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VXUS

etf74Conservative

Vanguard Total International Stock ETF

International Equity

$65.00
AUM $75.00B
Log paper trade

Snapshot

Tracks developed and emerging markets outside the US. The companion fund to VTI for global diversification.

Expense Ratio
0.07%
10Y Return
5.5%
annualized
15Y Return
6.0%
annualized
20Y Return
annualized
Yield
3.0%
Holdings
8,500
AUM
$75.00B
Turnover
4%
Tracking Err.
0.12%
Structure
Passive

Long-Term Total Return

Decade-scale view, dividends reinvested, vs. the S&P 500.

VXUS1.8×S&P 5002.4×

Growth of $10,000 invested at the start of the period, total return (price + reinvested dividends). Illustrative.

Risk Profile

Conservative

Lower volatility, steadier — capital preservation and income.

Volatility
16%
Beta
1.00
Max Drawdown
-24%
1Y Return
0%
momentum

2–5 Year Outlook

Hypothetical bear / base / bull scenarios — not a prediction.

Hypothetical 5-year scenarios for $10,000 invested today.

ScenarioAnnualizedTotal return$10,000
Bull
10%/yr total return
+10.0%/yr+61%$16,090
Base
6%/yr total return (≈ long-run trend)
+5.5%/yr+31%$13,070
Bear
-0%/yr total return
-0.1%/yr-0%$9,950

Projected from the fund's long-run total-return trend, widened by its volatility.

Hypothetical scenarios, not a forecast. These ranges are modeled from illustrative assumptions about growth and valuation — not predictions, price targets, or a recommendation to buy or sell. Real outcomes vary widely and can be negative. Not investment advice.

Technical Indicators

Objective price signals — moving averages, RSI, 52-week range — to interpret, not act on.

UptrendRSI 495% off 52W high
VXUS price50-day avg200-day avg

Illustrative daily prices (last ~9 months) with 50- and 200-day moving averages.

52W High
$68.29
52W Low
$56.87
50-day avg
$65.40
200-day avg
$62.31
  • Trading above its 50- and 200-day moving averages — a textbook uptrend.
  • RSI 49 — neutral (neither overbought nor oversold).
  • 5% below its 52-week high.
  • MACD is below its signal line (negative momentum).

Technical indicators are objective descriptions of price behavior, not signals to act on. They are computed from illustrative sample prices and say nothing about a company's value. Not investment advice.

Fund Facts

Expense ratio
0.07%
Lower compounds to more wealth over decades
30-day yield
3.0%
Holdings
8,500
Turnover
4%
Proxy for tax efficiency
Tracking error
0.12%
Structure
Passive index
Fund age 14y

Sector Exposure

  • Financials19%
  • Industrials14%
  • Technology13%
  • Consumer Disc.11%
  • Health Care9%
  • Other34%

Geographic Exposure

  • Europe39%
  • Pacific27%
  • Emerging Mkts26%
  • Other8%

Moat Analysis

4 / 5

Broad ex-US diversification at low cost; reduces home-country bias and adds exposure to different growth and valuation regimes.

Risk Factors

What could impair the long-term thesis.

  • Persistent underperformance vs. US over the past decade
  • Currency risk
  • Emerging-market governance/political risk

Hypothetical Growth

What a past investment would be worth today.

Hypothetical growth calculator

See what an investment made years ago would be worth today, vs. the S&P 500 — a Premium tool.

$9/mo or $84/yr · cancel anytime

Forward Scenario Modeler

Project a starting investment across multi-decade horizons.

Forward scenario modeler

Model conservative, base, and optimistic returns across 10–40 year horizons with Premium.

$9/mo or $84/yr · cancel anytime

Data as of 2025-12-31. Illustrative sample data for research & education — not live market data, and not a recommendation to buy or sell VXUS.