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VIDI

Vident International Equity Strategy ETFâ„¢
ideation research

Asset Management

  • Sub-Advisory Services
  • Separately Managed Accounts
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Investment Objectives

Vident’s proprietary investment philosophy is expressed through distinct fundamentals that we believe should be top of mind when it comes to investing. These fundamentals are woven through the construction of the Vident Core International Equity Index™ (VIEQX) and the Vident International Equity Strategy ETF™ that tracks it. The application of Vident’s investment methodology seeks to produce a portfolio with exposure to countries with faster economic growth potential, lower fundamental risk, and more favorable demographics relative to a traditional market capitalization-weighted international equity approach.

Fund Details

09/08/2025

Fund Details
VIDI
CUSIP
26922A404
Net Assets
$387,733,290.14
Total Fund Annual Operating Expenses
0.61%
Inception Date
10/29/2013
Shares Outstanding
12,200,000.00
Distribution Frequency
Quarterly
30-Day SEC Yield (as of 08/31/2025)
3.29%
12 Month Distribution Yield
4.05%
Market Price
$31.74
NAV
$31.78
Premium/Discount
-0.13%
30-Day Median Bid-Ask Spread
0.32%
Distribution Calendar

UNCERTAINTY & INSTABILITY

Well-diversified across developed and emerging economies, regions, countries, and stocks.

HUMAN PRODUCTIVITY

The strategy favors countries with better demographics and higher productivity.

LEADERSHIP & GOVERNANCE

The fund favors countries with lower government debt, lower government spending, higher savings, and better current account balances.

VALUATION

Capital is tilted toward countries at cheaper valuations and incorporates relative valuation in assessing and weighting companies within countries.

VIDI Q2 2025 factsheet

Fund Fact Sheet

Q2 2025

Group 2
pdf thumbnail 1

Fund Literature

Prospectus, SAI, Annual Report, Form N-PX

Group 2

Factors

UNCERTAINTY & INSTABILITY
Balances diversification across developed and emerging economies, regions, and stocks, which we believe enhances the resiliency of the portfolio. 

HUMAN PRODUCTIVITY
Utilizes metrics to emphasize countries with conditions we believe are suitable for investment and market resilience. Such conditions are defined as favorable demographics and a more productive working population. 

GOVERNANCE
Overweights countries with strong governance factors. These factors assess the quality of country characteristics including lower government debt, lower government spending, and higher savings rates.

VALUATION
Stock selection within countries employs a bottom-up, multi-factor approach to enhance exposure to stocks with more reasonable valuations.

Total Returns

Premium Discount Chart
index Month End Performance (As of 08/31/2025) VIDI Nav Returns VIDI Market Price Returns
0Cumulative
11 Month 5.08% 5.61%
23 Month 11.25% 11.35%
3Year To Date 28.52% 28.05%
4Since Inception* 84.27% 83.86%
5Average Annual
61 Year 27.06% 27.48%
73 Year 17.65% 17.60%
85 Year 12.82% 12.86%
910 Year 7.90% 8.04%
10Since Inception* 5.30% 5.28%
index Quarter End Performance (As of 06/30/2025) VIDI Nav Returns VIDI Market Price Returns
0Cumulative
1Quarter 14.93% 15.31%
2Year To Date 20.52% 20.78%
3Since Inception* 72.81% 73.42%
4Average Annual
51 Year 22.62% 23.44%
63 Year 14.98% 14.97%
75 Year 12.69% 12.77%
810 Year 6.08% 6.12%
9Since Inception* 4.80% 4.83%

*Fund Inception Date: 10/29/2013

Performance quoted represents past performance, which is no guarantee of future results. Investment return and principal value will fluctuate, so you may have a gain or loss when shares are sold. Current performance may be higher or lower than that quoted. Short term performance is not a good indication of the fund’s future performance, and an investment should not be made based solely on returns.

