Compare ETFs

Compare holdings, allocations, classifications, and performance.

ETF pair

Comparison options
Performance reportCompare price performance from a chosen date
Use as benchmark
Showing cached reports.

VEA: generated Aug 1, 2026, 7:00 AM (as of 2026-06-30); FWD: generated Jul 31, 2026, 9:24 PM (as of 2026-05-31).

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VEA vs FWD

Current snapshot · Historical snapshot

Portfolio statistics

VEA

Largest holding
005930 · 3.119%
Top 10 concentration
12.92%
Gross exposure
12.92%
Net exposure
12.92%

FWD

Largest holding
AVGO · 3.025%
Top 10 concentration
15.92%
Gross exposure
15.92%
Net exposure
15.92%

Holdings overlap

Based on returned holdings.

ETF A
VEA
Snapshot
2026-06-30
Returned holdings
10
Largest position
005930 · 3.119%
1.369%weighted overlap
ETF B
FWD
Snapshot
2026-05-31
Returned holdings
10
Largest position
AVGO · 3.025%
Holdings universe15 distinct mapped tickers in the returned rows
1 shared
Only VEA 7Shared 1Only FWD 7

Largest allocation differences

005930Samsung Electronics Co Ltd3.119% gap
3.119%0.000%
AVGOBroadcom Inc3.025% gap
0.000%3.025%
000660SK hynix Inc2.979% gap
2.979%0.000%
AMDAdvanced Micro Devices Inc2.685% gap
0.000%2.685%
NVDANVIDIA Corp1.975% gap
0.000%1.975%
TSMTaiwan Semiconductor Manufacturing Co Ltd1.955% gap
0.000%1.955%
CATCaterpillar Inc1.778% gap
0.000%1.778%
LRCXLam Research Corp1.665% gap
0.000%1.665%

Portfolio composition

Based on classified holdings in the returned results.

No classification data available.

Valuation multiples

Weighted valuation multiples by ETF
Weighted multipleVEAFWD
P/E
N/A0/10 valued
N/A0/10 valued
P/B
N/A0/10 valued
N/A0/10 valued
P/S
N/A0/10 valued
N/A0/10 valued

No valuation data available for these holdings.

Holdings details

Shared holdings

1
TickerCompanyVEA weightFWD weightAbsolute difference
ASMLASML Holding NV2.327%1.369%0.958%