About this fund

Fund objectives

Vanguard Global Value Factor ETF seeks to provide long-term capital appreciation by aiming to capture potential excess return by investing in equity securities from developed markets across the world which have low prices relative to fundamentals.

Why this fund

  • The fund pursues an actively-managed investment strategy. In seeking to achieve the fund’s investment objective, the manager uses a proprietary quantitative model to evaluate an investment universe comprised of large-, mid- and small-cap equity securities from developed markets across the world, which includes a diverse representation of companies, market sectors and industry groups. This investment universe is drawn primarily from equity securities included in the FTSE Developed All Cap Index and the Russell 3000 Index.
  • The manager’s quantitative model implements a rules-based active approach that aims to assess the factor exposures of securities, favouring equity securities which, when compared to other securities in the investment universe, have lower prices relative to their fundamental measures of value (which measures may include price-to-book or price-to-earnings ratio, estimated future earnings and operating cash flow). This measure has been shown to be a component of long-run stock market returns.

Fund facts

Inception date
Jun 14 2016
Total assets
Management Fee
Strategy
Active
Asset class
Equity
Management Expense Ratio (MER)
Investment manager
Vanguard Quantitative Equity Group
Distribution Per Unit
$1.16
Trading Expense Ratio (TER)
Distribution frequency
Annually
Benchmark
FTSE Developed All Cap Index CAD
Fund Expense Ratio (FER)

Performance

Risk and Volatility

As at Jul 31 2026

Beta
R²
Alpha
Standard Deviation
Sharpe Ratio

Please note Beta and R2 data will only display for funds with 3 full years of history.

 

Portfolio data

Characteristics
FundamentalsFundBenchmarkAs at
Number of stocks 845 5,368 Jul 31 2026
Median market capital 20.0 B 233.4 B Jul 31 2026
12.4 x 21.4 x Jul 31 2026
1.3 x 3.5 x Jul 31 2026
11.4% 18.2% Jul 31 2026
6.2% 19.7% Jul 31 2026
Market allocation

As at Jul 31 2026

CountryRegionFundBenchmarkVariance +/-
United States of AmericaNorth America 68.49% 68.88% -0.39%
JapanPacific 6.36% 6.55% -0.19%
United KingdomEurope 4.03% 3.60% 0.43%
CanadaNorth America 3.38% 3.37% 0.01%
Republic Of KoreaPacific 3.34% 2.59% 0.75%
GermanyEurope 2.67% 2.01% 0.66%
FranceEurope 2.56% 2.20% 0.36%
Hong KongPacific 1.60% 0.51% 1.09%
SpainEurope 1.19% 0.93% 0.26%
NetherlandsEurope 0.93% 1.21% -0.28%
IsraelMiddle East 0.85% 0.35% 0.50%
AustriaEurope 0.76% 0.11% 0.65%
PolandEurope 0.74% 0.16% 0.58%
ItalyEurope 0.67% 0.88% -0.21%
SwedenEurope 0.53% 0.85% -0.32%
Top 10 Holdings

As at Jun 30 2026

Holding name% of market valueSectorRegionMarket valueShares
CVS Health Corp 0.76351% Consumer Staples US $6,125,579.68 41,736
General Motors Co 0.68176% Consumer Discretionary US $5,469,721.57 50,017
Elevance Health Inc 0.49937% Health Care US $4,006,411.61 7,302
Bristol-Myers Squibb Co 0.49909% Health Care US $4,004,117.16 48,981
Medtronic PLC 0.49634% Health Care US $3,982,056.61 35,878
Magna International Inc 0.49541% Consumer Discretionary CA $3,974,647.94 42,619
Marathon Petroleum Corp 0.48042% Energy US $3,854,388.24 10,626
Altria Group Inc 0.47662% Consumer Staples US $3,823,881.68 37,460
Pfizer Inc 0.46946% Health Care US $3,766,457.55 110,248
Accenture PLC 0.46753% Industrials US $3,750,965.37 21,246

Prices and distribution

Prices

Nav Price (CAD)
$74.98
CAD
Change
+$0.710.96%
As at Sep 11 2026
Market price (CAD)
$75.06
Change
+$0.831.12%
As at Sep 11 2026
NAV 52-week high
$76.23
As at Sep 14 2026
Market price 52-week high
$76.34
As at Sep 14 2026
NAV 52-week low
$58.32
As at Sep 14 2026
Market price 52-week low
$58.27
As at Sep 14 2026
NAV 52-week difference
$17.91
Change
+23.49%
As at Sep 14 2026
Market price 52-week difference
$18.07
Change
+23.67%
As at Sep 14 2026
Outstanding shares
11,870,000
As at Aug 31 2026
Discount
$0.08
Change
+0.11%
As at Sep 11 2026
Historical Prices

