Data as of:
brimindinvest.com / compare / veu-vs-vxusLIVE
VEU
Vanguard FTSE All-World ex-US ETF · ETF
$84.51
+0.09% this month
VERSUS
COMPARE
VXUS
Vanguard Total International Stock ETF · ETF
$86.50
+0.07% this month
Comparison scoreboard
VEU LEADS 3/5
Exp. Ratioi
VEU 0.04%
VXUS 0.05%
1Y Returni
VEU +21.44%
VXUS +20.82%
Div. Yieldi
VEU 2.48%
VXUS 2.51%
AUMi
VEU $98.64B
VXUS $665.69B
Betai
VEU 0.80
VXUS 0.80
Metrics last refreshed: 9/18/2026
Quick take

VEU vs VXUS Stock Comparison: AI Score, Valuation, Performance and Upside

ShareXLinkedInRedditFacebookWhatsApp

VEU and VXUS both target global ex-us equity exposure but take different paths to get there — VEU via the FTSE All-World ex US Index, and VXUS via the FTSE Global All Cap ex US Index. The practical differences come down to issuer, cost structure, and the specific index rules each fund follows, since both are pursuing a similar investment outcome.

VEU vs VXUS is largely a question of which issuer and index methodology you trust more for global ex-us equity exposure — the underlying investment case is similar, so cost, liquidity, and tracking precision tend to be the deciding factors.

Live analysis · updated 9/18/2026

VEU holds the edge across 3 of 5 key metrics in this comparison. VEU has delivered stronger 1-year price return (+21.44% vs +20.82% for VXUS).

Normalized 1Y performance
VEU
VXUS
Recent returns
VEU
VXUS
Who should consider this stock?
VEU may suit investors who:
  • want one-fund exposure to the entire world outside the US
  • prefer Vanguard's approach and fund lineup
  • value combines developed and emerging markets in a single low-cost fund
  • are comfortable with less precise control over developed-vs-emerging mix than separate funds
VXUS may suit investors who:
  • want the single most complete way to hold every non-US stock in one fund
  • prefer Vanguard's approach and fund lineup
  • value broadest international stock coverage of any single fund, including small-caps
  • are comfortable with emerging-market and small-cap components add volatility
Performance & AI score
Performance & AI score
MetricVEUVXUS
ETF scorei79.078.0
Latest closei$84.51$86.50
1M returni+0.09%+0.07%
6M returni+13.05%+12.74%
1Y returni+21.44%+20.82%

The ETF score weights long-term returns and risk-adjusted performance most heavily, but still rewards low expense ratios, larger fund size, and broader diversification — so it can favor low-cost, broad, mega-cap funds over smaller thematic or actively-managed funds even when the latter have delivered stronger returns.

$10,000 invested — hypothetical growth (dividends reinvested)

How much would $10,000 be worth today if invested at the start of each period, with all dividends reinvested?

$10,000 invested — hypothetical growth (dividends reinvested)
PeriodVEUVXUS
1Y ago$12.49K (+24.9%)
started 2025-09-17
$12.43K (+24.3%)
started 2025-09-17
5Y ago$18.53K (+85.3%)
started 2021-09-17
$18.33K (+83.3%)
started 2021-09-17
10Y ago$35.36K (+253.6%)
started 2016-09-19
$34.91K (+249.1%)
started 2016-09-19

Hypothetical — past performance does not guarantee future results.

Fund characteristics
Fund characteristics
MetricVEUVXUS
Expense ratioi0.04%0.05%
Total assets (AUM)i$98.64B$665.69B
Dividend yieldi2.48%2.51%
Trailing P/Ei16.6116.52
Betai0.800.80
52-week change21.44%20.82%
Risk & fund metrics
Risk & fund metrics
MetricVEUVXUS
1Y returni+21.44%+20.82%
6M returni+13.05%+12.74%
1M returni+0.09%+0.07%
1Y Sharpe ratio0.960.94
Betai0.800.80
Dividend yieldi2.48%2.51%
5Y CAGR+9.40%+9.14%
Correlation

Over the past year, VEU and VXUS have moved strongly in the same direction (correlation of 1.00), based on daily returns.

