Components iShares Global REIT ETF - USD

ETF

REET

US46434V6478

Delayed Nyse 01:25:18 2024-04-29 pm EDT 5-day change 1st Jan Change
22.5 USD +1.08% Intraday chart for iShares Global REIT ETF - USD +1.56% -6.93%

Composition of iShares Global REIT ETF - USD

Weight
18.44 USD +1.29%-3.96%-22.18%0.08%
2.36 AUD +2.16%+2.61%-3.28%0.08%
162,400 JPY 0.00%+1.06%-4.69%0.08%
21.6 USD +1.72%+1.36%-4.18%0.08%
128,300 JPY +0.79%+1.50%+2.31%0.08%
12.67 CAD -1.37%-3.28%-8.26%0.07%
3.54 SGD 0.00%+2.91%-3.54%0.07%
505 GBX +2.85%+2.02%-11.09%0.07%
354,500 JPY +0.57%+2.01%+5.51%0.07%
21.35 EUR +0.95%+1.18%-3.83%0.07%
27.55 EUR +3.18%+8.25%-7.24%0.07%
13.23 CAD +0.61%-2.93%-4.13%0.07%
559,000 JPY +0.18%+1.27%-1.24%0.07%
15.84 EUR +1.15%-4.00%+1.67%0.07%
10.15 EUR -0.20%-8.81%+2.06%0.07%
142,400 JPY +1.21%+0.64%+5.79%0.07%
4.735 USD +1.39%+2.60%-8.51%0.06%
0.55 SGD +1.85%+3.77%-14.73%0.06%
73.4 EUR +0.96%-6.73%-13.85%0.06%
62,000 JPY +1.14%+0.98%+7.64%0.06%
4.635 USD +3.69%+4.04%-14.26%0.06%
3.82 HKD +0.53%+12.68%-22.98%0.06%
64.5 USD -0.14%-1.45%+11.05%0.06%
66.2 EUR +1.38%0.00%+2.48%0.06%
0.835 NZD +3.09%+0.60%-4.57%0.06%
6.925 USD +3.20%+3.44%-2.67%0.06%
169,100 JPY +1.50%+1.56%-1.28%0.06%
5.05 CAD +3.91%+4.12%-2.13%0.06%
353.5 INR +0.14%+3.38%+9.35%0.06%
10.64 USD +0.61%-0.79%-14.03%0.06%
3.65 AUD +3.40%+3.40%-1.62%0.06%
106,900 JPY +0.85%+0.94%-2.37%0.06%
0.67 SGD 0.00%-1.47%-27.96%0.06%
33.32 USD +0.14%+1.99%-3.11%0.05%
113.8 GBX +1.79%+2.15%-10.68%0.05%
0.975 SGD +1.04%+3.72%-12.16%0.05%
0.845 SGD +1.81%+1.20%-4.52%0.05%
42.87 ZAR +1.95%+1.04%-3.21%0.05%
6.1 USD -0.49%-2.40%-9.08%0.05%
79,300 JPY -2.34%-2.10%-3.88%0.05%
2.53 AUD +2.85%+0.80%-15.38%0.05%
78.1 GBX +1.43%0.00%-9.50%0.05%
26.74 USD +1.54%+3.91%+0.24%0.05%
2.16 NZD +1.41%-0.92%-2.26%0.05%
151,900 JPY +1.61%+2.84%-2.19%0.05%
90.4 GBX +0.44%-0.44%-4.64%0.05%
13.12 EUR +0.15%-9.02%-9.27%0.04%
140,500 JPY 0.00%+1.15%+1.08%0.04%
1.27 SGD +0.79%+2.42%-2.31%0.04%
75c19.RC0sNPxm_ghluyP1JPncxOni96g_uIeBtFuIM2CWsSc.Dmh-RM5SsFEX7XCMHa-aib-RovFc7s-2zQPeA1n4iXMieEJrnSqzeDrpcg

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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