VEUCX Mutual Fund

VEUCX Mutual Fund

NAV$37.80
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Showing top 50 of 77 holdings · as of Jun 30, 2026
VEUCX holdings, by weight
#TickerNameWeightCumulativeSharesMkt valueSectorIndustry
1Asml Holding Nv
6.56%
6.6%23,709$46.95M--
2
NESN
Nestle Sa
3.34%
9.9%232,991$23.90M--
3Banco Santander S.a.
3.19%
13.1%1,644,757$22.83M--
4
ALVG
Allianz Se
3.03%
16.1%45,753$21.66M--
5
SHEL
Shell PlcEnergy · Oil & Gas
2.48%
18.6%457,223$17.77MEnergyOil & Gas
6
SAF
Safran Sa
2.48%
21.1%45,090$17.77M--
7
ENGIE
Engie Sa
2.31%
23.4%525,257$16.53M--
8
INGA
Ing Groep Nv
2.13%
25.5%483,373$15.25M--
9
AIRP
Lair Liquide Societe Anonyme Pour
2.05%
27.6%74,169$14.69M--
10Carlsberg As B
1.97%
29.5%107,890$14.12M--
11Cie Financiere Richemo-A Reg
1.90%
31.4%58,803$13.57M--
12
BTI
British American Tobacco Plc Common Stock GBP 25Cons. Staples · Tobacco
1.88%
33.3%217,717$13.47MCons. StaplesTobacco
13Rio Tinto Plc Ordinary Shares
1.85%
35.2%139,725$13.22M--
14Rolls-Royce Holdings PLC Ord Gbp0.20
1.84%
37.0%686,506$13.16M--
15
UCG
Unicredit Spa
1.78%
38.8%142,171$12.74M--
16
JINXX
JPMorgan Prime Money Market Fund, Class Institutional
1.73%
40.5%12,353,173$12.35M--
17Siemens Energy Ag
1.68%
42.2%62,907$11.99M--
18
SSE
Sse PlcUtilities · Multi-Utilities
1.67%
43.9%371,489$11.99MUtilitiesMulti-Utilities
19GSK plc
1.63%
45.5%444,088$11.66M--
20Unipol Gruppo Spa
1.59%
47.1%407,377$11.39M--
21
GALD
Galderma
1.57%
48.7%49,268$11.21M--
22
SPIE
Spie SaIndustrials · Construction
1.56%
50.2%194,293$11.19MIndustrialsConstruction
23NatWest Group PLCFinancials · Banks
1.55%
51.8%1,257,912$11.10MFinancialsBanks
24
BAWG
Bawag Group Ag Common Stock EURFinancials · Banks
1.53%
53.3%54,461$10.92MFinancialsBanks
25Deutsche Berse
1.46%
54.8%38,340$10.46M--
26
BCS
Barclays Plc
1.44%
56.2%1,539,765$10.32M--
27
ENX
Euronext Nv
1.44%
57.6%64,344$10.29M--
28
BALF
Balfour Beatty Plc_None_None
1.44%
59.1%894,264$10.29M--
29
SOGN
Societe Generale S.A.
1.43%
60.5%115,258$10.20M--
30
ASRNL
Asr Nederland Nv
1.33%
61.8%125,650$9.49M--
31Ucb SaHealth Care · Pharmaceuticals
1.32%
63.2%31,589$9.46MHealth CarePharmaceuticals
32
STM
STMicroelectronics N.V.
1.31%
64.5%127,061$9.40M--
33Koninklijke Ahold Delhaize Nv
1.27%
65.7%225,632$9.08M--
34Next Plc
1.27%
67.0%47,104$9.09M--
35
ICE
Intercontinental Hotels Group Plc
1.26%
68.3%52,399$9.01M--
36
ABN
Abn Amro Bank Nv
1.25%
69.5%210,982$8.97M--
37
RWEG
Rwe Ag /EUR/
1.22%
70.7%134,973$8.73M--
38
ASMI
ASM International N.V. Asm International
1.21%
71.9%7,528$8.66M--
39
CONG
Continental AgConsumer Disc. · Auto Components
1.16%
73.1%100,310$8.30MConsumer Disc.Auto Components
40
KLR
Keller Group Plc
1.15%
74.3%232,973$8.20M--
41
GAW
Games Workshop Group PlcConsumer Disc. · Leisure Products
1.07%
75.3%26,645$7.63MConsumer Disc.Leisure Products
42International Consolidated Airlines Group S.A. International Consolidated Airlines Group S A Acciones
1.07%
76.4%1,207,144$7.66M--
43Muenchener Rueckver
1.06%
77.5%13,547$7.57M--
44Telia Company AB (publ)
1.03%
78.5%1,510,594$7.36M--
45Cushman & Wakefi
1.03%
79.5%100,719$7.35M--
46
SGE
The Sage Group Plc
1.01%
80.5%669,753$7.27M--
47
DPLM
Diploma Plc
0.97%
81.5%73,510$6.95M--
48
KIT
Kitron Asa
0.94%
82.4%624,358$6.75M--
49
BAYN
Bayer Ag
0.92%
83.4%118,765$6.57M--
50
TEMN
Temenos Ag
0.90%
84.3%78,888$6.45M--
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VEUCX Mutual Fund All Holdings

VEUCX holdings total 84 positions. The top 10 holdings account for 29.5% of the fund, led by Asml Holding Nv at 6.6%, Nestle Sa at 3.3%, Banco Santander S.a. at 3.2%.

VEUCX portfolio concentration is well-diversified, with the top 10 representing 29.5% of total assets. The largest sector exposure is Financials at 3.1%.

VEUCX sectors provide a detailed breakdown. VEUCX overlap shows how holdings compare to other funds in your portfolio.