SCHF vs VEA: holdings overlap, shared companies and scores

As of September 11, 2026, SCHF and VEA overlap 88.1% by weight. Schwab International Equity ETF (SCHF): Developed ex-U.S. equities. Vanguard FTSE Developed Markets ETF (VEA): Developed international equities.

Updated September 11, 2026

How much do SCHF and VEA overlap?

As of September 11, 2026, SCHF and VEA overlap 88.1% by weight.

99% of SCHF is already inside VEA.

90% of VEA is already inside SCHF.

SCHF holds 1,435 companies and VEA holds 3,792; 1,429 are in both.

Computed by ETF Copilot from both funds' holdings rather than quoted from a data provider, and rebuilt nightly.

How does ETF Copilot score SCHF and VEA?

As of September 11, 2026, ETF Copilot scores SCHF 6.1 out of 10 and VEA 5.3 out of 10.

They differ most on Risk: SCHF 7.4 and VEA 4.2.

The five factor scores behind them are set out below, 0–10 and higher is better, ranked against every US equity ETF we track.

SCHF vs VEA — ETF Copilot factor scores, 0–10
FactorSCHFVEA
Growth7.87.7
Valuation3.42.8
Risk7.44.2
Quality5.65.2
Return5.65.5

SCHF and VEA all charge 0.03% a year

As of September 11, 2026, SCHF charges 0.03% a year, yields 2.67% and holds $70.0B in assets across 1435 positions.

As of September 11, 2026, VEA charges 0.03% a year, yields 2.72% and holds $315.0B in assets across 3792 positions.

SCHF vs VEA — cost, income and size
MeasureSCHFVEA
Expense ratio0.03%0.03%
Dividend yield2.67%2.72%
Assets under management$70.0B$315.0B
Holdings14353792

Expense ratio, dividend yield and assets under management are reported by the fund and refreshed daily. Every other figure on this page is computed by ETF Copilot.

Where SCHF and VEA trade against their own history

SCHF trades at 16.6 times earnings, against its own median of 14.2, and is more expensive than 87% of its own 114 monthly readings since 2017.

VEA trades at 16.6 times earnings, against its own median of 13.9, and is more expensive than 89% of its own 114 monthly readings since 2017.

What moved SCHF and VEA this week

SCHF fell 0.9% in the week to September 11, 2026. The holdings that moved it most were Novartis (−15.2%), Shopify (−11.5%) and Novo Nordisk A/S-B (−9.3%); SK Hynix (+14.8%) pushed the other way.

VEA fell 1.0% in the week to September 11, 2026. The holdings that moved it most were Novartis (−15.2%), Novo Nordisk A/S-B (−9.3%) and BHP (−4.7%); SK Hynix (+14.8%) pushed the other way.

What do SCHF and VEA each hold?

What's inside SCHF: Tech 17%, Semiconductors 8%.

15% of SCHF is its ten largest holdings.

What's inside VEA: Tech 16%, Semiconductors 7%.

13% of VEA is its ten largest holdings.

Compare with similar funds

Cite this

ETF Copilot, “SCHF vs VEA holdings overlap and scores”, as of September 11, 2026.
https://etf-copilot.com/compare/schf-vs-vea

  1. Schwab International Equity ETF (SCHF)
  2. Vanguard FTSE Developed Markets ETF (VEA)

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