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Marketvector Quality REIT Index ETF (IRET)

Marketvector Quality REIT Index ETF (IRET)
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Overview

Name iREIT MarketVector Quality REIT Index ETF
Fund Family iREIT
Underlying Index iREIT MarketVector Quality REIT Index
Inception Date 03/06/24
First Trade Date 10/17/97
Leverage Long
Asset Class Equity

Description:

The iREIT MarketVector Quality REIT Index ETF seeks to track the performance, before fees and expenses, of the iREIT MarketVector Quality REIT Index.

Investment Information

Standard Deviation +0.65
Shares Outstanding, K 75.00
Managed Assets, $K 1,448.80 K
Net Asset Value 19.32
First Trade Price 70.00
Management Fee 0.60%
Options No
Annual Dividend 0.00
Annual Dividend Yield 0.00%
1-Year Return -4.47%
3-Year Return 0.00%
5-Year Return 0.00%

IRET Dividends

Date Value
09/29/20 $0.7000
06/29/20 $0.7000
03/30/20 $0.7000
12/31/19 $0.7000
09/13/19 $0.7000
06/14/19 $0.7000
03/14/19 $0.7000
12/31/18 $0.7000
09/14/18 $0.0700
06/14/18 $0.0700
03/14/18 $0.0700
12/29/17 $0.0700
09/14/17 $0.0700
06/13/17 $0.0700
03/16/17 $0.0700
12/29/16 $0.0700
09/13/16 $0.1300
06/13/16 $0.1300
03/17/16 $0.1300
12/30/15 $0.1300
09/11/15 $0.1300
06/11/15 $0.1300
03/12/15 $0.1300
12/30/14 $0.1300
09/11/14 $0.1300
06/12/14 $0.1300
03/13/14 $0.1300
12/30/13 $0.1300
09/12/13 $0.1300
06/12/13 $0.1300
03/14/13 $0.1300
12/28/12 $0.1300
09/13/12 $0.1300
06/13/12 $0.1300
03/15/12 $0.1300
12/29/11 $0.1300
09/08/11 $0.1300
06/13/11 $0.1715
03/17/11 $0.1715
12/30/10 $0.1715
09/13/10 $0.1715
06/11/10 $0.1715
03/11/10 $0.1715
12/30/09 $0.1715
09/11/09 $0.1710
06/11/09 $0.1705
03/12/09 $0.1700
12/30/08 $0.1695
09/11/08 $0.1690
06/12/08 $0.1685
03/12/08 $0.1680
12/28/07 $0.1675
09/12/07 $0.1670
06/13/07 $0.1665
03/13/07 $0.1660
12/28/06 $0.1655
09/13/06 $0.1650
06/14/06 $0.1645
03/15/06 $0.1640
09/15/05 $0.1630
06/15/05 $0.1625
03/16/05 $0.1620
01/11/05 $0.1615
09/15/04 $0.1610
06/16/04 $0.1605
03/11/04 $0.1600
01/08/04 $0.1595
08/26/03 $0.1590
06/13/03 $0.1585
03/12/03 $0.1580
12/30/02 $0.1570
09/11/02 $0.1560
06/12/02 $0.1540
03/13/02 $0.1520
12/28/01 $0.1500
09/12/01 $0.1475
06/13/01 $0.1450
03/14/01 $0.1425
12/28/00 $0.1400
09/13/00 $0.1350
06/14/00 $0.1325
03/15/00 $0.1300
12/30/99 $0.1280
09/13/99 $0.1260
06/11/99 $0.1240
03/11/99 $0.1225
12/30/98 $0.1200
09/10/98 $0.1150
06/09/98 $0.1100
03/06/98 $0.1070
12/30/97 $0.1050
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