VanEck Blog & Insights

VanEck Vectors FTSE International Property (Hedged) ETF REIT

Fund description: REIT gives investors access to a diversified portfolio of international property securities from developed markets (ex Australia) with returns hedged into Australian dollars. REIT aims to provide investment returns before fees and other costs which track the performance of the Index.

Index description: The FTSE EPRA Nareit Developed ex Australia Rental Index AUD Hedged consists of securities that are real estate investment trusts (REITs) and companies listed on the exchanges of the world's major developed economies (ex Australia) that own real estate assets and derive >70% of their EBITDA from rental income.

Management style:  Replication

 as at 17-Apr-19

  • Exchange

    ASX
  • ASX code

    REIT
  • Bloomberg index code

    TRAHRA
  • Index provider

    FTSE
  • NAV1

    $19.43
  • Units outstanding1

    120,000
  • Net assets1

    $2.3M
  • Number of holdings1

    302
  • Inception date2

    29-Mar-19
  • ASX commencement

    02-Apr-19
1As of the close of the previous trading day.
2The date the ETF was seeded prior to quotation on ASX.

as at 17-Apr-19

*The NAV is generally calculated daily after all markets are closed for that day based on the closing price of the securities on the relevant foreign stock exchange. The NAV is then converted to AUD based on the relevant London WM Reuters 4pm exchange rate. This means, due to Australia’s time zone, that the NAV will generally not be updated until around 3pm next business day. 

 

Key points

  • Cost effective and easy access to a diversified portfolio of around 300 international REITs
  • Geographically diversified property exposure
  • Income and growth potential
  • Hedged to Australian dollars

Trading information

  • ASX code

    REIT
  • IRESS code

    REIT.AXW
  • Units outstanding

    120,000
  • ISIN

    AU0000041212

Fees and other costs  

  • Management costs p.a.

    0.43%

Prices as at  17-Apr-19

NAV/
Last trade
Volume:
30-day avg/
Previous day
Daily change: NAV/
Last trade
YTD change:
NAV/
Last trade
Premium/
Discount
Premium/
Discount
Distribution charts
NAV &
Premium /Discount
History
NAV
Chart
REIT $19.43
$19.72
0
2,886
$-0.19 / -0.96%
$-0.14 / -0.70%
--
--
$0.29
+1.50%

Performance history (%) View all ETFs » View all indices »

1 Mth 3 Mths 6 Mths 1 Yr 3 Yrs p.a. 5 Yrs p.a. 10 Yrs p.a. ETF Inception p.a.
Price return -- -- -- -- -- -- -- 0.00
Income return -- -- -- -- -- -- -- 0.00
Total return -- -- -- -- -- -- -- 0.00
Index (TRAHRA) 3.45 14.19 7.07 16.15 5.87 9.28 -- --
1 Mth 3 Mths 6 Mths 1 Yr 3 Yrs p.a. 5 Yrs p.a. 10 Yrs p.a. ETF Inception p.a.
Price return -- -- -- -- -- -- -- 0.00
Income return -- -- -- -- -- -- -- 0.00
Total return -- -- -- -- -- -- -- 0.00
Index (TRAHRA) 3.45 14.19 7.07 16.15 5.87 9.28 -- --

Top ten holdings (%) View all daily holdings » as at 17-Apr-19

No. of holdings: 302
Holding name
Ticker
No. of securities held Market value % of Fund
net assets
SIMON PROPERTY GROUP INC
SPG US
392 96,869 4.16
PROLOGIS INC
PLD US
796 80,104 3.44
PUBLIC STORAGE
PSA US
189 57,036 2.45
WELLTOWER INC
WELL US
473 47,600 2.04
AVALONBAY COMMUNITIES INC
AVB US
175 47,239 2.03
EQUITY RESIDENTIAL
EQR US
456 47,178 2.02
VONOVIA SE
VNA GR
660 45,295 1.94
DIGITAL REALTY TRUST INC
DLR US
261 43,298 1.86
LINK REIT
823 HK
2,685 43,210 1.85
UNIBAIL-RODAMCO-WESTFIELD
URW NA
171 41,747 1.79
Top ten total (%) 23.58
These are not recommendations to buy or to sell any security.

Top 10 Country weightings (%) as at 17-Apr-19

  • Country

    Weightings (%)
  • UNITED STATES

    61.5
  • JAPAN

    9.4
  • UNITED KINGDOM

    5.7
  • GERMANY

    4.9
  • FRANCE

    3.6
  • CANADA

    3.2
  • CHINA

    3.0
  • SINGAPORE

    2.0
  • SWEDEN

    1.9
  • BELGIUM

    1.0
  • SPAIN

    0.6
  • SWITZERLAND

    0.5
  • NETHERLANDS

    0.3
  • IRELAND

    0.2
  • AUSTRIA

    0.2
  • ISRAEL

    0.2
  • FINLAND

    0.1
  • NORWAY

    0.1
  • NEW ZEALAND

    0.1
  • GUERNSEY

    0.1
  • ITALY

    0.0
  • Other/Cash

    1.2
  • Total

    99.8

Sector weightings (%) as at 17-Apr-19

  • Sector

    Weightings (%)
  • Real Estate

    98.5
  • Health Care

    0.2
  • Consumer Discretionary

    0.1
  • Other/Cash

    1.2
  • Total

    100.0