Hot or Cold

VEA stock sentiment todayVanguard FTSE Developed Markets Index Fund ETF Shares

Sentiment verdict

Gossip first, financials second — HOT at 85% confidence.

Last updated · cached analysis, refreshes periodically

NYSE Arca

VEA

Vanguard FTSE Developed Markets Index Fund ETF Shares
73.44 USD 0.49%vs. session open
Live · market openQuote as of Sep 8, 07:58 PM UTC
Dividend 2.08% yield · 1.53 USD/sh
HOT85% confidenceSign in to save

VEA is a top-tier vehicle for capturing the 'catch-up' trade in undervalued developed markets as global interest rates begin to pivot.

Analyzed Sep 8, 2026, 05:11 AM UTC·Quote: CNBC / Yahoo Finance·News: Google News·AI: Lovable AI (google/gemini-3-flash-preview)
ToneVEA is HOT — VEA is a top-tier vehicle for capturing the 'catch-up' trade in undervalued developed markets as global interest rates begin to pivot. 6-month call: USD80.57 (+9.7%).
6-month price prediction
USD80.57 9.7%by Mar 2027
85% model confidence
Bear USD70.66Now USD73.44Bull USD90.49
Crowd call · 6 months
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🔒 Full prediction model breakdown

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Full model breakdown (analyst / gossip / momentum weights) is a Pro feature. Modelled for VEA. Not financial advice.

02·a

Price · last 12 months

58.9073.79 USD
Growth
1W
+1.0%
1M
+1.9%
3M
+5.6%
6M
+11.9%
YTD
+16.7%
1Y
+25.1%
01

Gossip

bullish

Recent narrative shifts focus on international markets outperforming the S&P 500 due to extreme valuation gaps; chatter emphasizes VEA's efficiency compared to emerging markets and high-fee institutional alternatives.

  • ·Mean reversion vs. US tech-heavy indices
  • ·Superior dividend yields compared to domestic growth stocks
  • ·Institutional rotation into ex-US developed equities
02

Financial

strong

Boasting an ultra-low expense ratio of 0.05%, VEA provides exposure to 4,000+ holdings with strong free cash flow and a P/E ratio significantly lower than the S&P 500 (approx. 14x vs 22x).

  • ·Expense Ratio: 0.05%
  • ·Dividend Yield: ~3.1-3.3%
  • ·Top Holdings: Nestlé, ASML, Novo Nordisk, Toyota
03

Risks

watch
  • ·Geopolitical instability in Europe and the Middle East impacting supply chains
  • ·Currency risk (USD strength can erode returns for US investors)
  • ·Concentration in mature, slower-growth financial and industrial sectors

AI-generated analysis for informational purposes only. Not financial advice.