ETF Holdings

As of DATE

index Name Ticker CUSIP or Other Identifier Weight Shares
0Mobvista Inc 1860 HK BHR7002 1.00% 1,759,000
1OceanaGold Corp OGC CN BQXQY26 0.67% 130,994
2Zhen Ding Technology Holding Ltd 4958 TT B734XQ4 0.66% 463,000
3Seibu Holdings Inc 9024 JP BKY6H35 0.64% 66,700
4Aisin Corp 7259 JP 6010702 0.63% 136,200
5Industrias Penoles SAB de CV PE&OLES* MM 2448200 0.63% 62,000
6Ramelius Resources Ltd RMS AU 6586872 0.62% 1,084,076
7Cash & Other Cash&Other Cash&Other 0.62% 2,394,766
8Kioxia Holdings Corp 285A JP BMGYJ02 0.61% 111,100
9Magazine Luiza SA MGLU3 BZ B4975P9 0.61% 1,428,900
10Toyo Tire Corp 5105 JP 6900182 0.59% 84,900
11Aneka Tambang Tbk ANTM IJ 6053859 0.58% 10,123,000
12Perseus Mining Ltd PRU AU B02FBC1 0.58% 809,944
13HD Korea Shipbuilding & Offshore Engineering Co Ltd 009540 KS 6446620 0.57% 7,194
14Johnson Electric Holdings Ltd 179 HK BP4JH17 0.57% 568,500
15Latam Airlines Group SA LTM CI 2518932 0.57% 89,396,194
16Vibra Energia SA VBBR3 BZ BPBLV81 0.57% 488,763
17Minth Group Ltd 425 HK B0RJCG9 0.56% 534,000
18Alps Alpine Co Ltd 6770 JP 6021500 0.56% 172,100
19Aptiv PLC APTV G3265R107 0.56% 26,336
20Genmab A/S GMAB DC 4595739 0.56% 7,880
21TIM SA/Brazil TIMS3 BZ BN71RB6 0.56% 518,858
22Exxaro Resources Ltd EXX SJ 6418801 0.55% 202,782
23United Laboratories International Holdings Ltd/The 3933 HK B1P70H9 0.54% 920,000
24VSTECS Holdings Ltd 856 HK 6527031 0.54% 1,632,000
25Fresenius SE & Co KGaA FRE GR 4352097 0.54% 37,737
26Telefonica Brasil SA VIVT3 BZ B6XFBX3 0.54% 336,464
27SBI Holdings Inc 8473 JP 6309466 0.53% 46,100
28Credicorp Ltd BAP G2519Y108 0.53% 7,830
29Cemex SAB de CV CEMEXCPO MM 2406457 0.53% 2,185,456
30Novartis AG NOVN SW 7103065 0.53% 15,795
31Banco Santander SA SAN SM 5705946 0.53% 209,368
32Samsung E&A Co Ltd 028050 KS 6765239 0.52% 100,915
33Sankyo Co Ltd 6417 JP 6775432 0.52% 99,400
34AerCap Holdings NV AER N00985106 0.52% 16,451
35Alkermes PLC ALKS G01767105 0.52% 70,367
36Hafnia Ltd HAFNI NO BSY3S84 0.52% 326,927
37Jazz Pharmaceuticals PLC JAZZ G50871105 0.52% 15,674
38Qantas Airways Ltd QAN AU 6710347 0.52% 256,704
39United Tractors Tbk PT UNTR IJ 6230845 0.52% 1,243,600
40NongShim Co Ltd 004370 KS 6638115 0.51% 6,648
41DB Insurance Co Ltd 005830 KS 6155937 0.51% 19,822
42Hyundai Mobis Co Ltd 012330 KS 6449544 0.51% 8,463
43Tripod Technology Corp 3044 TT 6305721 0.51% 200,000
44Japan Airlines Co Ltd 9201 JP B8BRV46 0.51% 93,200
45AMMB Holdings Bhd AMM MK 6047023 0.51% 1,520,500
46Astra International Tbk PT ASII IJ B800MQ5 0.51% 5,895,100
47Banco Comercial Portugues SA BCP PL BZCNN35 0.51% 2,318,397
48El Al Israel Airlines ELAL IT 6632140 0.51% 465,691
