VanEck Semiconductor UCITS ETF vs Vanguard FTSE Developed World

VanEck Semiconductor UCITS ETF vs Vanguard FTSE Developed World

1. VanEck Semiconductor UCITS ETF

  • Security

    VanEck Semiconductor UCITS ETF USD Acc

  • Fee

    0.35%

  • ISIN

    IE00BMC38736

  • Holdings

    25

2. Vanguard FTSE Developed World

  • Security

    Vanguard FTSE Developed World UCITS ETF

  • Fee

    0.15%

  • ISIN

    IE00BK5BQV03

  • Holdings

    25

Fund Holdings

We have information about 31 holdings in VanEck Semiconductor UCITS ETF, where the largest holding is Broadcom (11.38), followed by ASML (10.96) and TSMC (9.74). In comparison with Vanguard FTSE Developed World, we have 35 holdings where Apple is the largest holding (4.62), followed by Microsoft (4.22) and Nvidia (3.84).

All Holdings

Here we compare the holdings in VanEck Semiconductor UCITS ETF and Vanguard FTSE Developed World.

VanEck Semiconductor UCITS ETF Vanguard FTSE Developed World
1. Broadcom Inc
USA
11.38 %
1. Apple Inc
USA
4.62 %
2. ASML Holding NV
Netherlands
10.96 %
2. Microsoft Corp
USA
4.22 %
3. Taiwan Semiconductor Manufacturing Company
Taiwan
9.74 %
3. Nvidia Corp
USA
3.84 %
4. Nvidia Corp
USA
8.65 %
4. Amazon.com Inc
USA
3.05 %
5. Qualcomm Inc
USA
7.04 %
5. Meta Platforms A
USA
2.06 %
6. Texas Instruments Inc
USA
6.83 %
6. Alphabet Inc Class A
USA
1.64 %
7. Advanced Micro Devices Inc
USA
6.56 %
7. Tesla Inc
USA
1.54 %
8. Applied Materials Inc
USA
4.73 %
8. Broadcom Inc
USA
1.38 %
9. Analog Devices Inc
USA
4.19 %
9. Alphabet Inc Class C
USA
1.37 %
10. Lam Research Corp
USA
4 %
10. JP Morgan Chase & Co
USA
1.03 %
11. Micron Technology Inc
USA
3.91 %
11. Eli Lilly and Co
USA
0.89 %
12. KLA Corp
USA
3.74 %
12. Berkshire Hathaway Inc Class B
USA
0.86 %
13. Intel Corp
USA
3.54 %
13. Visa Inc
USA
0.74 %
14. Synopsys Inc
USA
2.76 %
14. UnitedHealth Group Inc
USA
0.68 %
15. Cadence Design Systems Inc
USA
2.59 %
15. Exxon Mobil Corp
USA
0.65 %
16. Marvell Technology Inc
USA
2.05 %
16. Mastercard Inc
USA
0.62 %
17. NXP Semiconductors NV
Netherlands
1.76 %
17. Costco Wholesale Corp
USA
0.59 %
18. Microchip Technology Inc
USA
1.23 %
18. Walmart Inc
USA
0.58 %
19. Monolithic Power Systems Inc
USA
1 %
19. Netflix Inc
USA
0.57 %
20. STMicroelectronics NV
Switzerland
0.84 %
20. Home Depot Inc
USA
0.56 %
21. Teradyne Inc
USA
0.6 %
21. Procter & Gamble Co
USA
0.53 %
22. ON Semiconductor Corp
USA
0.59 %
22. Johnson & Johnson Inc
USA
0.5 %
23. Entegris Inc
USA
0.51 %
23. AbbVie Inc
USA
0.45 %
24. Skyworks Solutions Inc
USA
0.45 %
24. Salesforce.com Inc
USA
0.43 %
25. Universal Display Corporation
USA
0.3 %
25. Bank of America Corp
USA
0.42 %

The list of fund holdings was last updated on April 17, 2025.