Components Vanguard Global ex-U.S. Real Estate ETF - USD

ETF

VNQI

US9220426764

Market Closed - Nasdaq 21:00:00 26/04/2024 BST 5-day change 1st Jan Change
40.57 USD +1.22% Intraday chart for Vanguard Global ex-U.S. Real Estate ETF - USD +1.65% -4.74%

Composition of Vanguard Global ex-U.S. Real Estate ETF - USD

Weight
31.19 AUD +1.23%+1.86%+23.28%3.22%
26.12 EUR +0.95%+2.96%-8.51%2.77%
1,570 JPY +3.63%-0.06%+36.16%2.48%
4,350 JPY +1.56%+3.08%+1.83%2.16%
2,808 JPY +1.78%+0.34%+44.49%1.97%
72.7 HKD -0.21%+3.05%-13.91%1.77%
33.8 HKD -0.29%+6.79%-22.92%1.56%
5,391 JPY +1.91%-0.59%+28.54%1.53%
858.6 GBX +0.44%-0.12%-3.29%1.50%
8.12 AED -0.25%-2.17%+2.53%1.45%
3.15 AUD +1.61%0.00%+5.35%1.15%
28.6 HKD +2.88%+19.67%+2.14%1.11%
33.5 HKD +0.30%+6.52%-14.54%1.02%
85.2 CHF +0.24%+0.71%-5.23%0.89%
2.6 SGD 0.00%+1.96%-14.19%0.88%
1.96 SGD 0.00%+4.81%-4.85%0.85%
16,915 JPY +0.06%+1.14%+3.46%0.82%
78.02 EUR +0.46%+1.48%+16.44%0.81%
600,000 JPY +1.18%+0.84%-1.80%0.80%
4.43 AUD +2.31%-0.45%-0.45%0.79%
28.35 PHP +0.35%+3.85%-13.83%0.74%
656.8 GBX +0.42%+2.50%-6.85%0.73%
14.52 HKD +4.01%+24.32%+5.52%0.71%
78.17 EUR +1.63%+4.23%-1.74%0.70%
115.2 CHF +0.57%-0.78%-2.13%0.70%
1,462 JPY +2.67%+1.77%-0.95%0.68%
95.7 EUR +0.53%+1.38%-13.12%0.68%
4.19 AUD +1.70%-0.24%-9.70%0.66%
130.7 SEK +0.60%+0.23%-8.76%0.65%
537,000 JPY -0.37%+0.56%-8.05%0.64%
2.63 SGD -0.38%+3.14%-16.77%0.62%
7.07 AUD +0.43%-1.39%-7.94%0.61%
2.08 AUD +1.46%-2.80%-0.48%0.61%
149,800 JPY +0.20%+3.60%-9.21%0.60%
5.35 AED +3.88%+2.10%+0.19%0.60%
24.98 EUR +0.89%-4.29%-12.35%0.59%
886.1 INR -2.41%+2.42%+21.99%0.59%
1.9 AUD +0.80%-1.04%-6.86%0.58%
25.16 EUR +0.56%+1.29%+1.94%0.58%
933.5 GBX +0.16%+0.48%-10.44%0.57%
24.25 HKD +1.68%+6.59%-8.14%0.57%
24.94 MXN -2.65%-4.55%-18.42%0.55%
94,500 JPY +0.21%+2.49%-7.26%0.55%
129,000 JPY -1.23%+1.34%-8.19%0.53%
392.3 GBX -0.13%+1.50%-1.75%0.52%
153,200 JPY -2.85%-0.65%-4.73%0.51%
68.83 SEK +2.58%+1.77%-3.66%0.51%
271,600 JPY 0.00%+1.99%+0.07%0.51%
1.34 SGD -0.74%+2.29%-22.99%0.47%
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ETF Ratings

Description

US9220426764
Total Expense Ratio 0.12%
Asset Class
Sector
Size
Currency
Provider
Underlying S&P Global ex-U.S. Property Net Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
31/10/2010
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 27/03/2024 )

AuM (EUR) 3,329 M€
AuM 1M 3,208 M€
AuM 3 months 3,273 M€
AuM 6 months 3,176 M€
AuM 12 months 3,306 M€
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