Components iShares Global REIT ETF - USD

ETF

REET

US46434V6478

Delayed Nyse 04:00:00 2024-04-15 pm EDT 5-day change 1st Jan Change
22.23 USD -1.42% Intraday chart for iShares Global REIT ETF - USD -3.64% -8.06%

Composition of iShares Global REIT ETF - USD

Price
Change
5d. change
1-year change
Weight
115.4 USD -0.30%-8.23%-3.31%8.43%
748.3 USD +0.56%-5.59%+8.05%5.15%
88.95 USD -0.17%-2.93%+20.26%3.32%
265 USD -0.29%-7.60%-8.47%3.27%
141.9 USD -0.34%-5.30%+32.38%3.17%
51.44 USD -0.41%-3.71%-15.01%2.85%
138.4 USD -0.14%-3.33%+54.33%2.78%
136.9 USD -0.62%-7.61%-11.20%2.30%
27.38 USD -0.71%-6.92%-14.74%2.26%
179.9 USD -0.43%-2.93%+6.39%1.82%
60.48 USD -0.29%-4.92%+1.03%1.56%
118 USD -0.95%-5.94%+0.60%1.49%
33.34 USD -0.67%-5.04%+4.22%1.43%
42.1 USD -0.34%-2.87%-2.87%1.36%
120.3 USD -0.09%-4.49%-11.82%1.12%
235 USD -0.24%-3.25%+13.30%1.08%
126.2 USD -0.32%-4.59%-13.89%1.07%
31.25 HKD -3.10%-9.16%-39.38%0.98%
841.8 GBX -1.80%-3.32%+8.78%0.95%
19.34 USD -1.18%-4.77%+20.14%0.94%
53.73 USD -0.52%-3.55%-24.26%0.94%
17.92 USD -0.67%-3.32%-3.53%0.88%
42.58 USD -0.54%-5.81%-15.81%0.86%
35.66 USD -0.53%-4.73%-10.87%0.86%
60.96 USD -0.65%-3.72%-3.75%0.86%
57.84 USD -0.13%-2.15%-2.92%0.83%
34.96 USD -0.30%-4.08%+8.17%0.82%
45.03 USD -0.09%-8.00%-16.04%0.81%
58.16 USD -0.86%-7.23%+15.13%0.75%
18.17 USD -0.66%-3.64%-12.95%0.74%
3.12 AUD -1.27%-5.45%+11.03%0.73%
42.34 USD -0.72%-6.76%-7.45%0.71%
96.28 USD -0.35%-5.40%-6.59%0.70%
169.1 USD +0.40%-4.44%+5.87%0.57%
97.52 USD -0.54%-2.96%+1.74%0.57%
23.31 USD -0.55%-2.01%-17.26%0.56%
2.63 SGD -1.50%-5.05%-8.68%0.56%
1.87 SGD -1.58%-5.08%-7.88%0.54%
39.92 USD -0.26%-4.76%-5.92%0.54%
72.82 EUR -1.41%-2.96%+44.27%0.52%
30.33 USD -0.56%-5.19%+10.09%0.51%
4.46 AUD -1.55%-4.70%+4.21%0.50%
36.01 USD -0.52%-5.19%+11.87%0.49%
50.27 USD -0.59%-3.91%+0.26%0.48%
21.09 USD -0.71%-4.41%+4.37%0.48%
615.5 GBX -2.61%-3.49%-5.19%0.45%
600,000 JPY +2.39%-0.99%+8.11%0.45%
13.78 USD -0.83%-1.70%-28.66%0.45%
109.9 USD +0.44%-5.88%+21.06%0.43%
90.65 EUR -1.20%-3.72%-7.92%0.43%

ETF Ratings

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2014-07-07
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-03-27 )

AuM (EUR) 3,353 M€
AuM 1M 3,209 M€
AuM 3 months 3,187 M€
AuM 6 months 2,753 M€
AuM 12 months 2,679 M€
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