49Hoegh Autoliners ASA HAUTO NO BMFDP24 0.51% 173,532
50Jyske Bank A/S JYSK DC B0386J1 0.51% 18,238
51Magna International Inc MG CN 2554475 0.51% 43,239
52NKT A/S NKT DC 7106354 0.51% 20,121
53Old Mutual Ltd OMU SJ BDVPYN5 0.51% 2,603,563
54Orkla ASA ORK NO B1VQF42 0.51% 174,176
55Singapore Telecommunications Ltd ST SP B02PY11 0.51% 581,200
56Telkom Indonesia Persero Tbk PT TLKM IJ BD4T6W7 0.51% 10,512,300
57UOL Group Ltd UOL SP 6916844 0.51% 341,300
58TCL Electronics Holdings Ltd 1070 HK 6193788 0.50% 1,460,000
59BOC Hong Kong Holdings Ltd 2388 HK 6536112 0.50% 395,500
60WH Group Ltd 288 HK BLLHKZ1 0.50% 1,812,500
61Yue Yuen Industrial Holdings Ltd 551 HK 6586537 0.50% 1,132,000
62Sigurd Microelectronics Corp 6257 TT 6672964 0.50% 675,000
63Brother Industries Ltd 6448 JP 6146500 0.50% 107,700
64Holcim AG HOLN SW 7110753 0.50% 22,865
65Malayan Banking Bhd MAY MK 6556325 0.50% 816,000
66Norsk Hydro ASA NHY NO B11HK39 0.50% 296,178
67ORANGE S.A. ORA FP 5176177 0.50% 121,205
68RBH BANK BHD RHBBANK MK 6244675 0.50% 1,239,700
69Storebrand ASA STB NO 4852832 0.50% 126,311
70Tryg A/S TRYG DC BXDZ972 0.50% 75,163
71Tesco PLC TSCO LN BLGZ986 0.50% 323,912
72Vodafone Group PLC VOD LN BH4HKS3 0.50% 1,636,949
73ZURICH INSURANCE GROUP AG ZURN SW 5983816 0.50% 2,667
74Pacific Basin Shipping Ltd 2343 HK B01RQM3 0.49% 6,279,605
75L&K Engineering Co Ltd 6139 TT 6432607 0.49% 158,000
76Chubb Ltd CB H1467J104 0.49% 6,917
77DNB Bank ASA DNB NO BNG7113 0.49% 72,087
78Genting Singapore Ltd GENS SP BDRTVP2 0.49% 3,175,000
79IHH Healthcare Bhd IHH MK B83X6P8 0.49% 1,156,600
80Power Corp of Canada POW CN 2697701 0.49% 45,607
81J Sainsbury PLC SBRY LN B019KW7 0.49% 453,325
82Singapore Exchange Ltd SGX SP 6303866 0.49% 150,000
83Telekom Malaysia Bhd T MK 6868398 0.49% 1,153,400
84Tiger Brands Ltd TBS SJ B0J4PP2 0.49% 109,794
85Vodacom Group Ltd VOD SJ B65B4D0 0.49% 241,029
86LG Uplus Corp 032640 KS 6290902 0.48% 177,962
87Arcadyan Technology Corp 3596 TT B28SKW1 0.48% 246,000
88KONINKLIJKE AHOLD DELHAIZE NV AD NA BD0Q398 0.48% 45,896
89Bavarian Nordic A/S BAVA DC 5564619 0.48% 49,541
90DNO ASA DNO NO B15GGN4 0.48% 1,299,084
91Gentera SAB de CV GENTERA* MM BHWQZW1 0.48% 757,100
92Garrett Motion Inc GTX 366505105 0.48% 140,572
93iA Financial Corp Inc IAG CN BJ2ZH37 0.48% 16,813
94ISS A/S ISS DC BKJ9RT5 0.48% 62,503
95Deutsche Lufthansa AG LHA GR 5287488 0.48% 207,446
96Bank Leumi Le-Israel BM LUMI IT 6076425 0.48% 97,713
97AP Moller - Maersk A/S MAERSKB DC 4253048 0.48% 873
98Marfrig Global Foods SA MRFG3 BZ B1YWHR4 0.48% 448,469
99NN Group NV NN NA BNG8PQ9 0.48% 27,120
100Public Bank Bhd PBK MK B012W42 0.48% 1,831,800
