The Fund employs a passive management – or indexing – investment approach, through physical acquisition of securities, and seeks to track the performance of the FTSE Developed Asia Pacific All Cap Choice Index (the “Index”).
The Fund attempts to track the performance of the Index by investing all, or substantially all, of its assets in the stocks that make up the Index in approximately the same proportion as the Index. Where not practicable to fully replicate, the Fund will use a sampling process.
The Index is a market-capitalisation-weighted index composed of large-, mid-, and small-cap stocks of companies located in developed markets of the Asia Pacific region, including Japan. Market-capitalisation is the value of a company's outstanding shares in the market and shows the size of a company. The Index is constructed from the FTSE Developed Asia Pacific All Cap Index which is then screened for certain environmental, social, and governance (i.e. controversy-related) criteria which is independent of Vanguard.
Through the screening out of stocks of companies from its portfolio based on the potentially detrimental impact of their conduct or products on society and / or the environment, the Fund promotes certain environmental characteristics and social characteristics relating to social norms and standards.
The Index methodology excludes stocks of companies that the sponsor of the Index determines (a) to be engaged or involved in specific activities of the supply chain for, and / or (b) derive revenue (above a threshold specified by the Index provider) from, certain activities relating to the following activities: (a) Vice Products (i.e., adult entertainment, alcohol, gambling, tobacco, cannabis); (b) Non-Renewable Energy (nuclear power, and fossil fuels (which includes: (i) companies that have greater than 50% ownership of companies that own proved or probable reserves in coal, oil or gas, (ii) oil and gas production and supporting services, (iii) coal extraction, production and supporting services, (iv) oil and gas and thermal coal power generation, (v) extraction of arctic oil and gas, and (vi) extraction of oil sands)); and (c) Weapons (chemical & biological weapons, cluster munitions, anti-personnel landmines, nuclear weapons, civilian firearms, and conventional military weapons). The Index provider defines what constitutes “involvement” in each activity. This may be based on percentage of revenue or any connection to a restricted activity regardless of the amount of revenue received, and will relate to specific parts of the supply chain.
Company product and conduct involvement is monitored on a yearly basis by the Index provider and as new data is made available to the Index provider.
For the full investment strategy please review the prospectus.
Fund facts
Share class inception
11 Oct 2022
Listing date
13 Oct 2022
Investment structure
Irish UCITS
Share Class Assets'
Total Assets
Risk indicator
Strategy
Index
Asset Class
Equity
Investment method
Physical
Index ticker
FDAPACN
Benchmark
FTSE Developed Asia Pacific All Cap Choice Index
Dividend schedule
—
Domicile
Ireland
Legal entity
Vanguard Funds PLC
Register countries
Jersey, C.I., Austria, Italy, United Kingdom, Norway, Netherlands, Sweden, Finland, Luxembourg, Guernsey, C.I., Ireland, Isle of Man, Liechtenstein, Switzerland, France, Germany, Portugal, Spain and Denmark
The value of investments, and the income from them, may fall or rise and investors may get back less than they invested.
Sustainability-related disclosures
This product promotes, among other characteristics, environmental or social characteristics, or a combination of those characteristics as specified under Article 8 of the EU SFDR.
Refer to the “Sustainability-related disclosures” document at the top of the webpage for the detailed disclosures in accordance with SFDR.
Performance
Risk and Volatility
As at 30 Sep 2025
Beta
—
R²
—
Annualized Tracking Error
1 year
3 years
—
5 years
—
Please note Beta and R-squared data will only display for funds with 3 full years of history.
The value of investments, and the income from them, may fall or rise and investors may get back less than they invested.
Portfolio data
Characteristics
Fundamentals
Fund
Benchmark
As at
Number of stocks
1,999
1,999
30 Sep 2025
Median market capital
28.9 B
28.9 B
30 Sep 2025
16.5 x
16.5 x
30 Sep 2025
1.6 x
1.6 x
30 Sep 2025
10.4%
10.4%
30 Sep 2025
13.5%
13.6%
30 Sep 2025
Portfolio turnover rate
-2.4%
—
30 Sep 2025
Market allocation
As at 30 Sep 2025
Country
Region
Fund
Benchmark
Variance +/-
Japan
Pacific
59.74%
59.75%
-0.01%
Australia
Pacific
17.25%
17.23%
0.02%
South Korea
Pacific
13.43%
13.43%
0.00%
Hong Kong
Pacific
5.07%
