Fundology

Vanguard Global Emerging Markets Fund holdings

As of , Vanguard Global Emerging Markets Fund (Vanguard Global Emerging Markets Fund, ISIN GB00BZ82ZY13) has 123 holdings on our record. Vanguard reports 214 positions in all. Weights are shares of the whole fund.

Vanguard Global Emerging Markets Fund: price, returns and charges

Holdings
123
214 reported by the issuer
Ten largest
34.7%
of the whole fund
Effective number of holdings
48
As concentrated as this many equal-sized holdings (how it is worked out)
Largest holding
6.7%
TSMC

Map of the largest holdings

The 10 largest holdings of Vanguard Global Emerging Markets Fund, together 34.7% of the fund. Each tile’s area is its share of the whole fund; the colour is its sector. Signed-in members can read every holding in the Holdings tab.

TSMC (2330): 6.69% of the fund · Information TechnologyTSMC6.7%Cash and cash equivalents: 5.22% of the fund · CashCash and cash equivalents5.2%Samsung Electronics (005930): 4.76% of the fund · Information TechnologySamsung Electronics4.8%SK hynix (000660): 3.77% of the fund · Information TechnologySK hynix3.8%Montage Technology (688008): 3.61% of the fund · Information TechnologyMontage Technology3.6%Accton Technology (2345): 2.35% of the fund · Information TechnologyAccton Techn…2.4%Tencent (700): 2.20% of the fund · Communication ServicesTencent2.2%ASE Technology (3711): 2.07% of the fund · Information TechnologyASE Technology2.1%MediaTek (2454): 2.03% of the fund · Information TechnologyMediaTek2.0%Alibaba Group (9988): 1.98% of the fund · Consumer DiscretionaryAlibaba Group2.0%
  • Information Technology 25.3%
  • Cash 5.2%
  • Communication Services 2.2%
  • Consumer Discretionary 2.0%

Weights of the whole fund, as of 30/06/2026. The same holdings as a list

Source: Vanguard, holdings as published, as of

More:Vanguard Global Emerging Markets Fund: key facts, returns and chargesCompare what it holds with another fundHoldings overlapHow overlap is measured

Holdings and weights are as published by Vanguard on 30/06/2026 and change as the fund trades. This is information, not advice.