Vanguard Global ex-US Real Estate ETF (VNQI)
-NYSEArca 60.73
0.27(0.45%) 5:30PM EDT
| Prev Close: | 60.46 |
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| Open: | 60.58 |
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| Bid: | 57.40 x 100 |
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| Ask: | N/A |
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| NAV: | N/A |
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| Net Assets²: | 1.02B |
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| YTD Return (Mkt)²: | 4.27% |
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| Day's Range: | 60.52 - 60.74 |
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| 52wk Range: | 43.02 - 62.10 |
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| Volume: | 113,402 |
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| Avg Vol (3m): | 118,623 |
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| P/E (ttm)²: | 15 |
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| Yield (ttm)²: | 5.39 |
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Headlines
- Surprising Asset Allocation Results That Really Aren't Surprisingat Seeking Alpha(Wed, May 15)
- Thursday's ETF with Unusual Volume: VNQIat Forbes(Thu, May 2)
- [video] Diversifying Your Portfolioat CNBC(Wed, May 1)
- Asset Allocation And Rebalancing Reviewat Seeking Alpha(Mon, Apr 29)
- Vanguard Global REIT ETF Sports 5% YieldETF Trends(Sat, Apr 27)
- Noteworthy ETF Inflows: VNQI, WFD, BPO, CSEat Forbes(Fri, Apr 19)
- An International REIT ETF with a 5% YieldETF Trends(Thu, Apr 4)
- Global Real Estate Stocks: Time To Get Out?at Seeking Alpha(Tue, Mar 19)
- VNQI, WFD, BPO, CSE: Large Inflows Detected at ETFat Forbes(Tue, Feb 26)
- Did You Overlook This Top-Performing Sector?at Motley Fool(Wed, Feb 20)
- Looking To Profit From The Economic Recovery? Here's Howat Seeking Alpha(Wed, Jan 30)
- 2 More Betas For The Global Market Indexat Seeking Alpha(Fri, Jan 25)
- A Portfolio That Reduces Riskat Seeking Alpha(Thu, Jan 24)
- Why Schwab Unit Windhaven is Overweight International ETFsETF Trends(Fri, Jan 18)
- Noteworthy ETF Inflows: VNQI, WFD, BPO, AMDat Forbes(Wed, Jan 9)
Performance & Risk
| YTD Return: | 4.27% |
| 3y Avg Return: | N/A |
| 5y Avg Return: | N/A |
| Beta (3y): | N/A |
Fund Summary
The investment seeks to track the performance of a benchmark index.
The fund employs an indexing investment approach designed to track the performance of the S&P Global ex-U.S. Property Index, a free-float-adjusted, market-capitalization-weighted index that measures the equity market performance of international real estate stocks in both developed and emerging markets. The fund attempts to replicate the index by investing all, or substantially all, of its assets in the stocks that make up the index, holding each stock in approximately the same proportion as its weighting in the index. It is non-diversified.
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