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Vanguard Real Estate Index Fund ETF Shares (VNQ)

95.46 -0.60 (-0.62%)
At close: May 4 at 4:00:00 PM EDT
94.11 -1.33 (-1.39%)
Pre-Market: 4:52:04 AM EDT
Trade VNQ on Coinbase
Chart Range Bar
Loading chart for VNQ
  • Previous Close 96.06
  • Open 95.74
  • Bid 94.07 x 30000
  • Ask --
  • Day's Range 95.08 - 96.29
  • 52 Week Range 86.36 - 97.06
  • Volume 3,595,087
  • Avg. Volume 3,842,478
  • Net Assets 64.66B
  • NAV 95.41
  • PE Ratio (TTM) 32.12
  • Yield 3.93%
  • YTD Daily Total Return 9.04%
  • Beta (5Y Monthly) 1.10
  • Expense Ratio (net) 0.13%

The advisor attempts to track the index by investing all, or substantially all, of its assets-either directly or indirectly through a wholly owned subsidiary, which is itself a registered investment company-in the stocks that make up the index, holding each stock in approximately the same proportion as its weighting in the index. The fund is non-diversified.

Vanguard

Fund Family

Real Estate

Fund Category

64.66B

Net Assets

2004-09-23

Inception Date

Performance Overview: VNQ

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Trailing returns as of 5/4/2026. Category is Real Estate.

YTD Return

VNQ
9.04%
Category
2.31%

1-Year Return

VNQ
10.65%
Category
2.75%

3-Year Return

VNQ
9.70%
Category
6.76%

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Holdings: VNQ

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Top 10 Holdings (54.36% of Total Assets)

Symbol Company % Assets
VRTPX 14.50%
WELL 7.69%
PLD 7.03%
EQIX 5.51%
AMT 4.63%
DLR 3.55%
SPG 3.49%
O 3.20%
PSA 2.45%
CBRE 2.31%

Sector Weightings

Research Reports: VNQ

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  • Berkshire Hathaway: 5 Key Takeaways From the 2026 Annual Meeting

    Berkshire Hathaway is a holding company with a wide array of subsidiaries engaged in diverse activities. The firm's core business segment is insurance, run primarily through Geico, Berkshire Hathaway Reinsurance Group, and Berkshire Hathaway Primary Group. Berkshire has used the excess cash thrown off from its operations to acquire Burlington Northern Santa Fe (railroad), Berkshire Hathaway Energy (utilities and energy distributors), and the companies that make up its manufacturing, service, and retailing operations (which include Precision Castparts, Lubrizol, Clayton Homes, Marmon, and IMC/ISCAR). The conglomerate is unique in that it is run on a completely decentralized basis. Berkshire generated close to $371.4 billion in operating revenue in during 2025.

    Rating
    Price Target
  • Argus Quick Note: Weekly Stock List for 05/04/2026: Global Stock Stars

    U.S. stocks are trading near record highs - but despite the strong performance, they are being bested by global emerging stocks. A leading industrialized global stock market index, the ETF EAFE (EFA), is up 6% year to date, while the leading emerging market ETF (EEM) has gained 17%. The S&P 500 is no slacker, up 6% year to date, but still below the global emerging stocks. With continued worries over the state of the U.S. economy and some talk of stagflation, global stocks, and especially those that pay dividends, are an option for investors. The lagging U.S. markets represent a change from the recent record. Over the past five years, the S&P 500 has advanced 70% compared to a 28% gain in EAFE and a 14% gain in EEM. But the underperformance has given global stocks a valuation advantage, particularly in the area of dividends. Consider that the EAFE dividend yield of 3.35% is roughly 225 basis points higher than the comparable S&P 500 dividend yield. We think global dividend stocks continue to offer opportunity. In our view, investing in international income stocks is one way to increase portfolio diversification while reducing sensitivity to volatile U.S interest rates. That said, investing in overseas stocks carries its own set of risks, including the impact of currency exchange and geopolitical turmoil. But there are also a number of positives in this asset class for U.S. investors, including a wide selection of companies that pay dividends, robust industry diversification, and, as we have mentioned, higher yields and lower valuations. We used the sort function in the Argus screening tool using these criteria: stocks must carry and Argus BUY rating, trading just below their 52-week high, and with a dividend yield. The following is the resultant list and offers diversity in sectors and countries.

  • Berkshire Hathaway Earnings: Cash Hits Record $380 Billion on Stock Sales and Solid Q1 Results

    Berkshire Hathaway is a holding company with a wide array of subsidiaries engaged in diverse activities. The firm's core business segment is insurance, run primarily through Geico, Berkshire Hathaway Reinsurance Group, and Berkshire Hathaway Primary Group. Berkshire has used the excess cash thrown off from its operations to acquire Burlington Northern Santa Fe (railroad), Berkshire Hathaway Energy (utilities and energy distributors), and the companies that make up its manufacturing, service, and retailing operations (which include Precision Castparts, Lubrizol, Clayton Homes, Marmon, and IMC/ISCAR). The conglomerate is unique in that it is run on a completely decentralized basis. Berkshire generated close to $371.4 billion in operating revenue in during 2025.

    Rating
    Price Target
  • Berkshire Hathaway: Enters a New Era With Greg Abel at the Helm; Shares Modestly Undervalued

    Berkshire Hathaway is a holding company with a wide array of subsidiaries engaged in diverse activities. The firm's core business segment is insurance, run primarily through Geico, Berkshire Hathaway Reinsurance Group, and Berkshire Hathaway Primary Group. Berkshire has used the excess cash thrown off from its operations to acquire Burlington Northern Santa Fe (railroad), Berkshire Hathaway Energy (utilities and energy distributors), and the companies that make up its manufacturing, service, and retailing operations (which include Precision Castparts, Lubrizol, Clayton Homes, Marmon, and IMC/ISCAR). The conglomerate is unique in that it is run on a completely decentralized basis. Berkshire generated close to $371.4 billion in operating revenue in during 2025.

    Rating
    Price Target

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