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EFA Intl Developed ETF (EFA)

Intl Developed · Benchmark: Index Benchmark · Domiciled in US

AUM
$204.2B
Expense ratio
16.00%
Inception
1996-02-15
VMCI-Composite
68/100
5y CAGR
16.3%

VMCI-Composite holdings score

ValueMarkers builds the VMCI-Composite by taking the underlying VMCI score for each of the ETF's top-10 holdings and weighting it by the holding's share of the fund. The number summarizes the fundamentals of the largest positions on the five-pillar framework — Value, Quality, Integrity, Growth, Risk.

EFA Intl Developed ETF — analysis

For the intl developed sleeve, EFA is the $204.2B-AUM option from the issuer family. The expense ratio runs 16 bps on top of the underlying Index Benchmark return. Live trading record: 1996-present.

For ETF buyers who want a single fundamentals number, EFA VMCI-Composite is 68/100. The score is constructed from the top-10 underlying holdings, weighted by their fund weight, and reflects above-average composite quality in the underlying portfolio.

Five-year CAGR on EFA is 16.3%, against 16.0% on the Index Benchmark. The 0.3-percentage-point spread is the cleanest single measure of tracking-and-after-cost behaviour over the period; the three-year CAGR runs 14.3% and the trailing one-year is -42.2%.

Yield read on EFA: 3.80% TTM. The 5-year distribution growth rate of 7.3% per year extends that snapshot into a longer-horizon income picture for buyers comparing ETFs in this category.

Top-10 of EFA accounts for 31% of fund weight, with AAPL the single largest position (3.83%). Sector lead: Technology at 29%, which is the cohort-comparison anchor for active-vs-passive analysis.

Three ETFs to read alongside EFA: VEA, IEFA. They share the intl developed mandate but diverge on cost, AUM, and the underlying index family, which is how most allocators end up choosing between them.

Top 25 holdings

#TickerWeightVMCI
1AAPL3.83%78
2MSFT3.73%56
3NVDA3.63%75
4AMZN3.33%82
5GOOGL3.08%68
6META3.08%69
7BRK-B2.83%40
8TSLA2.63%48
9V2.78%70
10JPM2.44%89
11UNH2.19%45
12XOM2.19%82
13JNJ1.94%74
14PG1.74%43
15MA1.74%66
16HD1.49%74
17MRK1.44%58
18AVGO1.19%81
19PEP0.99%67
20COST0.99%59
21KO0.75%58
22WMT0.70%46
23BAC0.60%76
24CVX0.50%69
25ADBE0.20%88

Performance & income

YTD
3.3%
1y total return
-42.2%
3y CAGR
14.3%
5y CAGR vs benchmark
16.3% / 16.0%
Dividend yield
3.80%
5y distribution CAGR
7.3%

Comparable ETFs

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Data refreshed at request time and cached for 6 hours. As of 2026-05-15.

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