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[股票] 美股ETF总结 2 of 3: Ex-U.S. Market ETF

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发表于 15-6-2019 20:08:41|来自:新加坡 | 显示全部楼层 |阅读模式
本帖最后由 SQDU 于 16-6-2019 12:09 编辑

继续我上一个帖子,这里介绍第二部分,Ex-U.S. Market ETF.美股ETF总结 1 of 3: U.S. Market ETFhttps://bbs.sgcn.org/forum.php?m ... 997&fromuid=1091558
(出处: 新加坡狮城论坛)


1. 亚太(除日本)Asia-Pacific Ex-Japan
TICKER
SEGMENTS
EXPENSE RATIO
AUM
1 YEAR RETURN
3 YEAR RETURN
5 YEAR RETURN
10 YEAR RETURN
DIVIDEND YIELD
AAXJ
Equity: Asia-Pacific Ex-Japan - Total Market
0.69%
$4.05B
-10.63%
10.35%
3.62%
5.84%
2.48%
AIA
Equity: Asia-Pacific Ex-Japan - Large Cap
0.50%
$1.06B
-10.99%
12.80%
6.34%
8.12%
2.88%


2. 欧洲ETF
TICKER
SEGMENTS
EXPENSE RATIO
AUM
1 YEAR RETURN
3 YEAR RETURN
5 YEAR RETURN
10 YEAR RETURN
DIVIDEND YIELD
VGK
Equity: Developed Europe - Total Market
0.09%
$13.67B
-3.91%
8.07%
1.11%
6.60%
3.42%
EZU
Equity: Developed Europe - Total Market
0.47%
$6.13B
-6.45%
8.51%
0.74%
5.07%
3.13%
HEDJ
Equity: Developed Europe - Total Market
0.58%
$3.61B
1.26%
11.24%
6.45%
--
3.03%

HEDJ 带有汇率对冲,年化收益率从1,3,5年期看都优于VGK,那是因为近年欧元一直维持兑美元的贬值趋势。

3. 非美发达国家(Developed Market Ex-U.S.)
TICKER
SEGMENTS
EXPENSE RATIO
AUM
1 YEAR RETURN
3 YEAR RETURN
5 YEAR RETURN
10 YEAR RETURN
DIVIDEND YIELD
VEA
Equity: Developed Markets Ex-U.S. - Total Market
0.05%
$71.83B
-5.27%
7.99%
2.29%
6.53%
3.14%
IEFA
Equity: Developed Markets Ex-U.S. - Total Market
0.08%
$65.12B
-4.90%
8.22%
2.44%
--
3.19%
EFA
Equity: Developed Markets Ex-U.S. - Total Market
0.31%
$62.89B
-3.87%
8.09%
1.91%
6.22%
3.29%
SCHF
Equity: Developed Markets Ex-U.S. - Total Market
0.06%
$18.08B
-4.57%
8.12%
2.05%
--
3.19%
EFAV
Equity: Developed Markets Ex-U.S. - Total Market
0.20%
$11.30B
1.99%
6.55%
5.31%
--
3.43%
DBEF
Equity: Developed Markets Ex-U.S. - Total Market
0.35%
$4.88B
1.34%
11.11%
6.16%
--
3.29%
SPDW
Equity: Developed Markets Ex-U.S. - Total Market
0.04%
$4.68B
-4.90%
7.99%
2.20%
6.39%
3.12%
HEFA
Equity: Developed Markets Ex-U.S. - Total Market
0.35%
$2.88B
1.40%
11.12%
6.27%
--
3.29%
EFAV, 发达国家(除美国外)的Low-volatility ETF;
HEFA,是做了汇率对冲的EFA ETF,当美元处于强势时,可见其收益是高于EFA的。

