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TEET VanEck European Equal Weight Screened UCITS ETF Please read important disclosure Close important disclosure true
Marketing Communication

TEET

TEET
VanEck European Equal Weight Screened UCITS ETF

Marketing Communication

TEET

TEET
VanEck European Equal Weight Screened UCITS ETF

ISIN: NL0010731816
  • NAV
    €96.32

    as of 31 Jul 2026
  • YTD RETURNS
    10.37%

    as of 31 Jul 2026
  • Total Net Assets
    €88.4 million

    as of 31 Jul 2026
  • Total Expense Ratio
    0.40%
  • Inception Date
    01 Oct 2014
  • SFDR Classification
    Article 8

Overview

Why invest in our Europe Equal Weight ETF

  • Diversified European Equities

    Access a broad spread of European large- and mid-cap companies in one efficient product. A single-region focus means returns hinge on Europe's economy and markets.

  • Equal Weight Approach

    Each holding carries a similar weight, reducing reliance on a handful of mega-caps and spreading risk more evenly across the portfolio. Equal weighting can lag when the largest stocks drive the market.

  • Values-Based Screening

    Companies involved in controversial activities are screened out, aligning the portfolio with widely used responsible-investment standards. Screening narrows the universe and may cause returns to differ from the broad market.

Fund Description

The VanEck European Equal Weight Screened UCITS ETF invests in 100 of the most liquid, highly capitalised (free float) companies from European industrialised nations that comply with the UN Global Compact Principles for responsible corporate behavior. Additionally, it excludes sectors that do not follow responsible business practices, including: alcohol, animal testing, military, weapons, gambling, pornography, tobacco, nuclear power, oil sands and thermal coat mining. The Fund does not have sustainable investment as its investment objective.

  • ESG-screened investing in line with the UN Global Compact Principles
  • Equally weighted, diversified exposure to European companies with a maximum weighting of 20% per country
  • Backed by ESG-intelligence from ISS ESG

Main Risk Factors: Foreign currency risk, equity market risk. Investors must consider all the fund's characteristics or objectives as detailed in the prospectus or related documents before making an investment decision. Please refer to the sustainability-related disclosures in the document section, to the

KID

and the Prospectus for other important information before investing.

Capital Markets

VanEck partners with esteemed market makers to ensure the availability of our products for trading on the mentioned stock exchanges. Our Capital Markets team is committed to continuously monitoring and assessing spreads, sizes, and prices to ensure optimal trading conditions for our clients. Furthermore, VanEck ETFs are available on various trading platforms, and we collaborate with a wider range of reputable Authorized Participants (APs) to promote an efficient and fair trading environment. For more information about our APs and to contact our Capital Markets team, please visit factsheet capital markets.pdf

Holdings

Performance

Portfolio

Trading Information

Distributions

Documents

Awards

Index

Main Risks