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Vanguard FTSE Emerging Markets ETF
As of May 30, 2026 at 09:15 UTC
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About Vanguard FTSE Emerging Markets ETF
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Latest News
5 articlesSouth Korea's stock market has surged 55% year-to-date, driven primarily by semiconductor giants Samsung Electronics and SK Hynix capitalizing on AI-driven demand for memory chips. However, ETF investors should be aware that Korea ETFs like EWY are heavily concentrated bets on semiconductors rather than diversified country exposure. To mitigate concentration risk, investors are considering broader emerging market ETFs (EEM, VWO) or developed market alternatives (VEA, EFA), as well as single-country alternatives like Japan's EWJ.
The Nasdaq-100 has gained 17.4% since March 30 despite ongoing Iran war concerns, as investors show strong risk appetite and move past worst-case scenarios. Tech stocks are rallying due to minimal direct impact from Middle East disruptions, fading AI-driven SaaS concerns, and broader market recovery across global equities and emerging markets.
The article recommends a diversified five-ETF portfolio for long-term buy-and-hold investors: VOO (S&P 500 exposure), IWM (small-cap stocks), IXUS (international developed markets), VWO (emerging markets), and AGG (bonds). This simple, passive approach emphasizes low expense ratios and diversification across asset classes and geographies to reduce volatility and provide lifetime holding potential.
Forefront Analytics, LLC increased its holding in iShares ESG Aware MSCI EM ETF (ESGE) by 165,743 shares, bringing its total stake to 363,728 shares valued at $16.07 million. The position now represents 14.18% of the firm's 13F reportable assets. ESGE shares have appreciated 40% over the past year, outperforming the S&P 500 by 29 percentage points.
The S&P 500 has significantly underperformed global stock markets, lagging by 9 percentage points year-to-date and 25 percentage points since Trump took office in January 2025. International stocks have benefited from cheaper valuations, dollar devaluation, and concerns about Trump's trade policies hurting the U.S. economy. Goldman Sachs forecasts the S&P 500 will return 6.5% annually over the next decade, while emerging markets are expected to outperform substantially.