Vanguard FTSE Emerging Markets UCITS ETF USD Distributing (VFEM.L) Total Returns

Growth of £10,000 chart

2021-03-18 to 2026-03-18
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Final Value Total Return CAGR Dividends Yield on Cost
Nominal £12,299.80 23.00% 4.23% £1,258.32 12.58%
Real * £9,913.95 -0.86% -0.17% £1,092.57 10.93%
* Adjusted to Mar 2021 purchasing power (UK CPI) Taxes: £251.68 · Transaction costs: £2.01 Reinvested dividends with 20% tax, 0.2% cost per reinvestment.

Rolling 1-Year Returns (252 Trading Days)

Metric Value
Average Rolling Return +4.17%
Median Rolling Return +2.87%
Best Rolling Return +23.56%
Worst Rolling Return -16.71%
% of Windows Positive 56.1%

Risk Metrics

Metric Value
Maximum Drawdown -20.22%
Drawdown Duration 824 Trading Days
Sortino Ratio 0.49
Calmar Ratio 0.26
CVaR (5%) -2.27%

Yearly Returns

Year Return Abs. Return Dividends Taxes Trans. Costs
2026 partial +2.42% (+12.03% ann.) +£242.33 £0.00 £0.00 £0.00
2025 +16.32% +£1631.54 £270.66 £54.14 £0.44
2024 +13.94% +£1393.54 £259.75 £51.95 £0.41
2023 +0.80% +£79.70 £261.40 £52.28 £0.42
2022 -7.93% £793.00 £297.27 £59.45 £0.48
2021 -0.35% £34.96 £222.74 £44.55 £0.36
2020 +10.71% +£1071.23 £212.24 £42.44 £0.34
2019 +14.54% +£1454.10 £274.91 £54.98 £0.45
2018 -8.08% £808.10 £247.76 £49.55 £0.40
2017 +19.37% +£1937.26 £261.33 £52.27 £0.41
2016 +35.46% +£3545.75 £296.37 £59.28 £0.48
2015 -12.00% £1200.36 £244.65 £48.93 £0.39
2014 +6.17% +£617.32 £268.55 £53.71 £0.44
2013 -7.46% £745.96 £0.00 £0.00 £0.00
2012 partial +13.57% (+23.17% ann.) +£1357.10 £0.00 £0.00 £0.00

Market Regime Returns

Regime Period Return Ann. Return Abs. Return Dividends Taxes Trans. Costs
Policy-led rebound / euro-sovereign-crisis overlay partial 2012-05-22 – 2012-07-25 +3.24% +19.99% +£324.49 £0.00 £0.00 £0.00
Secular stagnation / QE / low inflation / duration bull 2012-07-26 – 2020-02-19 +62.13% +6.59% +£6212.53 £1915.86 £383.17 £3.08
Pandemic shock / liquidity crash 2020-02-20 – 2020-03-23 -21.65% -93.83% £2165.48 £0.00 £0.00 £0.00
Policy bazooka / monetary euphoria 2020-03-24 – 2020-11-06 +29.01% +50.65% +£2900.56 £233.03 £46.60 £0.37
Reopening reflation / fiscal boom / supply bottlenecks 2020-11-09 – 2021-11-29 +1.15% +1.09% +£114.99 £188.58 £37.72 £0.30
Inflation shock / duration crash / aggressive tightening 2021-11-30 – 2022-11-09 -9.26% -9.81% £926.28 £316.11 £63.22 £0.51
Disinflation rebound / AI-led narrow bull / higher-for-longer 2022-11-10 – 2024-09-17 +9.14% +4.83% +£914.30 £546.42 £109.29 £0.87
Disinflationary easing / resilient growth / AI capex under oil-shock test partial 2024-09-18 – 2026-03-18 +28.71% +18.39% +£2870.70 £321.20 £64.25 £0.52

Dividend History

Date Per Share Yield % Total Yield Tax Trans. Cost Shares Bought
2021-03-18 £0.0811 0.16% £15.75 £3.15 £0.03 0.2446
2021-06-17 £0.2880 0.55% £56.03 £11.21 £0.09 0.8564
2021-09-16 £0.4605 0.92% £89.97 £18.00 £0.14 1.4422
2021-12-16 £0.2871 0.58% £56.51 £11.30 £0.09 0.9138
2022-03-17 £0.1135 0.24% £22.44 £4.49 £0.04 0.3869
2022-06-16 £0.5069 1.07% £100.42 £20.08 £0.16 1.7932
2022-09-15 £0.6419 1.36% £128.33 £25.67 £0.21 2.2058
2022-12-15 £0.1933 0.44% £39.07 £7.81 £0.06 0.7188
2023-03-16 £0.1439 0.33% £29.19 £5.84 £0.05 0.5378
2023-06-15 £0.3308 0.75% £67.27 £13.45 £0.11 1.2150
2023-09-14 £0.5369 1.23% £109.85 £21.97 £0.17 2.0061
2023-12-14 £0.1389 0.33% £28.70 £5.74 £0.05 0.5333
2024-03-15 £0.1183 0.27% £24.50 £4.90 £0.04 0.4393
2024-06-13 £0.3827 0.82% £79.45 £15.89 £0.13 1.3679
2024-09-12 £0.4973 1.09% £103.90 £20.78 £0.16 1.8321
2024-12-12 £0.1306 0.26% £27.52 £5.51 £0.04 0.4454
2025-03-20 £0.2447 0.49% £51.69 £10.34 £0.08 0.8389
2025-06-19 £0.4322 0.88% £91.64 £18.33 £0.15 1.5188
2025-09-18 £0.3915 0.71% £83.62 £16.72 £0.13 1.2226
2025-12-18 £0.2443 0.45% £52.49 £10.50 £0.08 0.7607
Total 20 payments £1258.32 £251.68 £2.01 21.2794
FEMS

First Trust Emerging Markets Small Cap AlphaDEX Fund

CAGR 5.83% Total 121.99% Final $22,198.88
2012-02-17 — 2026-03-18
SPYV.DE

State Street SPDR S&P Emerging Markets Dividend Aristocrats UCITS ETF

CAGR -0.61% Total -8.40% Final €9,159.87
2011-10-13 — 2026-03-18
DFEV

Dimensional Emerging Markets Value ETF

CAGR 12.85% Total 60.04% Final $16,004.37
2022-04-27 — 2026-03-18