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Fund overview
  Vanguard Tot Intl Stock Ix Admiral        
Symbol VTIAX
Asset class International
Category Foreign Large Blend
Risk potential
Expense ratio 0.09%
NAV $34.00
As of  04/24/2025
Change in NAV $0.45  1.34%
Investment advisor See advisor
Admiral™ Shares
Average annual performance—quarter end
  Vanguard Tot Intl Stock Ix Admiral        
YTD 5.51%
YTD as-of date 03/31/2025
1-year 6.37%
3-year 4.65%
5-year 11.44%
10-year 5.21%
1-, 3-, 5-, 10-year as-of date 03/31/2025
Since inception 5.19%
Inception date 11/29/2010
SEC yield
SEC yield as-of date
Average annual total return—after taxes on distributions
  Vanguard Tot Intl Stock Ix Admiral        
1-year 5.48%
3-year 3.79%
5-year 10.60%
10-year 4.42%
Since inception 4.42%
Inception date 11/29/2010
1-, 3-, 5-, 10-year as-of date 03/31/2025
Average annual total return—after taxes on distributions and sale of fund shares
  Vanguard Tot Intl Stock Ix Admiral        
1-year 4.21%
3-year 3.43%
5-year 8.98%
10-year 3.97%
Since inception 4.02%
Inception date 11/29/2010
1-, 3-, 5-, 10-year as-of date 03/31/2025
Fees and minimums
  Vanguard Tot Intl Stock Ix Admiral        
Load None
Commission None
12b-1 fee None
Purchase fee None
Redemption fee None
General account minimum $3,000
IRA minimum $3,000
UGMA/UTMA minimum $3,000
Additional investments $1
FundAccess fee
Ten largest holdings
  Vanguard Tot Intl Stock Ix Admiral        
As-of date 03/31/2025
1 Taiwan Semiconductor Manufacturing Co. Ltd.
2 Tencent Holdings Ltd.
3 SAP SE
4 Alibaba Group Holding Ltd.
5 Nestle SA
6 ASML Holding NV
7 Roche Holding AG
8 Shell plc
9 AstraZeneca plc
10 Novartis AG
% of total net assets 9.50%
Equity characteristics
  Vanguard Tot Intl Stock Ix Admiral        
Number of stocks
Median market cap

price/earnings (P/E) ratio

The share price of a stock divided by its per-share earnings over the past year or, for a portfolio, the weighted average P/E ratio of the stocks in the portfolio. P/E is a good indicator of market expectations about a company's prospects; the higher the P/E, the greater the expectations for future earnings growth.

price/book ratio

The price per share of a stock divided by its book value (i.e., net worth) per share. For a portfolio, the ratio is the weighted average price/book ratio of the stocks it holds.

Return on equity
Earnings growth rate
Foreign holdings
Turnover rate
Equity sector diversification
  Vanguard Tot Intl Stock Ix Admiral        
As-of date 03/31/2025
Basic materials 6.73%
Communication services 5.87%
Consumer cyclical 10.68%
Consumer defensive 6.42%
Energy 4.89%
Financial services 22.83%
Health care 8.55%
Industrials 15.26%
Real estate 2.98%
Technology 12.75%
Utilities 3.04%
Top five countries
  Vanguard Tot Intl Stock Ix Admiral        
As-of date 03/31/2025
1 Japan 15.40%
2 United Kingdom 9.40%
3 China 9.00%
4 Canada 7.40%
5 France 6.30%
Fund characteristics
  Vanguard Tot Intl Stock Ix Admiral        
Fund total net assets
Share class total net assets
Fiscal year end
Historical volatility measures
  Vanguard Tot Intl Stock Ix Admiral        
As-of date

beta

A measure of the magnitude of a portfolio's past share-price fluctuations in relation to the ups and downs of the overall market (or appropriate market index). The market (or index) is assigned a beta of 1.00, so a portfolio with a beta of 1.20 would have seen its share price rise or fall by 12% when the overall market rose or fell by 10%. At Vanguard, beta is based on returns over the past 36 months for both the fund and the index.

1.04

R-squared

A measure of how much of a portfolio's performance can be explained by the returns from the overall market (or a benchmark index). If a portfolio's total return precisely matched that of the overall market or benchmark, its R-squared would be 1.00. If a portfolio's return bore no relationship to the returns of the market or benchmark, its R-squared would be 0. At Vanguard, R-squared is based on returns over the past 36 months for both the fund and the index.

0.98