Expanding our offering to a curated list of 1000 stocks and ETFs

We are excited to announce our expanded offerings. One of the top requested features that we receive is to expand the investment options available on our platform, and we have done just that!

We have increased our investment options to 1000 stocks and ETFs. In doing so, we have curated various collections of stocks and ETFs, enabling you to invest in different sectors, emerging trends, geographic regions, investing styles and more.

The expanded offering will be live on the platform early next week.


The different stocks and ETFs on our platforms are categorized into collections.

Here are some highlights of our new collections.


GICS sectors

The different stocks are sorted based on their GICS sectors, which include the following 11 sectors: communication services, consumer discretionary, consumer staples, energy, financials, health care, industrials, information technology, materials, real estate, and utilities.

International Diversification

As a retail investor, one of the easiest ways to access international markets is to invest through ETFs traded in the US stock market. We have curated a list of ETFs to help you diversify globally.

Emerging Themes

The pace of technological innovation is accelerating. Whether it is gene editing, artificial intelligence or future mobility, there are innovations around every corner.

Under Emerging Themes, we have curated collections of companies that are innovating in these different spaces.

This article is meant to be informative and not to be taken as an investment advice, and may contain certain “forward-looking statements,” which may be identified by the use of such words as “believe,” “expect,” “anticipate,” “should,” “planned,” “estimated,” “potential” and other similar terms. Examples of forward-looking statements include, without limitation, estimates with respect to financial condition, market developments, and the success or lack of success of particular investments (and may include such words as “crash” or “collapse”). All are subject to various factors, including, without limitation, general and local economic conditions, changing levels of competition within certain industries and markets, changes in interest rates, changes in legislation or regulation, and other economic, competitive, governmental, regulatory and technological factors that could cause actual results to differ materially from projected results.

Our team members at Vested may own investments in some of the aforementioned companies. Different types of investments involve varying degrees of risk, and there can be no assurance that any specific investment or strategy will be suitable or profitable for an investor’s portfolio. Note that past performance is not indicative of future returns. Investing in the stock market carries risk; the value of your investment can go up, or down, returning less than your original investment. Tax laws are subject to change and may vary depending on your circumstances.

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