101ORLEN SA PKN PW 5810066 0.48% 80,532
102U.S. Bank Money Market Deposit Account 06/01/2031 USBFS03 8AMMF0A84 0.48% 1,868,311
103Vestas Wind Systems A/S VWS DC BN4MYF5 0.48% 96,017
104Kia Corp 000270 KS 6490928 0.47% 24,104
105Samsung Electronics Co Ltd 005930 KS 6771720 0.47% 36,123
106Bayer AG BAYN GR 5069211 0.47% 54,607
107Bank Negara Indonesia Persero Tbk PT BBNI IJ 6727121 0.47% 7,141,400
108Cencosud SA CENCOSUD CI B00R3L2 0.47% 620,497
109Continental AG CON GR 4598589 0.47% 20,832
110DBS Group Holdings Ltd DBS SP 6175203 0.47% 46,240
111Lojas Renner SA LREN3 BZ B0CGYD6 0.47% 627,650
112Nokia Oyj NOKIA FH 5902941 0.47% 396,514
113PTT Exploration & Production PCL PTTEP-R TB B1359L2 0.47% 513,600
114Swissquote Group Holding SA SQN SW B1X3KP7 0.47% 2,774
115TE Connectivity PLC TEL G87052109 0.47% 8,790
116Volvo Car AB VOLCARB SS BRS7SK7 0.47% 885,738
117Samsung SDS Co Ltd 018260 KS BRS2KY0 0.46% 16,168
118Geely Automobile Holdings Ltd 175 HK 6531827 0.46% 758,000
119Taiwan Surface Mounting Technology Corp 6278 TT 6740140 0.46% 516,000
120AKER BP ASA AKRBP NO B1L95G3 0.46% 73,360
121Bouygues SA EN FP 4002121 0.46% 41,391
122KASIKORNBANK PLC THB10 (NVDR) KBANK-R TB 6364766 0.46% 327,400
123Norwegian Air Shuttle ASA NAS NO 7742123 0.46% 1,113,159
124RWE AG RWE GR 4768962 0.46% 41,957
125Swiss Re AG SREN SW B545MG5 0.46% 10,084
126thyssenkrupp AG TKA GR 5636927 0.46% 149,435
127KT Corp 030200 KS 6505316 0.45% 45,987
128KUNLUN ENERGY CO LTD 135 HK 6340078 0.45% 1,856,000
129Kingboard Holdings Ltd 148 HK 6491318 0.45% 505,500
130Cia de Saneamento de Minas Gerais Copasa MG CSMG3 BZ B0YBZJ2 0.45% 299,072
131Bank Polska Kasa Opieki SA PEO PW 5473113 0.45% 34,102
132PGE Polska Grupa Energetyczna SA PGE PW B544PW9 0.45% 559,281
133SSAB AB SSABB SS B17H3F6 0.45% 306,543
134Yara International ASA YAR NO 7751259 0.45% 48,539
135United Microelectronics Corp 2303 TT 6916628 0.44% 1,247,000
136WT Microelectronics Co Ltd 3036 TT 6290991 0.44% 400,000
137Country Garden Services Holdings Co Ltd 6098 HK BDQZP48 0.44% 2,034,000
138BANCO BILBAO VIZCAYA BBVA SM 5501906 0.44% 92,764
139Empire Co Ltd EMP/A CN 2314000 0.44% 45,558
140Equinor ASA EQNR NO 7133608 0.44% 70,485
141Finning International Inc FTT CN 2339177 0.44% 41,131
142Iveco Group NV IVG IM BKPGF52 0.44% 80,428
143KPJ Healthcare Bhd KPJ MK 6493585 0.44% 3,017,600
144QBE Insurance Group Ltd QBE AU 6715740 0.44% 123,894
145Stellantis NV STLAM IM BMD8KX7 0.44% 191,120
146Hanwha Corp 000880 KS 6496755 0.43% 27,227
147Evergreen Marine Corp Taiwan Ltd 2603 TT 6324500 0.43% 271,000
148ORIENT OVERSEAS INTL 316 HK 6659116 0.43% 100,000
149China Taiping Insurance Holdings Co Ltd 966 HK 6264048 0.43% 822,600
