IEFA offers significant advantages including massive scale ($196B AUM), superior liquidity, broader diversification (2,616 holdings), higher dividend yield (3.3%), and exposure to international small-cap stocks. Better for risk-averse investors seeking comprehensive developed market exposure.
iShares Core MSCI EAFE ETF news
About iShares Core MSCI EAFE ETF
IEFA offers advantages for specific investor needs: lower expense ratio (0.07%), significantly higher dividend yield (3.4%), and pure developed international exposure outside North America. Ideal for investors who already have U.S. equity exposure and seek true non-U.S. diversification.
IEFA is recommended as the better choice for investors with existing U.S. equity exposure due to its lower expense ratio (0.07%), higher dividend yield (3.24%), and focus on developed international markets providing geographic diversification.
IEFA is presented as a viable alternative with strengths in higher dividend yield (3.3%), lower tech concentration (11.3%), and reduced exposure to AI-related volatility. However, it is less diversified with fewer stocks and geographic focus limited to developed markets, making it suitable primarily for investors wanting to hedge against tech downturns.
Recommended as one of the best international ETFs due to low expense ratio (0.07%), strong dividend yield (3.30%), broad diversification across 2,632 stocks in 16+ countries, and potential to provide portfolio diversification and hedge against U.S. market volatility.
IEFA is presented favorably for cost-conscious, income-focused, and risk-averse investors due to its very low 0.07% expense ratio, higher 3.6% dividend yield, lower maximum drawdown of 30.41%, and broad diversification across 2,600 developed market companies.
Also mentions IEFA
Articles that tag IEFA but are mainly about other companies.
Recommended for international developed market exposure with low expense ratio of 0.07%, providing diversification across Europe, Australia, and other developed markets.
Recommended as a solid choice for developed markets exposure with 2,600+ stocks across 21 developed markets and low fees.
Articles and sentiment ratings from Massive / Polygon. Sentiment is the provider's model rating for this company, not Gainbot's view.
Sources: Massive / Polygon daily aggregates (split-adjusted) · SEC filings via Massive · FINRA settlements via Massive · Financial Modeling Prep. Figures are dated where shown; research is informational, not investment advice. Methodology