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VWIGX

Vanguard International Growth Fund Investor Shares
1W: -2.3% 1M: -10.1% 3M: -9.0% YTD: -10.0% 1Y: -0.3% 3Y: +19.2% 5Y: -9.3%
$34.07
-0.23 (-0.67%)
 
Weekly Expected Move ±4.0%
$30 $31 $33 $34 $35
ETF NASDAQ · AUM $45.0B
ETF-Level Metrics
AUM$45.0B
Holdings116
Top 10 Wt33.4%
Beta1.15
% Profitable80%
Coverage95%
Portfolio Valuation
P/E12.2
P/B2.5
P/S3.7
EV/EBITDA14.2
P/FCF12.9
PEG0.41
Profitability & Returns
Gross Margin62.3%
Net Margin30.0%
ROE21.2%
ROA3.5%
ROIC26.6%
Div Yield1.11%
Leverage & Liquidity
Debt/Equity0.55
Debt/Assets0.09
Net Debt/EBITDA-1.4x
Interest Cov4.0x
Current Ratio0.27
Quick Ratio0.26
Growth (YoY)
Revenue+26.7%
Net Income+48.0%
EPS+49.5%
FCF+34.3%
EBITDA+43.0%
Rev CAGR 3Y+25.3%
Quality Scores
Piotroski F6.8
Altman Z10.86
IS Quality77.3
IS Overall67.2
IS Value46.3
Median P/E24.3

Sector Breakdown

11 sectors
Sector # Holdings Total Weight % Avg P/E
Technology 23 27.7% 37.1
Consumer Cyclical 19 21.4% 31.1
Industrials 19 12.2% 29.3
Financial Services 16 11.0% 13.3
Healthcare 19 9.3% 20.9
Communication Services 7 9.1% 18.9
Consumer Defensive 9 5.2% 27.4
Other 10 1.6%
Energy 3 1.5% 17.3
Basic Materials 2 0.6% 57.5
Utilities 1 0.4% 21.6

