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VWIGX

Vanguard International Growth Fund Investor Shares
1W: -1.6% 1M: -3.7% 3M: -1.0% YTD: +4.8% 1Y: -2.0% 3Y: +46.8% 5Y: -4.1%
$38.50
+0.36 (+0.94%)
 
Weekly Expected Move ±1.9%
$37 $37 $38 $39 $40
ETF NASDAQ · AUM $44.5B
ETF-Level Metrics
AUM$44.5B
Holdings116
Top 10 Wt31.0%
Beta1.09
% Profitable80%
Coverage87%
Portfolio Valuation
P/E9.5
P/B3.7
P/S4.7
EV/EBITDA8.3
P/FCF13.2
PEG0.19
Profitability & Returns
Gross Margin72.8%
Net Margin49.1%
ROE48.7%
ROA20.9%
ROIC39.2%
Div Yield1.33%
Leverage & Liquidity
Debt/Equity0.16
Debt/Assets0.07
Net Debt/EBITDA-0.6x
Interest Cov32.7x
Current Ratio2.55
Quick Ratio2.23
Growth (YoY)
Revenue+30.5%
Net Income+40.3%
EPS+43.8%
FCF+29.1%
EBITDA+43.5%
Rev CAGR 3Y+25.2%
Quality Scores
Piotroski F6.2
Altman Z10.20
IS Quality74.0
IS Overall63.2
IS Value51.1
Median P/E19.9

Sector Breakdown

12 sectors
Sector # Holdings Total Weight % Avg P/E
Technology 23 28.4% -10.5
Consumer Cyclical 19 17.6% 23.9
Industrials 18 13.2% 30.6
Financial Services 17 12.9% 12.5
Healthcare 19 11.3% 0.6
Communication Services 7 6.2% 22.4
Consumer Defensive 7 3.9% 22.9
Other 10 2.1% —
Energy 3 1.5% 14.0
Basic Materials 3 1.4% 11.9
Real Estate 1 1.0% -7.5
Utilities 1 0.5% 22.5

