VEA

VANGUARD TAX-MANAGED FDS
$70.68 ▲ +0.67%
Prev close $70.21
21 New Institutional Positions20 Institutional Exits
Snapshot
The big-picture read on VEA right now — valuation, ownership and activity at a glance.
Inst. Holders
50 funds
Inst. Value
$103.3B
Inst. Activity
21 buys / 20 sells
Congressional
3 trades
Price chart 30d -2.6%
Daily candles (open–high–low–close) with volume. Green = up day, red = down day.
Vol
Recent activity
The latest filings, insider trades, analyst actions, press and options flow — newest first.
Sep 8, 2026 ftd
FTD: VEA — 11,581 shares ($0.9M) failed to deliver
Settlement: 20260908, Price: $73.76, FTD Value: $854,214.56, VANGUARD FTSE DEVELOPED MARKET
Jun 30, 2026 Inst.
Focus Partners Wealth — ADD
11,918,550 shares ($849.2M)
Jun 30, 2026 Inst.
MAI Capital Management — ADD
7,043,460 shares ($501.8M)
May 27, 2026 Congress
John Boozman sell
$1,001 - $15,000 — Senate
Mar 19, 2026 Congress
John Boozman buy
$1,001 - $15,000 — Senate
Upcoming & catalyst events
Scheduled dates plus disclosed catalysts — earnings, dividends, enforcement, FDA and clinical-trial events. Colored dot = impact.
Sep 8, 2026
ftd
FTD: VEA — 11,581 shares ($0.9M) failed to deliver
Settlement: 20260908, Price: $73.76, FTD Value: $854,214.56, VANGUARD FTSE DEVELOPED MARKET
Sep 7, 2026
dark_pool
Dark Pool: VEA — 8.1M shares, 40,934 trades
Week starting 2026-09-07. Total ATS volume: 8,113,061 shares across 40,934 trades.
Sep 2, 2026
ftd
FTD: VEA — 30,476 shares ($2.2M) failed to deliver
Settlement: 20260902, Price: $72.11, FTD Value: $2,197,624.36, VANGUARD FTSE DEVELOPED MARKET
Sep 1, 2026
ftd
FTD: VEA — 16,655 shares ($1.2M) failed to deliver
Settlement: 20260901, Price: $72.92, FTD Value: $1,214,482.6, VANGUARD FTSE DEVELOPED MARKET
Aug 31, 2026
dark_pool
Dark Pool: VEA — 6.5M shares, 30,715 trades
Week starting 2026-08-31. Total ATS volume: 6,466,183 shares across 30,715 trades.
Institutional ownership
Which big funds own VEA (from quarterly 13F filings) and who is adding or trimming.
50 institutional holders with $103.3B total value (1,451,185,314 shares) as of 2026-Q2. Top holders: BANK, Creative, ENVESTNET. Net buying activity: 21 institutions added/increased vs 20 reduced.
Top holders — 2026-Q2
FundSharesValue% TrackedLast move
BANK OF AMERICA CORP /DE/201,617,733$14.4B13.9%—
Creative Planning116,981,979$8.3B8.1%—
ENVESTNET ASSET MANAGEMENT INC88,111,242$6.3B6.1%—
MORGAN STANLEY73,490,701$5.2B5.1%—
NORTHWESTERN MUTUAL WEALTH MANAGEMENT CO66,823,471$4.8B4.6%—
Wealthfront Advisers LLC58,220,511$4.1B4.0%—
WELLS FARGO & COMPANY/MN57,998,723$4.1B4.0%—
JONES FINANCIAL COMPANIES LLLP56,820,243$4.0B3.9%—
NORTHERN TRUST CORP53,763,923$3.8B3.7%—
ROYAL BANK OF CANADA46,391,963$3.3B3.2%—
Recent position changes
FundActionPrevCurrentChangeValue
Focus Partners WealthADD8,287,53411,918,550+43.8%$849.2M
MAI Capital ManagementADD4,624,2777,043,460+52.3%$501.8M
BANK OF MONTREAL /CAN/TRIM4,719,8833,097,927-34.4%$220.7M
&PARTNERSADD1,321,2141,916,431+45.1%$136.5M
NEW YORK LIFE INVESTMENT MANAGEMENT LLCADD1,139,2331,446,949+27.0%$103.1M
EXCHANGE TRADED CONCEPTS, LLCADD906,1121,137,280+25.5%$81.0M
Sanctuary Advisors, LLCADD768,5731,008,618+31.2%$71.9M
Arax Advisory PartnersADD540,191961,454+78.0%$68.5M
Clearstead Advisors, LLCTRIM1,559,457955,762-38.7%$68.1M
NATIONAL BANK OF CANADA /FI/TRIM2,172,361943,131-56.6%$67.2M
Congressional trades
VEA trades disclosed by members of Congress, with disclosure delay.
1 members · 1 buys / 2 sells
DateMemberPartyChamberTypeAmountAssetDisclosed
May 27, 2026John BoozmanRSENATESELL$1,001 - $15,000Vanguard FTSE Developed Markets ETFJun 16, 2026(21d)
Mar 19, 2026John BoozmanRSENATEBUY$1,001 - $15,000Vanguard FTSE Developed Markets ETFApr 14, 2026(27d)
Nov 21, 2025John BoozmanRSENATESELL$1,001 - $15,000Vanguard FTSE Developed Markets ETFAug 24, 2026(277d)
Short interest & halts
FINRA semi-monthly short positions, Reg SHO threshold status, and recent trading halts for VEA.
Shares short
2,695,842
Settlement Sep 15, 2026
Change vs prior
+5.8%
Semi-monthly cycle
Days to cover
1.0
At avg daily volume