GRI | |
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Fund Stats as of 02/15/2019 | |
Symbol | GRI |
Listing Exchange | NYSE Arca |
CUSIP | 00162Q 106 |
ISIN | US00162Q1067 |
Inception Date | 05/07/2008 |
Dividends Paid | Quarterly |
Fund Type | Exchange Traded Fund |
Market Price | $45.92 |
Last Trade Price | $45.92 |
NAV | $46.00 |
NAV Change | $0.13 |
Total Net Assets | $55,199,105 |
Total Market Value | $55,065,474 |
Premium/Discount(%) | -0.17% |
Difference ($) | $-0.08 |
Volume | 195 |
Shares Outstanding | 1,200,000 |
Expenses as of 03/31/2018 | |
Management Fee | 0.55% |
Other Expenses | 0.00% |
Total Operating Expenses | 0.55% |
Yield Data as of 12/31/2018 | |
30 Day SEC | 3.00% |
30 Day SEC Unsubsidized | 3.00% |
Fund Resources | |
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Summary Prospectus | |
Statement of Additional Information | |
Quarterly Fact Sheet | |
Statutory Prospectus | |
Resource Library |
† ETFs are transparent because holdings are disclosed on the website daily (Ordinary brokerage commissions apply).
Retail REITs |
20.1% |
||||||||||||
Specialized REITs |
14.6% |
||||||||||||
Office REITs |
11.6% |
||||||||||||
Diversified Real Estate Activities |
10.9% |
||||||||||||
Residential REITs |
10.6%
Industrial REITs
8.9%
Real Estate Operating Companies
8.1%
Diversified REITs
4.7%
Health Care REITs
4.7%
Real Estate Development
3.4%
Hotel & Resort REITs
2.4%
|
Portfolio weights are subject to change.