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VIGI | Vanguard International Dividend Appreciation Index Fund ETF Holdings

(Stock Exchange: NASDAQ)
Symbol Name Market Cap Weight Valuation Profitability Growth Health 200SMA Price Change IV IV Rank
ROG.SW Roche Holding AG 4.60%
SAPGF SAP SE 4.40%
NOVC.DE Novo Nordisk A/S Class B 4.19%
NOVN.SW Novartis AG 4.08%
NESN.SW Nestle SA 3.69%
SBGSF Schneider Electric SE 2.89%
RELIANCE.NS Reliance Industries Ltd. 2.77%
SNYNF Sanofi SA 2.56%
6758.T Sony Group Corp. 2.47%
6501.T Hitachi Ltd. 2.23%
8316.T Sumitomo Mitsui Financial Group Inc. 2.12%
RLXXF RELX plc 2.01%
4063.T Shin-Etsu Chemical Co. Ltd. 1.98%
8058.T Mitsubishi Corp. 1.92%
INFY.NS Infosys Ltd. 1.76%
8766.T Tokio Marine Holdings Inc. 1.73%
CNQ Canadian Natural Resources Limited 71.71B 1.70%
33.79 2.82% 27.25% 32.55%
1299.HK AIA Group Ltd. 1.68%
BN.TO Brookfield Corp. Class A 1.59%
DGEAF Diageo plc 1.54%
CNI Canadian National Railway Company 74.66B 1.48%
118.60 1.37% 21.28% 41.21%
BAESF BAE Systems plc 1.13%
LDNXF London Stock Exchange Group plc 1.09%
SKFOF Sika AG 1.09%
ATD.TO Alimentation Couche-Tard Inc. 1.00%
6981.T Murata Manufacturing Co. Ltd. 0.94%
WOLTF Wolters Kluwer NV 0.93%
GIVN.SW Givaudan SA 0.87%
DBOEF Deutsche Boerse AG 0.87%
BBCA.JK Bank Central Asia Tbk PT 0.78%
AHT.L Ashtead Group plc 0.73%
IFC.TO Intact Financial Corp. 0.72%
DSV.CO DSV A/S 0.72%
9432.T Nippon Telegraph & Telephone Corp. 0.71%
6702.T Fujitsu Ltd. 0.70%
ASSA-B.ST Assa Abloy AB Class B 0.67%
4901.T FUJIFILM Holdings Corp. 0.66%
PGPHF Partners Group Holding AG 0.66%
HINDUNILVR.NS Hindustan Unilever Ltd. 0.64%
3382.T Seven & i Holdings Co. Ltd. 0.63%
4519.T Chugai Pharmaceutical Co. Ltd. 0.62%
4543.T Terumo Corp. 0.60%
DOL.TO Dollarama Inc. 0.58%
FNV Franco-Nevada Corporation 24.33B 0.55%
126.45 2.03% 28.87% 14.79%
8630.T Sompo Holdings Inc. 0.50%
QSR Restaurant Brands International Inc. 22.38B 0.49%
70.59 1.94% 24.94% 42.41%
HEXA-B.ST Hexagon AB Class B 0.48%
GEBN.SW Geberit AG 0.47%
4503.T Astellas Pharma Inc. 0.47%
FTS Fortis Inc. 22.15B 0.46%
44.72 -0.40% 37.46% 32.60%
4452.T Kao Corp. 0.45%
UCB.BR Ucb SA 0.45%
600519.SS Kweichow Moutai Co. Ltd. Class A 0.44%
035420.KS NAVER Corp. 0.42%
SDZ.SW Sandoz Group AG 0.42%
2502.T Asahi Group Holdings Ltd. 0.42%
EVO.ST Evolution AB 0.42%
L.TO Loblaw Cos. Ltd. 0.40%
ITC.NS ITC Ltd. 0.40%
AMXB America Movil SAB de CV Class B 0.38%
SY1.DE Symrise AG Class A 0.37%
ASIANPAINT.NS Asian Paints Ltd. 0.37%
1928.T Sekisui House Ltd. 0.37%
BAM.TO Brookfield Asset Management Ltd. Class A 0.36%
CBHD.DE Coloplast A/S Class B 0.36%
8830.T Sumitomo Realty & Development Co. Ltd. 0.35%
8113.T Unicharm Corp. 0.33%
LOGI Logitech International S.A. 13.35B 0.32%
87.25 1.82% 26.65% 33.16%
KYGA.L Kerry Group plc Class A 0.32%
BNZL.L Bunzl plc 0.32%
4307.T Nomura Research Institute Ltd. 0.31%
7532.T Pan Pacific International Holdings Corp. 0.31%
SGGEF Sage Group plc 0.31%
LDSVF Chocoladefabriken Lindt & Spruengli AG 0.31%
MRU.TO Metro Inc./CN 0.30%
HLMA.L Halma plc 0.29%
6988.T Nitto Denko Corp. 0.28%
TFII TFI International Inc. 12.80B 0.28%
151.27 2.93% 30.65% 45.69%
COCXF Chocoladefabriken Lindt & Spruengli AG 0.27%
4507.T Shionogi & Co. Ltd. 0.27%
MGA Magna International Inc. 12.26B 0.26%
42.66 3.29% 34.33% 51.64%
IMO Imperial Oil Limited 36.79B 0.26%
68.67 2.58% 31.11% 36.65%
FPH.NZ Fisher & Paykel Healthcare Corp. Ltd. 0.25%
CARL-B.CO Carlsberg AS Class B 0.24%
9843.T Nitori Holdings Co. Ltd. 0.24%
NST.AX Northern Star Resources Ltd. 0.24%
BNR.DE Brenntag SE 0.23%
CPU.AX Computershare Ltd. 0.23%
STN Stantec Inc. 9.23B 0.22%
80.89 2.41% 41.24% 42.33%
4684.T Obic Co. Ltd. 0.22%
9613.T NTT Data Group Corp. 0.20%
WN.TO George Weston Ltd. 0.20%
RHHBF Roche Holding AG (Bearer) 0.20%
3231.TW Wistron Corp. 0.19%
SHL.AX Sonic Healthcare Ltd. 0.19%
SPX.L Spirax Group plc 0.19%
CAR.AX CAR Group Ltd. 0.19%
OTEX Open Text Corporation 8.78B 0.19%
32.74 2.89% 26.65% 24.62%
X.TO TMX Group Ltd. 0.19%
CCL-B.TO CCL Industries Inc. Class B 0.18%
Total holdings: 335 Recognized Stocks: 12 Others: 323
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