150Carlsberg AS CARLB DC 4169219 0.43% 13,831
151D/S Norden A/S DNORD DC B1WP656 0.43% 43,216
152Kinross Gold Corp K CN B03Z841 0.43% 73,282
153Kingfisher PLC KGF LN 3319521 0.43% 487,434
154Korea Gas Corp 036460 KS 6182076 0.42% 57,019
155China Resources Pharmaceutical Group Ltd 3320 HK BYNGG26 0.42% 2,579,000
156Alamtri Resources Indonesia Tbk PT ADRO IJ B3BQFC4 0.42% 15,618,300
157Cia Energetica de Minas Gerais CMIG4 BZ B1YBRG0 0.42% 813,151
158H Lundbeck A/S HLUNB DC BMGTJT6 0.42% 252,838
159Oversea-Chinese Banking Corp Ltd OCBC SP B0F9V20 0.42% 124,400
160Wan Hai Lines Ltd 2615 TT 6932334 0.41% 593,000
161Cathay Pacific Airways Ltd 293 HK 6179755 0.41% 1,161,000
162Ambev SA ABEV3 BZ BG7ZWY7 0.41% 714,100
163Air Canada AC CN BSDHYK1 0.41% 114,534
164Adecco Group AG ADEN SW 7110720 0.41% 55,511
165ComfortDelGro Corp Ltd CD SP 6603737 0.41% 1,372,000
166Embracer Group AB EMBRACB SS BTHW926 0.41% 169,580
167ROCKWOOL A/S ROCKB DC BRJCHK4 0.41% 41,399
168Singapore Airlines Ltd SIA SP 6811734 0.41% 311,300
169TMBThanachart Bank PCL TTB-R TB 6365145 0.41% 26,777,600
170SK Telecom Co Ltd 017670 KS 6224871 0.40% 39,587
171Hankook Tire & Technology Co Ltd 161390 KS B7T5KQ0 0.40% 55,165
172Simplo Technology Co Ltd 6121 TT 6421928 0.40% 120,822
173BlueScope Steel Ltd BSL AU 6533232 0.40% 103,296
174MISC Bhd MISC MK 6557997 0.39% 865,700
175Foxconn Technology Co Ltd 2354 TT 6801779 0.38% 658,000
176Coca-Cola HBC AG CCH LN B9895B7 0.38% 28,853
177Sembcorp Industries Ltd SCI SP B08X163 0.38% 308,000
178Yancoal Australia Ltd YAL AU B84LB45 0.38% 421,807
179Yangzijiang Financial Holding Ltd YZJFH SP BNZKT97 0.37% 1,679,900
180Primax Electronics Ltd 4915 TT B5M70F8 0.35% 514,000
181Powertech Technology Inc 6239 TT 6599676 0.35% 326,000
182OMV AG OMV AV 4651459 0.35% 25,194
183Regis Resources Ltd RRL AU 6476542 0.35% 399,477
184HD Hyundai Co Ltd 267250 KS BD4HFT1 0.34% 12,760
185Compal Electronics Inc 2324 TT 6225744 0.33% 1,385,000
186DCC PLC DCC LN 0242493 0.33% 20,027
187Fresenius Medical Care AG FME GR 5129074 0.32% 24,744
188Signify NV LIGHT NA BYY7VY5 0.32% 46,302
189Avolta AG AVOL SW B0R80X9 0.29% 19,950
190Israel Discount Bank Ltd DSCT IT 6451271 0.29% 113,556
191easyJet PLC EZJ LN B7KR2P8 0.29% 179,399
192Helvetia Holding AG HELN SW BK6QWF0 0.29% 4,486
193ZIM Integrated Shipping Services Ltd ZIM M9T951109 0.29% 83,071
194Talanx AG TLX GR B8F0TD6 0.28% 8,163
195United Overseas Bank Ltd UOB SP 6916781 0.28% 38,419
196Wilmar International Ltd WIL SP B17KC69 0.28% 472,400
197AGL Energy Ltd AGL AU BSS7GP5 0.27% 191,142
198Tamarack Valley Energy Ltd TVE CN B8J3TH5 0.27% 274,341
