VEA · VEA

73.76+0.32  (+0.44%)

Price

Snapshot

50 fields · last close
Market Cap
P/E
Float
Beta0.87
Volatility21.8%
Exchange
Sector
Cap tier
Macro sensitivityModerate
Clavix score85
Price73.76
Change+0.44%
Prev Close73.44
Open73.20
Day Low72.91
Day High73.56
Avg Vol9
Avg $ Vol$683.3M
52W High74.04
52W Low58.10
52W Pos98.3%
From High−0.37%
From Low+26.95%
Max DD 1Y−11.78%
Spread0.10%
LiquidityDeep
SMA 20+0.94%
SMA 50+3.02%
SMA 200+8.85%
RSI (14)57.1
Vol 30D14.7%
Vol 90D19.1%
1Y Range58–74
Daily bars506
Perf Week+0.03%
Perf Month+1.51%
Perf Quarter+2.23%
Perf Half Y+11.63%
Perf Year+25.93%
Perf YTD+16.71%
Prev Day+0.44%
ClavixA-
Debt / Eq
Curr Ratio
Int Cover
FCF Margin
Rev Growth
ProfitMixed
LeverageModerate
Sector rank

What VEA does

VEA is an equity ETF with a total of 3881 individual holdings. The top holdings are Samsung Electronics stock at 3.01%, SK hynix at 2.57%, ASML Holding at 1.91%, Slbbh1142 at 1.29%, and HSBC Holdings at 0.98%.

Clavix risk grade

regraded every trading day
A-85/100

VEA grades A-, 85 of 100. Steadiest on Sector Resilience (91), most exposed on News Sentiment (53, mixed). 2 of the 4 weighted dimensions sit above the all-names median.

PriceMacroSectorNewsFinancial

How rough the ride is

VEA
Betavs the overall market · lower is steadier0.87
Volatilityannualized21.8%
Max drawdown, past yearworst peak-to-trough fall−11.8%
Typical daily movemedian absolute daily change0.61%
Days beyond ±3%of the last 252 sessions83%

How its days are spread

Daily returns over the last 252 sessions in 1% bins. Moves beyond ±6% land in the end bins.

52-week range

VEA
73.44

The bar runs from the lowest to the highest close of the last 252 sessions; the marker is the latest close.

Drawdown from the 1-year peak

VEA

Percent below the running high over the last 12 months. Zero is a fresh high.

Market sensitivity

VEA
Beta to the markethow much it swings with the S&P 500 · lower is safer0.87
Macro sensitivityrate, dollar and credit exposure bucketModerate

Where it sits on the macro scale

LowModerateHighVery High

Low means rates, the dollar and credit spreads barely move it. Very High means they drive a large share of its swings.

Where it ranks in its sector

Sector
—
VEAno rank

Rank by Clavix score within the sector. Right is the top of the sector.

Price performance

VEA
1 week+0.0%
1 month+1.5%
Year to date+16.7%
1 year+25.9%

Context for the rank, not itself a risk measure.

Recent coverage, scored

VEA
Articles scoredthe most recent scored coverage, up to 3022since 15 Jun
Average score0 most bearish, 100 most bullish57
Bullish · bearisharticles above 60 · below 406 · 0
Directionarticles whose tone is improving vs worsening6 ↑ 0 ↓

Where the article scores land

Each bar is a 10-point band of article scores. Below 40 reads bearish, above 60 bullish.

Growth

VEA
Revenue growthyear over year

Financial Health is shown but does not count toward the grade. Why

0–100, higher is safer. The tick on each bar is the all-names median. Click a dimension for the evidence behind it. Financial Health is shown but does not count toward the grade.

Recent news

most recent scored articles · the chip is the article’s score · click to open

Pacific Excel Wealth Advisors raised its stake in the Vanguard FTSE Developed Markets ETF (VEA) by 4,614.8% in the second quarter, ending the period with 168,696 shares. The article text is truncated and provides no further details.

Source tickerreport.com Significance moderate Impact financial impact Risk neutral

Read the article →

VEA, a basket of international developed-market stocks, is trading at a discount relative to its own historical valuation, though the article questions whether underlying earnings support the lower price.

Source trefis.com Significance moderate Impact financial impact Risk neutral

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Northeast Investment Management increased its stake in Vanguard FTSE Developed Markets ETF (VEA) by 11.0% during Q1, purchasing an additional 48,140 shares to bring total holdings to 484,270 shares, as disclosed in an SEC filing.

Source tickerreport.com Significance moderate Impact financial impact Risk improving

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Parker Financial LLC reduced its stake in Vanguard FTSE Developed Markets ETF (VEA) by 2.1% in Q1, selling 17,533 shares and leaving it with 799,373 shares, according to its 13F filing with the SEC.

Source tickerreport.com Significance minor Impact financial impact Risk neutral

Read the article →

Unique Wealth LLC boosted its stake in Vanguard FTSE Developed Markets ETF (VEA) by 43.9% during the first quarter, purchasing an additional 22,236 shares to bring its total holdings to 72,837 shares.

Source tickerreport.com Significance minor Impact financial impact Risk neutral

Read the article →

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