EFAInternational Developed

Stocks from Europe, Japan, and Australia. Diversifies against US concentration.

$10,000 invested in 2001$33,507by 2024

CAGR

+5.2%

24-year annualized

Total Return

235%

$10k → $33,507

Max Drawdown

-41.0%

worst peak-to-trough

Best Year

+40%

2003

Growth of $10,000

20012024
$21k$35k200120062011201620212024

Annual returns — EFA (20012024)

2001-5%
2002-15%
2003+40%
2004+19%
2005+13%
2006+26%
2007+10%
2008-41%
2009+27%
2010+8%
2011-12%
2012+19%
2013+21%
2014-6%
2015-1%
2016+1%
2017+25%
2018-14%
2019+22%
2020+8%
2021+11%
2022-14%
2023+18%
2024+3%

Year-by-year performance

YearReturnPortfolio Value
2024+3.49%$33,507
2023+18.36%$32,377
2022-14.39%$27,355
2021+11.45%$31,953
2020+7.60%$28,670
2019+22.04%$26,645
2018-13.82%$21,833
2017+25.08%$25,334
2016+1.37%$20,254
2015-0.99%$19,981
2014-6.19%$20,181
2013+21.44%$21,512
2012+18.76%$17,714
2011-12.23%$14,916
2010+8.17%$16,994
2009+26.99%$15,711
2008-41.03%$12,372
2007+9.95%$20,980
2006+25.81%$19,081
2005+13.32%$15,167
2004+18.96%$13,384
2003+40.30%$11,251
2002-15.42%$8,019
2001-5.19%$9,481

All returns are total returns (price appreciation + dividends reinvested). Expense ratio of 0.32% not deducted.

Compare EFA against other ETFs

Other International ETFs

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