4. 发展中国家(Emerging Market Ex-U.S.)
TICKER
SEGMENTS
EXPENSE RATIO
AUM
1 YEAR RETURN
3 YEAR RETURN
5 YEAR RETURN
10 YEAR RETURN
DIVIDEND YIELD
VWO
Equity: Emerging Markets - Total Market
0.12%
$63.15B
-4.95%
9.60%
1.74%
4.74%
2.69%
IEMG
Equity: Emerging Markets - Total Market
0.14%
$58.32B
-7.36%
10.11%
1.79%
--
2.64%
EEM
Equity: Emerging Markets - Total Market
0.67%
$31.92B
-7.21%
10.07%
1.31%
4.09%
2.65%
SCHE
Equity: Emerging Markets - Total Market
0.13%
$5.87B
-3.36%
10.44%
2.32%
--
2.70%
SCHE近5年的表现优于VWO,而费率相当。

5. 全球ETF(Global Market)
TICKER
SEGMENTS
EXPENSE RATIO
AUM
1 YEAR RETURN
3 YEAR RETURN
5 YEAR RETURN
10 YEAR RETURN
DIVIDEND YIELD
VT
Equity: Global - Total Market
0.09%
$12.28B
-0.05%
10.96%
6.10%
9.73%
2.37%
ACWI
Equity: Global - Total Market
0.31%
$10.58B
0.85%
11.27%
6.20%
9.58%
2.40%
ACWV
Equity: Global - Total Market
0.20%
$4.71B
10.84%
9.66%
9.12%
--
2.72%
所谓的“一只ETF买下全世界”,就是这几只了。

6.1 全球非美国ETF(Global Ex-U.S. Total Market)
TICKER
SEGMENTS
EXPENSE RATIO
AUM
1 YEAR RETURN
3 YEAR RETURN
5 YEAR RETURN
10 YEAR RETURN
DIVIDEND YIELD
VEU
Equity: Global Ex-U.S. - Total Market
0.09%
$23.42B
-4.33%
8.61%
2.18%
6.04%
3.08%
IXUS
Equity: Global Ex-U.S. - Total Market
0.10%
$14.56B
-5.30%
8.46%
2.13%
--
3.03%
VXUS
Equity: Global Ex-U.S. - Total Market
0.09%
$12.64B
-5.20%
8.35%
2.07%
--
3.04%
想买下全世界但不喜欢美国,那就选以上几只。

6.2 全球非美国房地产 ETF(Global Ex-U.S. Real Estate)
TICKER
SEGMENTS
EXPENSE RATIO
AUM
1 YEAR RETURN
3 YEAR RETURN
5 YEAR RETURN
10 YEAR RETURN
DIVIDEND YIELD
VNQI
Equity: Global Ex-U.S. Real Estate
0.12%
$5.96B
0.68%
7.62%
4.61%
--
3.72%
RWX
Equity: Global Ex-U.S. Real Estate
0.59%
$2.26B
2.63%
3.16%
2.11%
8.34%
3.57%
除去美国以外的其他国家和地区REIT ETF。


7. 高息股
以下是几只高息ETF,共同点是把美国排除在外。
7.1 High Dividend - Developed Market Ex-U.S.
TICKER
SEGMENTS
EXPENSE RATIO
AUM
1 YEAR RETURN
3 YEAR RETURN
5 YEAR RETURN
10 YEAR RETURN
DIVIDEND YIELD
IDV
Equity: Developed Markets Ex-U.S. - High Dividend Yield
0.50%
$4.37B
-1.41%
7.78%
-0.16%
7.17%
6.43%


7.2 High Dividend - Emerging Market
TICKER
SEGMENTS
EXPENSE RATIO
AUM
1 YEAR RETURN
3 YEAR RETURN
5 YEAR RETURN
10 YEAR RETURN
DIVIDEND YIELD
DEM
Equity: Emerging Markets - High Dividend Yield
0.63%
$2.21B
0.73%
12.84%
0.73%
4.86%
6.02%