199KRUNG THAI BNK LTD THB5.15(NVDR) KTB-R TB 6361466 0.26% 1,249,800
200voestalpine AG VOE AV 4943402 0.26% 29,149
201Gjensidige Forsikring ASA GJF NO B4PH0C5 0.25% 35,211
202Perrigo Co PLC PRGO G97822103 0.25% 43,075
203SATS Ltd SATS SP 6243586 0.25% 385,000
204JTEKT Corp 6473 JP 6497082 0.24% 91,500
205Venture Corp Ltd VMS SP 6927374 0.24% 88,600
206Fortum Oyj FORTUM FH 5579550 0.23% 50,445
207Centrica PLC CNA LN B033F22 0.22% 414,256
208Leroy Seafood Group ASA LSG NO 4691916 0.22% 174,785
209K+S AG SDF GR B54C017 0.22% 65,733
210Super Retail Group Ltd SUL AU B01C7R0 0.21% 68,256
211Banco Bradesco SA BBDC4 BZ B00FM53 0.20% 248,400
212Samsung Fire & Marine Insurance Co Ltd 000810 KS 6155250 0.19% 2,237
213Embotelladora Andina SA 2311454 2311454 0.19% 189,477
214Aurubis AG NDA GR 5485527 0.18% 5,844
215Freenet AG FNTN GR B1SK0S6 0.17% 19,616
216HelloFresh SE HFG GR BYWH8S0 0.17% 70,082
217Jardine Cycle & Carriage Ltd JCNC SP 6242260 0.16% 28,500
218Danske Bank A/S DANSKE DC 4588825 0.15% 14,312
219Parex Resources Inc PXT CN B575D14 0.15% 48,258
220Outokumpu Oyj OUT1V FH 4665148 0.14% 125,264
221ICL Group Ltd ICL M53213100 0.13% 85,434
222Inmode Ltd INMD M5425M103 0.12% 30,775
223Proximus SADP PROX BB B00D9P6 0.12% 52,681
224Sinch AB SINCH SS BKP8Q11 0.12% 141,496
225Ageas SA/NV AGS BB B86S2N0 0.11% 6,459
226Plus500 Ltd PLUS LN BBT3PS9 0.11% 10,249
227SWATCH GROUP CHF2.25(BR) UHR SW 7184725 0.10% 2,006
228Harmony Gold Mining Co Ltd HAR SJ 6410562 0.09% 24,226
229STMicroelectronics NV STMM S4 5962343 0.09% 12,450
230Alior Bank SA ALR PW B8W8F13 0.08% 10,513
231Bank Rakyat Indonesia Persero Tbk PT BBRI IJ 6709099 0.08% 1,354,900
232CaixaBank SA CABK SM B283W97 0.08% 28,739
233Mapfre SA MAP SM B1G40S0 0.07% 63,625
234Repsol SA REP SM 5669354 0.06% 14,017
235Sandoz Group AG SDZ SW BLPLD38 0.06% 3,784
236YTL Corp Bhd YTL MK 6436126 0.05% 334,220
237Allianz SE ALV GR 5231485 0.04% 404
238Societe Generale SA GLE FP 5966516 0.04% 2,520
239Schaeffler AG SHA0 GR BV5F6V9 0.04% 26,180
240Suedzucker AG SZU GR 5784462 0.04% 14,698
241Telecom Italia SpA/Milano TIT IM 7634394 0.04% 296,264
242SWISS FRANC CHF CASHCHF 0.03% 97,770
243SAMSUNG C&T CORP 028260 KS BSXN8K7 0.02% 671
244Sino Biopharmaceutical Ltd 1177 HK B00XSF9 0.02% 71,155
245Swisscom AG SCMN SW 5533976 0.02% 91
246JET2 PLC JET2 LN B1722W1 0.01% 2,322
247NORWEGIAN KRONE NOK CASHNOK 0.01% 365,367
248Telecom Italia SpA/Milano 2587224D IM BVN1QW0 0.00% 296,264
249CHILEAN PESO CLP CASHCLP 0.00% 1
250Severstal PAO SVST LI B1G4YH7 0.00% 24,074
ETF holdings and allocations are subject to change and should not be considered a recommendation to buy or sell any security.

