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Vanguard MSCI Index International Shares (Hedged) ETF (ASX: VGAD) - Announcements

Current share price for VGAD : $130.570 0.58 (0.44%)+

Vanguard MSCI Index International Shares (Hedged) ETF (VGAD) is an Exchange Traded Fund - commonly known as an ETF. For more details about how ETFs work, feel free to check out our What is an ETF? overview. Vanguard MSCI Index International Shares (Hedged) ETF (VGAD) provides exposure to companies listed on exchanges of economies around the world. The ETF offers access to securities that allow investors to participate in the growth potential of companies listed outside Australia. The ETF is hedged to Australian dollars, so the return of the ETF is unaffected by currency fluctuations.

InvestSMART's Custom Portfolios allows you to invest in Vanguard MSCI Index International Shares (Hedged) ETF (ASX: VGAD). Find out more.

Latest company announcements for Vanguard MSCI Index International Shares (Hedged) ETF (VGAD)

Market Cap ($m) Headline Release
date/time+
Price at
release+
Current
price+
Gain/Loss View
$7,683 Outstanding Securities Aug 2026 7 Sep 2026 2:09PM $132.400 $130.570 fallen by 1.38%
$7,683 Updated PDSs Vanguard International Shares ETFs 1 Sep 2026 9:20AM $132.370 $130.570 fallen by 1.36%
$7,683 Annual Statement and Annual Tax Statement Notification 31 Aug 2026 8:29AM $132.560 $130.570 fallen by 1.50%
$7,683 Outstanding ETF Securities and Fund Flows 7 Aug 2026 1:13PM $132.210 $130.570 fallen by 1.24%
$7,683 FATCA and CRS Tax Residency Certification Reminder 27 Jul 2026 11:00AM $128.380 $130.570 risen by 1.71%
$7,683 Exit Statement Notification 27 Jul 2026 10:59AM $128.410 $130.570 risen by 1.68%
$7,683 Outstanding ETF Securities and Fund Flows Announcement 7 Jul 2026 3:11PM $129.020 $130.570 risen by 1.20%
$7,683 Distribution Reinvestment Plan Issue Price Announcement 3 Jul 2026 4:32PM $128.960 $130.570 risen by 1.25%
$7,683 Distribution Tax Estimates 3 Jul 2026 4:14PM $128.960 $130.570 risen by 1.25%
$7,683 Final Distribution Announcement 2 Jul 2026 9:31AM $128.810 $130.570 risen by 1.37%
$7,683 Updated Estimated Distribution Announcement 1 Jul 2026 9:43AM $130.770 $130.570 fallen by 0.15%
$7,683 Updated Estimated Distribution Announcement 30 Jun 2026 9:30AM $129.640 $130.570 risen by 0.72%
$7,683 Estimated Distribution Announcement 26 Jun 2026 9:34AM $130.050 $130.570 risen by 0.40%
$7,683 Distribution Timetable Announcement 23 Jun 2026 8:16AM $131.200 $130.570 fallen by 0.48%
$7,683 Outstanding ETF Securities and Fund Flows Announcement 5 Jun 2026 11:10AM $131.070 $130.570 fallen by 0.38%
$7,683 Outstanding ETF Securities and Fund Flows Announcement 7 May 2026 12:36PM $128.075 $130.570 risen by 1.95%
$7,683 Exit Statement 1 May 2026 10:21AM $125.510 $130.570 risen by 4.03%
$7,683 Tax Residency Certification Reminder 30 Apr 2026 10:46AM $124.580 $130.570 risen by 4.81%
$7,683 Outstanding ETF Securities and Fund Flows Announcement 2 Apr 2026 3:29PM $115.370 $130.570 risen by 13.18%
$7,683 Updated Product Disclosure Statement 27 Mar 2026 4:24PM $115.240 $130.570 risen by 13.30%
$7,683 Indicative distribution calendar 23 Mar 2026 4:13PM $113.960 $130.570 risen by 14.58%
$7,683 Updated Product Disclosure Statement 13 Mar 2026 10:30AM $118.040 $130.570 risen by 10.62%
$7,683 Half Year Accounts 10 Mar 2026 9:52AM $116.320 $130.570 risen by 12.25%
$7,683 Outstanding Securities 5 Mar 2026 11:07AM $121.410 $130.570 risen by 7.54%
$7,683 Outstanding ETF Securities and Fund Flows Announcement 3 Feb 2026 2:14PM $122.290 $130.570 risen by 6.77%

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  • + Company announcements and prices are delayed by least 20 minutes. Prices are indicative only.

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