently has 84103.77m in AUM and 4827 holdings. The fund is passively managed to provide exposure to the emerging markets equity space. It holds stocks of any market capitalization.

What is SPEM?

SPEM was created on 2007-03-20 by SPDR. The fund's investment portfolio concentrates primarily on total market equity. SPEM tracks an index of emerging markets companies weighted by market cap.

Key Details

VWO
SPEM
Website
Inception Date

Mar 04, 2005

Mar 20, 2007

Asset Class

Equity

Equity

Investment Segment

Total Market

Total Market

AUM
$73.07B
$9.40B
Dividend Yield
3.36%
2.91%
Expense Ratio
0.07%
0.07%
Return 1Y
3.39%
3.34%

Holdings

Vanguard FTSE Emerging Markets ETF - VWO is made up of 4683 holdings. SPDR Portfolio Emerging Markets ETF - SPEM is made up of 3252 holdings.

Name
Weight
-

9.63%

-

8.36%

T
TCTZF

NT Tencent Holdings Ltd

4.35%

B
BABAF

NT Alibaba Group Holding Ltd Ordinary Shares

3.2%

M
MPNGF

NT Meituan Class B

1.31%

-

1.28%

X
XIACF

NT Xiaomi Corp Class B

1.24%

-

1.05%

0.92%

C
CICHF

NT China Construction Bank Corp Class H

0.91%

-

0.78%

-

0.76%

-

0.72%

-

0.71%

I
IDCBF

NT Industrial And Commercial Bank Of China Ltd Class H

0.64%

J
JDCMF

NT JD.com Inc Ordinary Shares - Class A

0.61%

B
BYDDF

NT BYD Co Ltd Class H

0.6%

-

0.6%

B
BACHF

NT Bank Of China Ltd Class H

0.54%

-

0.53%

N
NAPRF

NT Naspers Ltd Class N

0.48%

-

0.48%

-

0.47%

P
PIAIF

NT Ping An Insurance (Group) Co. of China Ltd Class H

0.44%

N
NETTF

NT NetEase Inc Ordinary Shares

0.41%

-

0.4%

-

0.39%

-

0.37%

-

0.34%

-

0.32%

Name
Weight
-

7.89%

-

6.97%

T
TCTZF

NT TENCENT HOLDINGS LTD

4.35%

B
BABAF

NT ALIBABA GROUP HOLDING LTD

2.52%

-

1.44%

1.21%

1.11%

X
XIACF

NT XIAOMI CORP CLASS B

1.1%

M
MPNGF

NT MEITUAN CLASS B

1.07%

C
CICHF

NT CHINA CONSTRUCTION BANK H

0.96%

-

0.82%

0.81%

-

0.77%

0.77%

N
NAPRF

NT NASPERS LTD N SHS

0.62%

-

0.62%

-

0.58%

I
IDCBF

NT IND + COMM BK OF CHINA H

0.57%

J
JDCMF

NT JD.COM INC CLASS A

0.56%

B
BACHF

NT BANK OF CHINA LTD H

0.56%

-

0.54%

B
BYDDF

NT BYD CO LTD H

0.53%

M
MAHMF

NT MAHINDRA + MAHINDRA SPON GDR

0.5%

N
NETTF

NT NETEASE INC

0.45%

0.44%

P
PIAIF

NT PING AN INSURANCE GROUP CO H

0.43%

-

0.41%

V
VALEVale SA

0.4%

-

0.4%

0.4%

Strategies that include

Double maintains 2 strategies that include VWO - Vanguard FTSE Emerging Markets ETF.

The Coward's Portfolio

Stocks

Low risk

$1,000

The Coward's Portfolio

William Bernstein created this portfolio and is the author of several books including The Intelligent Asset Allocator and The Four Pillars of Investing. He introduced the Coward's Portfolio in 1996. The "coward" refers not to risk tolerance but to the strategy of hedging your bets and having slices of a number of asset classes.