Smart Money Overlap

0 holdings with signals
No holdings with active convergence signals
Showing 50 of 128 holdings · Page 1 of 3
# Name Ticker Weight % ▼ Mkt Value Shares P/E Mkt Cap Sector
1 Taiwan Semiconductor Manufacturing Co Ltd 2330.TW 6.21% $92.4M 75,441,000 27.3 $46.9T Technology
2 MercadoLibre Inc MELI 4.69% $2.1B 862,314 43.6 $87.0B Consumer Cyclical
3 Sea Ltd SE 4.07% $1.9B 9,931,780 31.2 $48.7B Consumer Cyclical
4 Spotify Technology SA SPOT 3.76% $1.7B 2,511,599 39.5 $100.7B Communication Services
5 ASML Holding NV ASML.AS 3.10% $1.6B 1,899,202 46.7 $450.6B Technology
6 Adyen NV 1N8.DE 2.91% $1.5B 788,035 25.1 $26.6B Technology
7 BYD Co Ltd 81211.HK 2.30% $134.5M 74,323,500 $822.7B Industrials
8 NU Holdings Ltd/Cayman Islands NU 2.25% $1.0B 69,087,281 23.9 $68.4B Financial Services
9 Tencent Holdings Ltd 80700.HK 2.10% $122.3M 12,313,800 17.4 $3.9T Communication Services
10 Coupang Inc CPNG 1.98% $901.8M 31,553,694 165.6 $34.6B Consumer Cyclical
11 NVIDIA Corp NVDA 1.87% $852.9M 4,896,566 35.9 $4.3T Technology
12 Advantest Corp ADTTF 1.79% $5.5M 10,641,100 54.3 $97.2B Technology
13 Atlas Copco AB ATCO-A.ST 1.57% $75.6M 44,798,549 30.7 $810.3B Industrials
14 Ferrari NV RACE.SW 1.55% $823.7M 1,479,428 32.8 $27.9B Consumer Cyclical
15 DSV A/S DSV.CO 1.47% $104.6M 3,009,403 46.1 $373.1B Industrials
16 RELX PLC REN.AS 1.43% $880.0M 13,938,895 22.2 $52.1B Communication Services
17 Keyence Corp KYCCF 1.42% $4.4M 1,699,700 33.5 $88.2B Technology
18 WiseTech Global Ltd WTC.AX 1.37% $406.8M 9,382,495 51.1 $12.7B Technology
19 Hermes International SCA RMS.VI 1.33% $710.3M 247,915 38.6 $171.2B Consumer Cyclical
20 Wise PLC WISE.L 1.28% $788.9M 40,970,054 24.8 $9.3B Technology
21 Vanguard Cmt Funds-Vanguard Market Liquidity Fund Private 1.28% $582.6M 582,621,439
22 PDD Holdings Inc PDD 1.28% $581.7M 4,838,216 9.8 $141.5B Consumer Cyclical
23 HDFC Bank Ltd HDFCBANK.NS 1.22% $6.3M 51,463,518 16.2 $11.6T Financial Services
24 Shopify Inc SHOP 1.21% $548.7M 3,883,744 124.8 $154.3B Technology
25 Galderma Group AG GALD.SW 1.18% $669.4M 3,058,221 73.8 $36.7B Consumer Defensive
26 Microsoft Corp MSFT 1.09% $496.0M 978,846 23.3 $2.8T Technology
27 SAP SE SAP.DE 1.07% $571.9M 1,795,994 23.7 $173.8B Technology
28 Meituan 83690.HK 1.03% $60.1M 35,172,468 -19.2 $428.1B Consumer Cyclical
29 L'Oreal SA OR.SW 1.02% $543.6M 995,181 31.2 $193.6B Consumer Defensive
30 AIA Group Ltd 1299.HK 1.01% $59.2M 48,551,000 18.5 $901.7B Financial Services
31 EXOR NV EXO.MI 0.98% $523.8M 4,467,739 Consumer Cyclical
32 Shell PLC SHELL.AS 0.94% $497.7M 11,500,265 15.0 $228.3B Energy
33 Mitsubishi UFJ Financial Group Inc MBFJF 0.92% $2.8M 27,424,500 16.3 $205.3B Financial Services
34 Novo Nordisk A/S NOVO-B.CO 0.91% $65.0M 7,343,697 10.3 $1.1T Healthcare
35 Roche Holding AG ROG.SW 0.88% $498.3M 1,222,709 19.7 $256.6B Healthcare
36 Banco Bilbao Vizcaya Argentaria SA BOY.DE 0.82% $439.0M 20,620,147 10.8 $106.7B Financial Services
37 Argenx SE ARGX.BR 0.81% $433.2M 520,059 40.6 $40.1B Healthcare
38 Erste Group Bank AG EBS.VI 0.80% $426.3M 3,827,980 11.0 $36.5B Financial Services
39 Disco Corp DISPF 0.77% $2.4M 1,278,400 54.2 $42.7B Technology
40 Sony Group Corp SONYN.MX 0.74% $2.3M 12,399,500 -93.6 $2.2T Technology
41 Contemporary Amperex Technology Co Ltd 300750.SZ 0.73% $46.7M 7,761,500 24.3 $1.7T Industrials
42 MakeMyTrip Ltd MMYT 0.73% $329.9M 3,341,072 68.6 $3.8B Consumer Cyclical
43 AstraZeneca PLC ZEG.DE 0.72% $445.1M 2,065,698 30.2 $249.2B Healthcare
44 Bayerische Motoren Werke AG BMW.DE 0.72% $384.6M 3,141,893 6.6 $48.1B Consumer Cyclical
45 Sartorius AG SRT3.DE 0.69% $366.8M 1,349,736 94.6 $14.7B Healthcare
46 Toronto-Dominion Bank/The TDBKF 0.66% $217.9M 3,985,502 10.2 $31.1B Financial Services
47 Schneider Electric SE SU.PA 0.63% $336.8M 1,171,794 31.9 $132.8B Industrials
48 Legrand SA LR.PA 0.58% $311.1M 1,746,141 28.5 $35.6B Industrials
49 Cie Financiere Richemont SA CFR.SW 0.58% $330.4M 1,510,087 22.2 $84.0B Consumer Cyclical
50 Haleon PLC HLN.L 0.58% $354.9M 53,354,292 32.6 $33.2B Healthcare

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