7.3 High Dividend - Global Ex-U.S.
TICKER
SEGMENTS
EXPENSE RATIO
AUM
1 YEAR RETURN
3 YEAR RETURN
5 YEAR RETURN
10 YEAR RETURN
DIVIDEND YIELD
VIGI
Equity: Global Ex-U.S. - Total Market
0.25%
$1.13B
1.48%
8.58%
--
--
1.92%
VIGI是Ex-U.S.,  对应U.S.的是VIG,强调股息持续若干年增长的股票,并不一定是高息。

TICKER
SEGMENTS
EXPENSE RATIO
AUM
1 YEAR RETURN
3 YEAR RETURN
5 YEAR RETURN
10 YEAR RETURN
DIVIDEND YIELD
VYMI
Equity: Global Ex-U.S. - High Dividend Yield
0.32%
$1.11B
-2.44%
8.03%
--
--
4.63%
DWX
Equity: Global Ex-U.S. - High Dividend Yield
0.45%
$842.59M
4.07%
8.82%
-0.59%
3.82%
4.33%
DWX和VYMI都是Ex-U.S.,  而VYMI对应U.S.的是VYM,强调高息,整体息率要高。

8.1 Small Cap - Developed Market Ex-U.S.
TICKER
SEGMENTS
EXPENSE RATIO
AUM
1 YEAR RETURN
3 YEAR RETURN
5 YEAR RETURN
10 YEAR RETURN
DIVIDEND YIELD
SCZ
Equity: Developed Markets Ex-U.S. - Small Cap
0.39%
$9.53B
-10.76%
7.27%
4.34%
9.33%
2.61%
SCHC
Equity: Developed Markets Ex-U.S. - Small Cap
0.12%
$2.23B
-12.06%
5.22%
1.65%
--
2.60%
FNDC
Equity: Developed Markets Ex-U.S. - Small Cap
0.39%
$1.96B
-12.68%
6.16%
3.47%
--
2.89%
DLS
Equity: Developed Markets Ex-U.S. - Small Cap
0.58%
$1.66B
-11.53%
6.64%
3.28%
9.20%
4.08%


8.2 Small Cap - Emerging Market: DGS
TICKER
SEGMENTS
EXPENSE RATIO
AUM
1 YEAR RETURN
3 YEAR RETURN
5 YEAR RETURN
10 YEAR RETURN
DIVIDEND YIELD
DGS
Equity: Emerging Markets - Small Cap
0.63%
$1.45B
-7.99%
10.92%
2.34%
6.39%
4.52%
EWX
Equity: Emerging Markets - Small Cap
0.65%
$478.63M
-11.35%
7.43%
-0.03%
4.50%
3.09%


8.3 Small Cap - Global Ex-U.S.: VSS
TICKER
SEGMENTS
EXPENSE RATIO
AUM
1 YEAR RETURN
3 YEAR RETURN
5 YEAR RETURN
10 YEAR RETURN
DIVIDEND YIELD
VSS
Equity: Global Ex-U.S. - Small Cap
0.12%
$5.41B
-12.43%
5.87%
1.57%
7.25%
2.65%


9. 各国家和地区
下面就是各个国家或地区的ETF了,一般市值都比较小,在0.5~1.0bil之间。
澳大利亚:EWA
巴西:EWZ
加拿大:EWC
中国大陆:MCHI
FXI:投资50只在港股上市的市值最大的50只大陆企业,前十持仓包括腾讯、中移动、工行、中行、中石油等等,top 10 holdings占了ETF近60%的仓位。
MCHI:类似于FXI,但是不只仅限于在港股上市的大陆企业,于是乎像阿里巴巴,京东、百度这些巨头会在里面,而FXI是没有这些在美国上市的中概股的。
ASHR:就是沪深300,买的都是A股;
KWEB:投资中国互联网巨头,如腾讯、阿里巴巴、美团、网易、百度、京东等等。
TICKER
FUND NAME
GEOGRAPHY
SEGMENTS
SELECTION CRITERIA
EXPENSE RATIO
AUM
1 YEAR RETURN
3 YEAR RETURN
5 YEAR RETURN
10 YEAR RETURN
DIVIDEND YIELD
P/E
P/B
AVG DAILLY DOLLAR VOLUME
FXI
iShares China Large-Cap ETF
China
Equity: China - Large Cap
Hong Kong-listed
0.74%
$5.37B
-11.63%
9.95%
4.61%
2.70%
3.48%
9.47
1.21
$1.14B
MCHI
iShares MSCI China ETF
China
Equity: China - Total Market
Market Cap
0.59%
$4.20B
-17.82%
13.30%
6.29%
--
2.08%
14.12
1.81
$324.46M
KWEB
KraneShares CSI China Internet ETF
China
Equity: China Technology
Market Cap
0.70%
$1.51B
-32.61%
10.57%
5.13%
--
0.17%
-88.68
3.64
$109.30M
ASHR
Xtrackers Harvest CSI 300 China A-Shares ETF
China
Equity: China - Total Market
Market Cap
0.66%
$1.42B
-7.93%
5.87%
10.26%
--
2.31%
13.08
1.64
$223.33M

