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VanEck FTSE International Property (Hedged) ETF (ASX: REIT) - Announcements

Current share price for REIT : $16.565 0.03 (0.18%)+

VanEck FTSE International Property (Hedged) ETF (REIT) is an Exchange Traded Fund - commonly known as an ETF. For more details about how ETFs work, feel free to check out our What is an ETF? overview. VanEck FTSE International Property (Hedged) ETF (REIT, formerly VanEck Vectors FTSE International Property (Hedged) ETF) 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.

Latest company announcements for VanEck FTSE International Property (Hedged) ETF (REIT)

Market Cap ($m) Headline Release
date/time+
Price at
release+
Current
price+
Gain/Loss View
$413 Issued Units Outstanding as at 31 March 2023 4 Apr 2023 9:55AM $15.350 $16.565 risen by 7.92%
$413 Dividend Reinvestment Plan Prices 3 Apr 2023 2:24PM $15.300 $16.565 risen by 8.27%
$413 Final Dividend/Distribution for period ending 31 March 2023 31 Mar 2023 8:32AM $15.070 $16.565 risen by 9.92%
$413 Dividend timetable 24 Mar 2023 8:35AM $14.670 $16.565 risen by 12.92%
$413 Half-Year Financial Report 13 Mar 2023 9:09AM $15.420 $16.565 risen by 7.43%
$413 Issued Units Outstanding as at 28 Feb 2023 2 Mar 2023 1:21PM $15.730 $16.565 risen by 5.31%
$413 Number of Outstanding Units as at 31 January 2023 1 Feb 2023 3:36PM $16.620 $16.565 fallen by 0.33%
$413 Indicative dividends calendar for 2023 11 Jan 2023 9:25AM $15.710 $16.565 risen by 5.44%
$413 Dividend component details 10 Jan 2023 3:30PM $15.660 $16.565 risen by 5.78%
$413 Number of Outstanding Units as at 31 December 2022 3 Jan 2023 4:06PM $15.480 $16.565 risen by 7.01%
$413 Dividend Reinvestment Plan Prices 3 Jan 2023 3:57PM $15.480 $16.565 risen by 7.01%
$413 Final Dividend/Distribution for period ending 31 Dec 2022 30 Dec 2022 9:17AM $15.430 $16.565 risen by 7.36%
$413 Dividend timetable 20 Dec 2022 8:28AM $15.630 $16.565 risen by 5.98%
$413 Number of Outstanding Units as at 30 November 2022 1 Dec 2022 3:55PM $16.310 $16.565 risen by 1.56%
$413 Number of Outstanding Units as at 31 October 2022 1 Nov 2022 10:04AM $15.500 $16.565 risen by 6.87%
$413 Dividend component details 10 Oct 2022 8:43AM $14.880 $16.565 risen by 11.32%
$413 Number of Outstanding Units as at 30 September 2022 4 Oct 2022 9:59AM $14.960 $16.565 risen by 10.73%
$413 Dividend Reinvestment Plan Prices 3 Oct 2022 2:00PM $15.020 $16.565 risen by 10.29%
$413 Final Dividend/Distribution for period ending 30 Sep 2022 30 Sep 2022 8:08AM $15.320 $16.565 risen by 8.13%
$413 Annual Report FYE 30 June 2022 27 Sep 2022 3:40PM $15.320 $16.565 risen by 8.13%
$413 Replacement Product Disclosure Statement 27 Sep 2022 9:59AM $15.630 $16.565 risen by 5.98%
$413 Dividend timetable 26 Sep 2022 9:35AM $15.980 $16.565 risen by 3.66%
$413 Number of Outstanding Units as at 31 August 2022 1 Sep 2022 2:38PM $17.260 $16.565 fallen by 4.03%
$413 Number of Outstanding Units as at 31 July 2022 2 Aug 2022 2:15PM $18.100 $16.565 fallen by 8.48%
$413 Dividend component details 14 Jul 2022 12:11PM $16.800 $16.565 fallen by 1.40%

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  • + Company announcements and prices are delayed by least 20 minutes. Prices are indicative only.

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