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VEIGX

Vanguard Global ESG Select Stock Fund Investor Shares
1W: -1.3% 1M: +0.2% 3M: +2.9% YTD: +14.7% 1Y: +14.2% 3Y: +63.4% 5Y: +62.4%
$45.03
+0.45 (+1.01%)
 
Weekly Expected Move ±1.6%
$43 $44 $45 $45 $46
ETF NASDAQ · AUM $1.6B
Total Changes (90d)
40
New Holdings
2
Removed Holdings
2
158 changes · Page 1 of 4
Date Holding Name Ticker Change Type Old Value New Value
2026-07-31 PGR PGR shares 106651 85307
2026-07-31 NOW NOW Removed 318535 shares —
2026-07-31 INGA.AS INGA.AS shares 1205511 1159926
2026-07-31 APH APH shares 206729 300638
2026-07-31 1299.HK 1299.HK shares 4079916 4222316
2026-07-31 PG PG shares 280131 188827
2026-07-31 WY WY shares 1492064 1534637
2026-07-31 DE DE shares 42004 40632
2026-07-31 TXN TXN shares 216280 158492
2026-07-31 MTD MTD New — 27019 shares
2026-07-31 6098.T 6098.T shares 1020269 581869
2026-07-31 NTRS NTRS shares 299244 214950
2026-07-31 MRK MRK shares 353759 287028
2026-07-31 ASML.AS ASML.AS shares 31036 26981
2026-07-31 AI.PA AI.PA shares 99322 139596
2026-07-31 OR.PA OR.PA shares 87245 70034
2026-07-31 HD HD shares 103595 115768
2026-07-31 TT TT shares 37918 44069
2026-07-31 CDNS CDNS shares 111018 119889
2026-07-31 V V shares 160400 173926
2026-07-31 MAR MAR shares 110117 67064
2026-07-31 MTB MTB shares 190133 176166
2026-07-31 ITX.MC ITX.MC shares 682797 717595
2026-07-31 FERG FERG shares 129583 132501
2026-07-31 CPG.L CPG.L shares 1442453 1464230
2026-07-31 8306.T 8306.T shares 1399228 1186228
2026-07-31 EW EW shares 550294 470039
2026-07-31 PLD PLD shares 269589 238996
2026-07-31 SU.PA SU.PA shares 118123 120683
2026-07-31 2330.TW 2330.TW shares 1019316 1259816
2026-07-31 4307.T 4307.T Removed 818033 shares —
2026-07-31 ADP ADP shares 206501 198841
2026-07-31 MSFT MSFT shares 218504 242826
2026-07-31 ANET ANET shares 323658 271748
2026-07-31 D05.SI D05.SI shares 798684 709784
2026-07-31 ML.PA ML.PA shares 1065615 983264
2026-07-31 DSFIR.AS DSFIR.AS shares 422987 441629
2026-07-31 AMD AMD New — 95447 shares
2026-07-31 DHR DHR shares 146522 214394
2026-07-31 NG.L NG.L shares 1670570 1776445
2026-06-22 DBS DBS Removed 798684 shares —
2026-06-22 D05.SI D05.SI New — 798684 shares
2026-05-02 MRK MRK shares 547397 353759
2026-05-02 ITX.MC ITX.MC shares 877276 682797
2026-05-02 SU.PA SU.PA shares 110096 118123
2026-05-02 PG PG shares 257784 280131
2026-05-02 CPG.L CPG.L shares 958940 1442453
2026-05-02 ML.PA ML.PA shares 1189258 1065615
2026-05-02 MSFT MSFT shares 194332 218504
2026-05-02 2330.TW 2330.TW shares 1135316 1019316

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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms