The best way to invest in

Europe

Tap into Europe's large and mid-cap companies spanning 15+ developed markets, from Germany's industrial giants to France's luxury conglomerates. European equities offer broad sector diversification and historically attractive valuations relative to US peers.
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9.2%* 5Y annualised returns
1,000+ large and mid-cap European companies
Sign up and invest with free buy orders

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RETURNS DATA

Participate in the growth of Europe's industry leaders: 9.2%* 5Y annualised returns

If you had invested in the Europe from July 2021 to July 2026, your money could have grown by around 55%.

1 Year Returns

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Disclaimer

Create your Europe portfolio

StashAway ETF Explorer is the smart way to invest in 90+ global asset classes, including Europe.

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It's cost-effective

  • Start investing today to get unlimited free buy orders for your next month.
  • After, it's only $1.99 USD per buy or sell order, excluding SST.
  • No additional management fee, no matter how much you invest.
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It's simple

  • Build your portfolio in as little as 1 minute.
  • Automate recurring investments for ease of mind.
  • No minimum balance, no lock-ins, and high liquidity mean you can access your funds anytime.
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It's intelligent

  • Our investment team analyses thousands of ETFs to identify cost-efficient, tax-efficient, and well-managed options.
  • We swap underlying ETFs if a better alternative surfaces, saving you more over time.
Cost-effective icon

It's cost-effective

  • Start investing today to get unlimited free buy orders for your next month.
  • After, it's only $1.99 USD per buy or sell order, excluding SST.
  • No additional management fee, no matter how much you invest.
Simple icon

It's simple

  • Build your portfolio in as little as 1 minute.
  • Automate recurring investments for ease of mind.
  • No minimum balance, no lock-ins, and high liquidity mean you can access your funds anytime.
Intelligent icon

It's intelligent

  • Our investment team analyses thousands of ETFs to identify cost-efficient, tax-efficient, and well-managed options.
  • We swap underlying ETFs if a better alternative surfaces, saving you more over time.

GET STARTED WITH FREE BUY ORDERS

Own European stocks with one investment

Invest in Europe's industrial and consumer champions

Asset Class Overview

Europe Snapshot

Key information across returns, asset class profile, and investment details.

Returns

Annualised since inception
+6.56%
Since 31 March 2005
5-year annualised
+9.15%
Since 30 June 2021
1-year annualised
+17.06%
Since 30 June 2025
Year-to-date
+7.03%
Since 2026
Positive years since inception
65.00%
of calendar years

Fund Profile

Asset type
Equities
Fund inception
2005

Fundamentals

Expense ratio
0.06%
Annual ETF expense ratio
1-year dividend yield
2.92%
Trailing 12-month yield
Currency denomination
USD
US Dollar

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Why Invest in Europe?

Why invest

Europe equities

Covers large- and mid-cap companies across the Eurozone and non-Eurozone markets. Includes global banks, energy majors, pharma, and consumer staples.

What sets it apart

Broad Europe exposure

Invest in hundreds of European companies with one ETF.

Who it's for

Investors who want to diversify across developed markets.

What to expect

Lower growth tilt than US equity

Historically lower earnings growth than US equities, with more weight in cyclicals and less in technology.

Disclaimer

RETURNS DATA

Annual returns since 2005

Growth driven by Europe's leading companies

Did you know icon

Did you know?

European companies are global leaders in several sectors that are difficult to access through US-listed equities alone, including luxury goods, automotive manufacturing, industrial machinery, and specialty chemicals. The FTSE Europe index covers over 1,200 companies across more than 16 countries, with the UK, France, Germany, and Switzerland being the largest constituents. European equities have historically traded at a significant valuation discount to US equities, which proponents argue represents a structural opportunity for long-term investors.

PORTFOLIO BREAKDOWN

Sector exposure

Financial

24.7%

Consumer, Non-cyclical

21.9%

Industrial

18.3%

Consumer, Cyclical

7.8%

Technology

7.7%

Energy

5.0%

Basic Materials

4.9%

Utilities

4.6%

Communications

4.0%

Source: Bloomberg. Weights are approximate and subject to change on index rebalance.

PORTFOLIO BREAKDOWN

Geographic exposure