Vanguard MSCI Index International Shares ETF logo

Vanguard MSCI Index International Shares ETF (VGS)

Market Closed
CXA CXA
- Market Cap
0.68% Div Yield
31,099 Volume
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Summary

VGS pays dividends to its shareholders, with the most recent payment made on Apr 07, 2026.
The stock of the company had never split.
The company's stock is traded on 2 different exchanges and in various currencies, with the primary listing on CXA (AUD).

Vanguard MSCI Index International Shares ETF (VGS) FAQ

On which exchange is it traded?

Vanguard MSCI Index International Shares ETF is listed on CXA.

What is its stock symbol?

The ticker symbol is VGS.

Does it pay dividends? What is the current yield?

Yes, It pays dividends and the current yield is 0.68%.

What is its market cap?

As of today, no market cap data is available.

Has Vanguard MSCI Index International Shares ETF ever had a stock split?

No, there has never been a stock split.

Vanguard MSCI Index International Shares ETF Profile

CXA Exchange
US Country

Overview

The presented fund operates within the financial industry, providing a diversified investment strategy by allocating its assets between equity and debt securities. This balanced approach is designed to mitigate risk while seeking returns from both asset classes. Investment decisions are based on a comprehensive assessment of the risks and returns inherent in the equity and debt markets. The fund adheres to a flexible allocation strategy, ensuring that at any given time, its investments in each asset class range within specific proportions. This ensures a balanced exposure to the different segments of the market, aligning with the fund's investment objective of achieving a blend of income generation and capital appreciation. The strategy is crafted to adapt to varying market conditions, maintaining a minimum and a maximum allocation to each asset class to preserve the fund's ability to meet its investment objectives under normal circumstances.

Products and Services

  • Equity Securities Investment

    As part of its investment strategy, the fund invests between 35% and 65% of its net assets in equity securities, with the possibility of stretching this allocation to 25-75% under normal circumstances. This approach allows the fund to capitalize on the growth potential of the stock market while maintaining a flexible stance to adjust its equity exposure in line with market conditions and investment opportunities. Equity investments are selected based on a rigorous assessment of potential returns versus risks, with the aim of contributing to the fund's overall performance while managing volatility.

  • Debt Securities Investment

    In addition to equity securities, the fund allocates a similar proportion of its assets to debt securities, including cash and cash equivalents. This allocation is also maintained within the 35-65% range, optionally adjusted to 25-75% depending on the fund's assessment of the debt market's risk-return profile. Investing in debt securities provides the fund with income generation opportunities and adds a layer of risk diversification. The selection of debt instruments is guided by an analysis of credit risks, interest rate movements, and other factors that influence the debt market's dynamics.

  • Asset Allocation Strategy

    The fund's core strategy centers on its dynamic asset allocation between equity and debt securities. This strategic distribution of assets is based on an ongoing assessment of the relative risks and returns of the equity and debt markets. By adjusting its allocation thresholds within the defined ranges (25-75% for both asset classes), the fund aims to optimize its risk-adjusted returns. This balanced approach is designed to respond effectively to financial market fluctuations, ensuring that the fund remains positioned to achieve its dual objectives of income generation and capital appreciation over the long term.

Contact Information

Address: 290 Congress Street
Phone: 800-345-6611