VWCE:XETRVanguard FTSE All-World UCITS ETF Accum USD Analysis
Data as of 2026-09-04 - not real-time
€167.88
Latest Price
2/10Risk
Risk Level: Low
Executive Summary
The moving-average structure behind Vanguard FTSE All-World UCITS ETF USD Accumulation is bullish at €167.88, with short-term averages leading the long-term ones. The last 30 days have gained 2.8%. RSI sits at 55.9, which reads as neutral, and MACD momentum is bearish. Watch €164.98 as support and €170.12 as the nearer resistance level.
The fund manages €79.55B in assets.
Risk scores 2 out of 10, which is low for this asset class. With 30-day volatility of 9.8%, a beta of 0.20 and a maximum drawdown of 6.5%, the drawdown profile is forgiving relative to most of the market. The wider market backdrop reads extreme greed at 96 on the fear-greed composite.
The horizons diverge: buy near-term but hold on a long view, at 3/10 conviction over the longer horizon.
The fund manages €79.55B in assets.
Risk scores 2 out of 10, which is low for this asset class. With 30-day volatility of 9.8%, a beta of 0.20 and a maximum drawdown of 6.5%, the drawdown profile is forgiving relative to most of the market. The wider market backdrop reads extreme greed at 96 on the fear-greed composite.
The horizons diverge: buy near-term but hold on a long view, at 3/10 conviction over the longer horizon.
Top Market Events
Vanguard cuts fees on Europe's largest FTSE All World ETF 21 July 2026 The reduction lowers the ongoing cost of one of...Latest iShares FTSE All World UCITS ETF USD Acc FTAW:LSE:GBP share price with interactive charts, historical prices,...
Market Outlook
Short Term
< 1 yearPositive
Model confidence: 5/10
Key Factors
- Short-term moving averages stacked above long-term ones
- Trading above the 200-day average of 154.55
- MACD momentum is negative
Medium Term
1–3 yearsNeutral
Model confidence: 4/10
Key Factors
- Short-term moving averages stacked above long-term ones
- Trading above the 200-day average of 154.55
- MACD momentum is negative
Long Term
> 3 yearsNeutral
Model confidence: 3/10
Key Factors
- Short-term moving averages stacked above long-term ones
- 30-day volatility of 9.8%
- Beta of 0.20 versus the benchmark
Key Metrics & Analysis
Fund Metrics
AUM€79.6B
Inception Date2012-05-22
Avg Daily Volume267,438
Premium/Discount0.00%
Tracking Error0.00%
Technical Analysis
TrendBullish
RSI55.9
Support€164.98
Resistance€170.12
MA 20€167.46
MA 50€165.94
MA 200€154.55
MACDBearish
VolumeStable
Fear & Greed Index96.39
Risk Assessment
Beta0.20
Volatility9.80%
Sector RiskMedium
Currency RiskMedium
Liquidity RiskLow
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This analysis may contain inaccuracies and is provided for informational and research purposes only. It is not personal investment advice, a recommendation, or an instruction to buy, sell, or hold any asset.