1Y
1.00
-1.0+1.0
5Y
1.00
-1.0+1.0
10Y
1.00
-1.0+1.0
Drawdown & downside risk

Lower drawdown and smaller single-period drops generally indicate a smoother ride, though they do not guarantee lower future risk.

1Y risk snapshot
VEU max drawdowni11.43%
VXUS max drawdowni11.27%
VEU max wkly dropi6.89%
VXUS max wkly dropi6.96%
5Y risk snapshot
VEU max drawdowni28.47%
VXUS max drawdowni28.86%
VEU max wkly dropi10.93%
VXUS max wkly dropi10.82%
10Y risk snapshot
VEU max drawdowni34.98%
VXUS max drawdowni35.97%
VEU max wkly dropi19.90%
VXUS max wkly dropi20.06%
Performance metrics by period
Performance metrics by period
PeriodMetricVEUVXUS
1YGrowthi+21.44%+20.82%
CAGRi+21.46%+20.84%
Volatilityi17.13%17.04%
Sharpe ratioi0.960.94
Sortino ratioi1.401.35
Max drawdowni11.43%11.27%
Current drawdowni2.20%2.16%
Avg drawdowni1.98%1.95%
Ulcer Indexi3.14%3.09%
Max daily dropi3.76%3.73%
Max wkly dropi6.89%6.96%
5YGrowthi+56.72%+54.83%
CAGRi+9.40%+9.14%
Volatilityi16.40%16.39%
Sharpe ratioi0.360.34
Sortino ratioi0.520.49
Max drawdowni28.47%28.86%
Current drawdowni2.20%2.16%
Avg drawdowni6.76%6.97%
Ulcer Indexi9.51%9.76%
Max daily dropi6.12%6.11%
Max wkly dropi10.93%10.82%
10YGrowthi+153.59%+149.95%
CAGRi+9.76%+9.60%
Volatilityi17.07%17.02%
Sharpe ratioi0.370.36
Sortino ratioi0.510.50
Max drawdowni34.98%35.97%
Current drawdowni2.20%2.16%
Avg drawdowni7.01%7.13%
Ulcer Indexi9.72%9.89%
Max daily dropi11.35%11.13%
Max wkly dropi19.90%20.06%
AI Prediction Signali
Members only
Next 5 trading days
VEU
+2.8%BUY
VXUS
+1.1%HOLD
Next 30 trading days
VEU
+6.4%BUY
VXUS
+3.2%HOLD

Sign up to unlock AI price predictions

ML model trained on historical prices · 14-day free trial · No credit card required
Fund overview
Fund overview
CategoryVEUVXUS
Fund nameVanguard FTSE All-World ex-US Index Fund ETF SharesVanguard Total International Stock Index Fund ETF Shares
TypeETFETF
Expense ratioi0.04%0.05%
Total assets (AUM)i$98.64B$665.69B
Dividend yieldi2.48%2.51%
VEU strengths
  • Combines developed and emerging markets in a single low-cost fund
  • Simplifies a global ex-US allocation into one holding
  • Vanguard's low-cost, tax-efficient structure
VXUS strengths
  • Broadest international stock coverage of any single fund, including small-caps
  • One-ticket solution for full ex-US diversification
  • Vanguard's scale and low-cost structure
Risks to watch — VEU
  • Less precise control over developed-vs-emerging mix than separate funds
  • Emerging-market component adds volatility and currency risk
  • Overlaps with both VEA and VWO if held together
Risks to watch — VXUS
  • Emerging-market and small-cap components add volatility
  • Currency risk applies across the full portfolio
  • Less precision than owning developed and emerging funds separately
Frequently asked questions
Neither VEU nor VXUS is universally "better" — VEU is built for one-fund exposure to the entire world outside the US, while VXUS is built for the single most complete way to hold every non-US stock in one fund. Investors should pick based on which exposure and cost structure fits their own portfolio goals rather than assuming one strictly dominates the other.
Free public comparison

Want deeper AI forecasts?

This comparison page is public and free forever. Subscribers can unlock saved watchlists, full AI rankings, detailed forecasts, and interactive analysis tools.

Related comparisons
More comparisons
Browse all 1,000 comparisons
ShareXLinkedInRedditFacebookWhatsApp