对比了一下几只中国大陆ETF,以5年期收益为标准,会惊讶地发现,买A股的ETF ASHR的收益有10%(年化),比高大上的互联网企业KWEB的收益(年化5%左右)要高。

香港:EWH
此ETF投资的是港企,Top 10包含有Link REIT,AIA,港交所,恒生银行,新鸿基地产,怡和,长和等等。TOP 10持仓占据了ETF60%的仓位。

德国:EWG (有一只带货币对冲的HEWG,可是市值太小了;在欧元弱势的形势下,HEWG的表现明显优于不对冲货币的EWG)
印度:INDA (最近印度股市创新高了)
日本:EWJ新加坡:EWS(市值不大,只有500+mil,但是持有的股票都不错,都是我熟悉的,我是打算长期配置的)
EWS的持仓分布如下,可见EWS持有很多银行股,DBS+OCBC+UOB就占了40%的仓位。
NameHolding Allocation
 
DBS Group Holdings Ltd
17.46%
Oversea-Chinese Banking Corporation Limited
13.38%
United Overseas Bank Ltd. (Singapore)
12.60%
Singapore Telecommunications Limited
4.84%
Keppel Corporation Limited
4.31%
Ascendas Real Estate Investment Trust
3.94%
Singapore Technologies Engineering Ltd
3.35%
Wilmar International Limited
3.34%
Singapore Exchange Ltd.
3.07%
Comfortdelgro Corporation Limited
3.05%
Genting Singapore Limited
2.76%
Singapore Airlines Ltd.
2.60%
CapitaLand Limited
2.41%
Venture Corporation Limited
2.40%
City Developments Limited
2.33%
Suntec Real Estate Investment Trust
2.33%
UOL Group Limited
2.13%
Yangzijiang Shipbuilding (Holdings) Ltd.
2.13%
Jardine Cycle & Carriage Limited
2.09%
SATS Ltd
2.04%
Singapore Press Holdings Limited
1.89%
Sembcorp Industries Ltd.
1.49%
CapitaLand Mall Trust
1.39%
Golden Agri-Resources Ltd
1.37%
CapitaLand Commercial Trust
0.97%
U.S. Dollar
0.33%


西班牙:EWP
瑞士:EWL
台湾:EWT
泰国:THD
英国:EWU (脱欧。。。)
越南:VNM (亚洲之星啊)
印尼:EIDO
法国:EWQ
马来西亚:EWM
墨西哥:EWW
韩国:EWY(重仓了三星,单单三星一只股票就占整个ETF 20%以上的仓位,我觉得这样的ETF风险比较集中)
南非:EZA

这是ETF总结的第二部分,下一个帖子我会整理出一些Fixed Income,国债、企业债、垃圾债ETF。







发表于 17-6-2019 08:24:11|来自:新加坡 | 显示全部楼层
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发表于 22-7-2019 15:50:45|来自:新加坡 来自手机 | 显示全部楼层
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