-

Inception date

Jun 14 2016

Listing date

Jun 22 2016

Date NAV (CAD) Market price (CAD)
Sep 11 2026 $74.9802 $75.0600
Sep 10 2026 $74.2703 $74.2300
Sep 09 2026 $74.4989 $74.5500
Sep 08 2026 $74.9567 $75.0100
Sep 04 2026 $76.2298 $76.3400
Sep 03 2026 $76.0335 $76.1800
Sep 02 2026 $75.6345 $75.7400
Sep 01 2026 $75.4191 $75.1900
Aug 31 2026 $75.5349 $75.4700
Aug 28 2026 $75.7898 $75.8800
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How to buy

Distribution history

Distribution frequency

Annually

12 month trailing yield

1.54%

(Aug 31 2026)

Distribution yield

1.54%

(Aug 31 2026)

TypeEx-dividend dateRecord datePayment dateCash distribution per unitReinvestment distribution per unitTotal distribution per unit
Income Dec 30 2025 Dec 30 2025 Jan 07 2026 $1.16491 — $1.16491
CGCA Dec 30 2025 Dec 30 2025 Jan 07 2026 — $1.83596 $1.83596
CGCA Dec 30 2024 Dec 30 2024 Jan 07 2025 — $0.94004 $0.94004
Income Dec 30 2024 Dec 30 2024 Jan 07 2025 $1.13309 — $1.13309
CGCA Dec 28 2023 Dec 29 2023 Jan 08 2024 — — —
Income Dec 28 2023 Dec 29 2023 Jan 08 2024 $1.21533 — $1.21533
CGCA Dec 29 2022 Dec 30 2022 Jan 09 2023 — $0.29240 $0.29240
Income Dec 29 2022 Dec 30 2022 Jan 09 2023 $1.02023 — $1.02023
CGCA Dec 30 2021 Dec 31 2021 Jan 10 2022 — $0.26948 $0.26948
Income Dec 30 2021 Dec 31 2021 Jan 10 2022 $0.60985 — $0.60985
Annual distributions

-

YearEligible dividendsNon eligible dividendsOther incomeCapital gainsReturn of capitalForeign incomeForeign tax paidTotal distribution per unit
2016 $0.01058 $0.00000 $0.00000 $1.32942 $0.00000 $0.20348 $0.02896 $1.51452
2017 $0.02094 $0.00000 $0.00000 $1.12566 $0.00000 $0.51170 $0.07153 $1.58678
2018 $0.02720 $0.00000 $0.00000 $1.24230 $0.00000 $0.71367 $0.09299 $1.89018
2019 $0.03877 $0.00000 $0.00000 $0.00000 $0.00000 $0.97378 $0.12986 $0.88269
2020 $0.02904 $0.00000 $0.00000 $0.00000 $0.00000 $0.58661 $0.07644 $0.53921
2021 $0.02304 $0.00000 $0.00000 $0.26948 $0.00000 $0.66976 $0.08295 $0.87933
2022 $0.03918 $0.00000 $0.00000 $0.29240 $0.00000 $1.12418 $0.14313 $1.31263
2023 $0.04148 $0.00000 $0.00000 $0.00000 $0.00000 $1.35989 $0.18604 $1.21533
2024 $0.03012 $0.00000 $0.00000 $0.94004 $0.02774 $1.24405 $0.16882 $2.07313
2025 $0.03857 $0.00000 $0.00000 $1.83596 $0.00618 $1.30077 $0.18061 $3.00087

Purchase information

Currencies and stock exchanges

Listed currencies: CAD

Base currency:CAD

Exchanges: Toronto Stock Exchange

Fund codes

The management expense ratio (MER) is the MER as of the most recent fund year end, including waivers and absorptions, and is expressed as an annualized percentage of the daily average net asset value. Vanguard Investments Canada Inc. expects to continue absorbing or waiving certain fees indefinitely but may, in its discretion, discontinue this practice at any time. For recently launched funds, MER information is not yet available.