Components VanEck Global Real Estate UCITS ETF - EUR

ETF

TRET

NL0009690239

Market Closed - Swiss Exchange 11:55:01 2024-05-22 pm EDT 5-day change 1st Jan Change
36.56 EUR -0.23% Intraday chart for VanEck Global Real Estate UCITS ETF - EUR +0.41% -0.19%

Composition of VanEck Global Real Estate UCITS ETF - EUR

Weight
109.2 USD -1.25%-0.70%-18.06%10.51%
283 USD -0.01%-1.27%-7.21%4.68%
146.2 USD -1.20%-2.70%+2.49%4.00%
53.72 USD -2.47%-2.52%-6.44%3.73%
101.9 USD +0.76%+0.86%+12.98%3.19%
143.2 USD -0.77%-1.03%+6.37%3.05%
29.53 USD -1.96%-3.21%-7.37%2.95%
197.6 USD -0.44%-0.43%+5.54%2.38%
122.8 USD -0.57%-1.91%-3.15%2.27%
66.26 USD -0.81%-1.94%+8.34%2.12%
146.4 USD +0.20%-3.75%-8.71%2.06%
48.47 USD +0.21%-0.49%-2.75%1.91%
136 USD -0.37%-1.24%+1.15%1.88%
2,560 JPY -2.46%-7.38%+31.47%1.86%
1,404 JPY -0.85%-2.70%+21.72%1.84%
28.99 EUR +0.76%-3.17%+1.58%1.79%
34.98 USD -0.57%-1.88%+2.55%1.73%
33.45 HKD -3.74%-8.09%-23.60%1.61%
4,162 JPY -0.67%+0.77%-2.57%1.59%
262.9 USD -0.46%-1.83%+6.05%1.45%
19.52 USD -1.16%-3.60%-1.41%1.42%
19 USD -0.11%-1.76%-10.84%1.34%
122.4 USD -0.24%+3.40%-8.40%1.28%
26.05 HKD -1.33%-1.33%-1.33%1.27%
39.6 USD -0.23%-0.05%+3.42%1.24%
59.17 USD -1.37%-0.50%-8.70%1.18%
64.1 USD -0.82%+1.22%-9.13%1.09%
913.2 GBX -0.35%-2.52%+3.02%1.06%
60.32 USD +0.25%-0.38%-9.97%1.01%
105.4 USD -0.53%-2.45%+6.11%1.00%
3.145 AUD -1.41%-3.68%+5.02%0.95%
45.67 USD -1.42%-0.52%-7.46%0.94%
4,881 JPY -1.71%-6.36%+16.26%0.93%
61.73 USD -0.99%-4.56%-12.03%0.93%
36.37 USD -0.95%-0.76%+1.14%0.89%
1.99 SGD 0.00%0.00%-3.40%0.80%
572,000 JPY -1.89%-4.35%-6.38%0.79%
101.1 USD -0.20%-1.84%-1.90%0.79%
79.64 EUR +0.56%-0.45%+19.01%0.77%
85.95 CHF +0.35%-0.17%-4.34%0.69%
2.69 SGD +1.89%+1.13%-11.22%0.69%
45.46 USD -0.74%-0.96%-18.97%0.69%
43.17 USD -0.55%+0.26%-6.86%0.67%
515,000 JPY -0.96%-4.81%-11.82%0.63%
15.97 USD +0.63%-1.60%-7.31%0.61%
146,400 JPY -0.75%-4.94%-11.33%0.61%
6.995 AUD -0.92%-3.72%-8.98%0.60%
4.49 AUD -0.66%-5.07%+0.90%0.58%
92,700 JPY -0.64%-1.38%-9.13%0.58%
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Description

NL0009690239
Total Expense Ratio 0.25%
Asset Class
Sector
Size
Currency
Provider
Underlying GPR Global 100 Total Return Index - EUR

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2011-04-12
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-04-29 )

AuM (EUR) 258 M€
AuM 1M 279 M€
AuM 3 months 312 M€
AuM 6 months 200 M€
AuM 12 months 211 M€
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