5.09%
-0.02%
Singapore
Pacific
3.78%
3.79%
-0.01%
New Zealand
Pacific
0.71%
0.71%
0.00%
Cayman Islands
Emerging Markets
0.02%
0.00%
0.02%
Other
Other
0.00%
0.00%
0.00%
China
Emerging Markets
0.00%
0.00%
0.00%
Holdings details
As at 30 Sep 2025
Holding name
% of market value
Sector
Region
Market value
Shares
Samsung Electronics Co Ltd
3.54589%
Telecommunications
KR
$6,828,427.28
114,191
Toyota Motor Corp
2.59700%
Consumer Discretionary
JP
$5,001,119.95
259,200
Commonwealth Bank of Australia
2.34031%
Financials
AU
$4,506,814.82
40,744
Mitsubishi UFJ Financial Group Inc
2.28119%
Financials
JP
$4,392,957.98
271,000
Sony Group Corp
2.19575%
Consumer Discretionary
JP
$4,228,431.29
146,625
SK hynix Inc
1.69744%
Technology
KR
$3,268,810.81
13,198
SoftBank Group Corp
1.57021%
Telecommunications
JP
$3,023,810.81
23,900
Sumitomo Mitsui Financial Group Inc
1.32386%
Financials
JP
$2,549,400.14
90,160
AIA Group Ltd
1.27747%
Financials
HK
$2,460,061.18
256,400
National Australia Bank Ltd
1.13227%
Financials
AU
$2,180,456.57
74,519
Prices and distribution
Prices
NAV Price (USD)
$8.28
Change
-$0.15-1.77%
At closure 05 Nov 2025
Market value (EUR)
€7.22
Change
-€0.07-0.92%
At closure 06 Nov 2025
NAV 52-week high
$8.50
At closure 06 Nov 2025
Market value 52-week high
€7.35
At closure 06 Nov 2025
NAV 52-week low
$5.91
At closure 06 Nov 2025
Market value 52-week low
€5.46
At closure 06 Nov 2025
NAV 52-week difference
$2.59
Change
+30.48%
At closure 06 Nov 2025
Market value 52-week difference
€1.89
Change
+25.75%
At closure 06 Nov 2025
Outstanding shares
20,451,720
At closure 31 Oct 2025
Historical Prices
-
Inception date
11 Oct 2022
Listing date
13 Oct 2022
Date
NAV (USD)
Market price (EUR)
06 Nov 2025
—
€7.2150
05 Nov 2025
$8.2790
€7.2820
04 Nov 2025
$8.4278
€7.3270
03 Nov 2025
$8.5012
€7.3520
31 Oct 2025
$8.4532
€7.3040
30 Oct 2025
$8.4000
€7.2890
29 Oct 2025
$8.4555
€7.2730
28 Oct 2025
$8.4394
€7.2640
27 Oct 2025
$8.4722
€7.2760
24 Oct 2025
$8.3388
€7.2030
Distribution history
Distribution frequency
—
Historical performance
—
All dividends are reinvested for the "Accumulation" shares.
Purchase information
Currencies and stock exchanges
Listed currencies: EUR, USD, GBP, CHF, MXN
Base currency: USD
Exchanges: Borsa Italiana S.p.A., Deutsche Boerse, London Stock Exchange, NYSE Euronext - Amsterdam, SIX Swiss Exchange, Bolsa Institucional De Valores
Fund codes
Ticker iNav Bloomberg: IV3PAEUR
Bloomberg: V3PA NA
Exchange ticker: V3PA
ISIN: IE000GOJO2A3
MEX ID: VRAACD
Reuters: V3PA.AS
SEDOL: BPNZTJ8
Ticker iNav Bloomberg: IV3PACHF
Bloomberg: V3PA SW
ISIN: IE000GOJO2A3
Reuters: V3PA.S
SEDOL: BPNZTF4
Exchange ticker: V3PA
Ticker iNav Bloomberg: IV3PAEUR
Bloomberg: V3PA NA
Exchange ticker: V3PA
ISIN: IE000GOJO2A3
Reuters: V3PA.AS
SEDOL: BPNZTJ8
Ticker iNav Bloomberg: IV3PAEUR
Bloomberg: V3PA GY
Exchange ticker: V3PA
ISIN: IE000GOJO2A3
Reuters: V3PA.DE
SEDOL: BPNZTH6
Ticker iNav Bloomberg: IV3PAEUR
Exchange ticker: V3PA
Bloomberg: V3PA IM
ISIN: IE000GOJO2A3
Reuters: V3PAA.MI
SEDOL: BPNZTG5
Bloomberg: V3PAN MM
ISIN: IE000GOJO2A3
Reuters: V3PA.MX
SEDOL: BQP9CV8
Ticker iNav Bloomberg: IV3PAGBP
Bloomberg: V3PB LN
ISIN: IE000GOJO2A3
Reuters: V3PB.L
SEDOL: BPNZTD2
Exchange ticker: V3PB
Ticker iNav Bloomberg: IV3PAUSD
Bloomberg: V3PA LN
ISIN: IE000GOJO2A3
Reuters: V3PA.L
SEDOL: BKPHXC8
Exchange ticker: V3PA
The sum of investment management fees (the fees paid to the portfolio manager to invest your money and manage the fund) and administrative and other expenses (which cover all costs and expenses connected with the operation of the fund, which includes administrative fees, shareholder's registration and transfer agency fees, custody fees and all other operating expenses).
As at 31 Oct 2025
As at 31 Aug 2025
The share price of a stock divided by its per-share earnings over the past year. For a portfolio, the weighted average P/E ratio of the stocks in the portfolio. P/E is a good indicator of market expectations about a company's prospects; the higher the P/E, the greater the expectations for a company's future growth in earnings.
The price per share of a stock divided by its book value (i.e., net worth) per share. For a portfolio, the ratio is the weighted average price/book ratio of the stocks it holds.
An amount, expressed as a percentage, earned on a company's common stock investment for a specific time frame. This figure tells shareholders how effectively their money is being utilised.
The average annual rate of growth in earnings over the past five years for the stocks in a portfolio.
Tracking errors are reported as a standard deviation of the gross excess returns of the fund, multiplied by the square root of 12 to give an annualised number.