Top Holdings

Bktd. Return

+8.55%

Expense Ratio

0.05%

Holdings

9

David Swensen's Lazy Portfolio

Stocks

Medium risk

$1,000

David Swensen's Lazy Portfolio

David Swensen is CIO of Yale University and author of Unconventional Success. His lazy portfolio uses low-cost, tax-efficient total market funds, a healthy dose of real estate, and inflation-protected securities (TIPS).

Top Holdings

Bktd. Return

+8.42%

Expense Ratio

0.07%

Holdings

6

Create your own
strategy with

VWO
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Stock Correlation

The stocks that are correlated to VWO - Vanguard FTSE Emerging Markets ETF are BABA, PUK, BHP, SCCO, VALE

Name
Correlation
Market Cap
Return % (1 Year)
Div Yield %
72.63%$250.88B+41.67%0.94%
71.77%$25.61B+9.47%2.43%
71.32%$112.53B-25.69%5.66%
71.21%$67.21B-25.19%2.43%
V
VALEVale SA
70.73%$37.82B-23.67%0.00%
70.51%$22.56B-20.69%0.00%
70.01%$48.57B+31.51%2.78%
69.64%$69.72B-16.39%7.30%
69.56%$48.49B-33.64%1.61%
68.89%$16.78B-31.82%1.11%
67.96%$7.50B+39.12%0.00%
67.36%$1.19B-5.54%10.80%
66.11%$10.19B-18.31%2.99%
64.90%$10.52B+13.41%3.50%
64.86%$20.73B-2.35%1.93%
64.56%$35.67B+12.39%0.53%
64.36%$25.93B-18.69%2.63%
64.23%$2.44B-11.35%0.22%
63.00%$18.13B-23.74%3.89%
62.91%$5.24B+35.96%0.00%

The stocks that are correlated to SPEM - SPDR Portfolio Emerging Markets ETF are BABA, PUK, SCCO, BHP, VALE

Name
Correlation
Market Cap
Return % (1 Year)
Div Yield %
71.82%$250.88B+41.67%0.94%
71.52%$25.61B+9.47%2.43%
71.42%$67.21B-25.19%2.43%
71.04%$112.53B-25.69%5.66%
V
VALEVale SA
70.34%$37.82B-23.67%0.00%
70.14%$22.56B-20.69%0.00%
69.50%$48.57B+31.51%2.78%
69.49%$48.49B-33.64%1.61%
69.28%$69.72B-16.39%7.30%
68.91%$16.78B-31.82%1.11%
67.94%$7.50B+39.12%0.00%
66.58%$1.19B-5.54%10.80%
65.67%$10.19B-18.31%2.99%
65.32%$10.52B+13.41%3.50%
64.54%$20.73B-2.35%1.93%
64.45%$25.93B-18.69%2.63%
64.02%$35.67B+12.39%0.53%
64.01%$2.44B-11.35%0.22%
63.31%$18.13B-23.74%3.89%
62.70%$75.61B+28.76%0.68%

ETF Correlation

The ETFs that are correlated to VWO - Vanguard FTSE Emerging Markets ETF are SPEM, SCHE, EEM, IEMG, DFAE

The ETFs that are correlated to SPEM - SPDR Portfolio Emerging Markets ETF are VWO, SCHE, DFAE, EEM, IEMG

Holding Overlap

VWO - Vanguard FTSE Emerging Markets ETF and SPEM - SPDR Portfolio Emerging Markets ETF have a 133 holding overlap. Which accounts for a 68.0% overlap.

Number of overlapping holdings

133

% of overlapping holdings

68.04%

Name
Weight in VWO
Weight in SPEM
T
TCTZF

TENCENT HOLDING

4.35%4.35%
B
BABAF

ALIBABA GROUP H

3.20%2.52%
M
MPNGF

MEITUAN DIANPIN

1.31%1.07%
X
XIACF

XIAOMI CORP

1.24%1.10%
0.92%0.77%
C
CICHF

CHINA CONSTRUCT

0.91%0.96%
I
IDCBF

IND & COM BK OF

0.64%0.57%
J
JDCMF

JD.COM INC

0.61%0.56%
B
BYDDF

BYD CO LTD

0.60%0.53%
B
BACHF

BANK OF CHINA L

0.54%0.56%

News

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