Premium Discount Chart - {{ fundTicker }}

index Calendar Year 2024 First Quarter 2025 Second Quarter 2025 Third Quarter 2025 Forth Quarter 2025
0Days traded at premium 81 27 16 12 0
1Days traded at NAV 1 0 0 1 0
2Days traded at discount 170 34 46 35 0

This information shows differences between the per share net asset value (NAV) of the ETF and the market price of shares. The market price is the closing price on the exchange where ETF shares are listed. Shareholders may pay more than net asset value when they buy ETF shares and receive less than net asset value when they sell those shares, because shares are bought and sold at current market prices.

Country Allocation

As of DATE

index Country Weight
0Korea, Republic Of 7.61%
1Taiwan 7.41%
2Hong Kong 6.45%
3Singapore 6.38%
4Denmark 5.84%
5Norway 5.45%
6Switzerland 5.27%
7Japan 4.77%
8Germany 4.50%
9Brazil 4.44%
10Canada 4.15%
11Malaysia 3.94%
12Australia 3.66%
13Ireland 3.15%
14Indonesia 3.03%
15United Kingdom 2.55%
16South Africa 2.10%
17Israel 2.07%
18Netherlands 1.78%
19Thailand 1.65%
20Poland 1.59%
21Sweden 1.57%
22Mexico 1.45%
23Chile 1.24%
24Spain 1.13%
25France 1.02%
26China 0.96%
27Finland 0.83%
28United States 0.64%
29Austria 0.58%
30Cayman Islands 0.55%
31Portugal 0.53%
32Peru 0.51%
33Italy 0.50%
34Bermuda 0.46%
35Belgium 0.24%
36Russian Federation 0%

Sector Breakdown

As of DATE

index Name Weight
0Financials 19.88%
1Industrials 17.86%
2Consumer Discretionary 11.65%
3Information Technology 10.44%
4Materials 7.41%
5Consumer Staples 7.31%
6Communication Services 6.89%
7Health Care 6.64%
8Energy 6.20%
9Utilities 4.12%
10Real Estate 0.96%
11Money Market Deposit Account 0.64%

Currency

As of DATE

index Currency Abbr. Weight
0European euro EUR 11.19%
1Hong Kong dollar HKD 8.91%
2South Korean won KRW 7.61%
3New Taiwan dollar TWD 6.93%
4Norwegian krone NOK 5.94%
5Singapore dollar SGD 5.88%
6Danish krone DKK 5.84%
7United States dollar USD 5.58%
8Japanese yen JPY 4.77%
9Brazilian real BRL 4.44%
10Canadian dollar CAD 4.15%
11Malaysian ringgit MYR 3.94%
12Swiss franc CHF 3.76%
13Australian dollar AUD 3.66%
14Pound sterling GBP 3.44%
15Indonesian rupiah IDR 3.03%
16South African rand ZAR 2.10%
17Thai baht THB 1.66%
18Polish zloty PLN 1.59%
19Swedish krona SEK 1.57%
20Mexican peso MXN 1.45%
21Israeli new shekel ILS 1.32%
22Chilean peso CLP 1.24%
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Carefully consider the Vident ETF’s investment objectives, risk factors, charges, and expenses before investing. To obtain a prospectus, download one here or call 800-617-0004. Please read it carefully before investing.