Smart Money Overlap

1 holdings with signals
Symbol Company Weight % Signals Badge Insider Buys Congress Since Signal
TEAM Atlassian Corporation 0.40% 3 Bullish 0 2 +206.5%
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 TSMWF 7.52% $108.4M 54,208,000 — $447.1B Technology
2 ASML Holding NV ASML.AS 3.94% $2.1B 1,218,469 60.0 $637.1B Technology
3 MercadoLibre Inc MLB1.DE 3.05% $1.4B 779,712 46.2 $75.9B Consumer Cyclical
4 Spotify Technology SA SPOT 2.72% $1.2B 2,377,533 25.8 $97.2B Communication Services
5 Advantest Corp 6857.T 2.67% $7.7M 6,930,200 61.0 $28.0T Technology
6 Sea Ltd SE 2.60% $1.2B 10,771,712 35.1 $57.1B Consumer Cyclical
7 Atlas Copco AB ATLPF 2.22% $110.6M 46,416,941 38.4 $100.1B Industrials
8 NU Holdings Ltd/Cayman Islands NU 2.14% $962.7M 64,262,851 18.1 $65.0B Financial Services
9 Keyence Corp 6861.T 2.09% $6.0M 2,225,900 39.6 $19.5T Technology
10 Tencent Holdings Ltd 80700.HK 2.01% $115.4M 13,724,800 13.9 $3.3T Communication Services
11 Adyen NV ADYEN.AS 1.91% $1.0B 730,994 24.1 $27.1B Technology
12 Vanguard Cmt Funds-Vanguard Market Liquidity Fund Private — 1.88% $844.6M 844,721,406 — — —
13 BYD Co Ltd 81211.HK 1.85% $106.1M 68,856,900 — $669.0B Consumer Cyclical
14 DSV A/S DSV.CO 1.79% $127.5M 3,122,466 41.4 $286.2B Industrials
15 Disco Corp 6146.T 1.71% $4.9M 1,595,000 44.8 $6.5T Technology
16 AIA Group Ltd 81299.HK 1.56% $89.4M 63,397,000 11.6 $625.6B Financial Services
17 SK hynix Inc 000660.KS 1.40% $436,077 848,601 8.0 $1306.8T Technology
18 Roche Holding AG ROG.SW 1.36% $796.3M 1,286,505 19.9 $256.6B Healthcare
19 RELX PLC REN.AS 1.27% $767.0M 16,291,328 20.1 $51.9B Industrials
20 Hermes International SCA RMS.VI 1.24% $659.1M 232,083 30.2 $136.4B Consumer Cyclical
21 Coupang Inc CPNG 1.24% $555.8M 29,130,659 -31.7 $24.8B Consumer Cyclical
22 Galderma Group AG GALD.SW 1.20% $698.8M 2,847,220 47.4 $37.4B Healthcare
23 L'Oreal SA OR.SW 1.17% $622.9M 1,125,115 31.5 $247.6B Consumer Defensive
24 Ferrari NV RACE.SW 1.14% $604.9M 1,354,937 35.7 $27.9B Consumer Cyclical
25 Wise PLC 6WS.SG 1.10% $666.8M 42,704,541 28.3 $15.6B Technology
26 Contemporary Amperex Technology Co Ltd 300750.SZ 1.09% $71.4M 9,843,700 15.6 $1.3T Industrials
27 HDFC Bank Ltd HDFCBANK.NS 1.04% $5.2M 48,005,348 14.0 $11.1T Financial Services
28 PDD Holdings Inc PDD 1.04% $465.9M 4,491,188 7.6 $107.3B Consumer Cyclical
29 AstraZeneca PLC ZEG.DE 0.99% $602.0M 2,122,759 23.4 $249.2B Healthcare
30 Shopify Inc 0DK7.L 0.96% $433.7M 3,592,439 16.9 $362M Financial Services
31 NVIDIA Corp 0QOJ.L 0.95% $428.9M 2,420,545 -7.5 $245M Real Estate
32 Sartorius AG SUVPF 0.95% $506.4M 1,514,051 88.8 $19.1B Healthcare
33 VAT Group AG VTTGF 0.93% $545.1M 594,276 100.9 $18.2B Industrials
34 Shell PLC SHELL.AS 0.87% $462.5M 9,420,886 10.4 $236.4B Energy
35 MS&AD Insurance Group Holdings Inc 8725.T 0.85% $2.4M 13,680,100 7.9 $6.9T Financial Services
36 EXOR NV EXO.MI 0.82% $437.7M 4,221,387 — — Consumer Cyclical
37 Samsung Electronics Co Ltd SSNLF 0.82% $256,887 2,469,555 12.2 $843.1B Technology
38 Argenx SE ARGNF 0.82% $434.8M 475,698 33.3 $58.2B Healthcare
39 Banco Bilbao Vizcaya Argentaria SA BOY.DE 0.82% $432.9M 15,819,658 12.3 $131.2B Financial Services
40 Mitsubishi UFJ Financial Group Inc 8306.T 0.80% $2.3M 19,422,600 14.9 $40.0T Financial Services
41 Microsoft Corp 4338.HK 0.78% $350.0M 891,102 11.3 $24.7T Technology
42 SAP SE SAP.DE 0.77% $410.4M 1,728,785 26.8 $212.3B Technology
43 Toronto-Dominion Bank/The TDBKF 0.76% $249.5M 3,493,174 3.1 $31.1B Financial Services
44 Schneider Electric SE SU.PA 0.76% $401.9M 1,040,885 36.0 $170.8B Industrials
45 Meituan MPNGF 0.73% $42.0M 31,947,868 -9.5 $55.5B Consumer Cyclical
46 Moderna Inc 0QF.F 0.71% $319.7M 5,967,346 -23.8 $66.4B Healthcare
47 Legrand SA LR.PA 0.68% $359.7M 1,680,797 28.8 $37.9B Industrials
48 Haleon PLC HLN.L 0.67% $404.1M 54,633,321 18.1 $28.9B Healthcare
49 WiseTech Global Ltd WTCHF 0.64% $206.3M 8,562,314 42.9 $7.4B Technology
50 Beiersdorf AG BEI.SW 0.64% $340.0M 2,274,530 17.5 $15.8B Consumer Defensive

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