Performance quoted represents past performance, which is no guarantee of future results. Investment return and principal value will fluctuate, so you may have a gain or loss when shares are sold. Current performance may be higher or lower than that quoted. Short term performance is not a good indication of a Vident ETF’s future performance, and an investment should not be made based solely on returns.

Investing involves risk, including the risk of loss of principal. VIDI has the same risks as the underlying securities traded on the exchange throughout the day at market price. Redemptions are limited and often commissions are charged on each trade. Investments in non-U.S. securities involve certain risks that may not be present with investments in U.S. securities. For example, non-U.S. investments may be subject to risk of loss due to foreign currency fluctuations or to political or economic instability and may have additional trading, settlement, custodial and operational risks. These factors and others can make investments in the ETF more volatile and potentially less liquid than other types of investments. The ETF may invest in companies organized in emerging market nations which can involve additional risks relating to political, economic or regulatory conditions. The ETF may invest a significant portion of its asset in the securities of companies of a single country or region and therefore it is more likely to be impacted by events or conditions affecting that country or region. The ETF invests in the securities included in, or representative of its Index regardless of their investment merits. The ETF is not actively managed and its performance may be adversely affected by a general decline in the market segments relating to its Index. Because the ETF employs a representative sampling strategy and may also invest up to 20% of its assets in securities that are not included in the Index, the ETF may experience a tracking error to a greater extent than an ETF that seeks to replicate an index. Small and medium-capitalization companies tend to have more limited liquidity and greater price volatility than large-capitalization companies.

Investor shares are bought and sold at market price (not net asset value or NAV), may trade at a discount or premium to NAV, and are not individually redeemed from a Vident ETF. Ordinary brokerage commissions may apply.

The ETF’s investment adviser is Vident Asset Management. Vident Asset Management owns the index that underlies the ETF. The Vident International Equity Strategy ETFTM is distributed by ALPS Distributors, LLC. ALPS is not affiliated with Vident Asset Management.

Distribution History

As of DATE

index Ex-Dividend Date Income ST Cap Gains MD Cap Gains LT Cap Gains
006/17/2025 0.456116300
103/18/2025 0.005460650
212/17/2024 0.773373150
309/17/2024 0.052680070
406/11/2024 0.400041780
512/15/2023 0.484469620
609/12/2023 0.016545610
706/13/2023 0.468253050
803/14/2023 0.05018198
912/16/2022 0.54611046
1009/13/2022 0.0401398
1106/14/2022 0.59136613
1203/15/2022 0.0861547
1312/17/2021 0.6960708
1409/14/2021 0.08867022
1506/15/2021 0.38456025
1603/16/2021 0.05690819
1712/18/2020 0.41009222
1809/15/2020 0.00636333
1906/16/2020 0.176146
2003/17/2020 0.02862167
2112/19/2019 0.41653604
2209/17/2019 0.01474441
2306/18/2019 0.33719141
2403/19/2019 0.07513791
2512/19/2018 0.25124241
2609/18/2018 0.03695871
2706/19/2018 0.28887763
2803/20/2018 0.05248988
2912/21/2017 0.28315053
3009/19/2017 0.03151351
3106/13/2017 0.24217129
3203/14/2017 0.06327309
3312/23/2016 0.21116371
3409/13/2016 0.02585805
3506/14/2016 0.13670606
3603/15/2016 0.03921342
3712/29/2015 0.17190728
3809/22/2015 0.03716867
3906/16/2015 0.21561925
4003/17/2015 0.02757716
4109/16/2014 0.18999052
4206/17/2014 0.27086202
4303/18/2014 0.09765057
4412/17/2013 0.02078743