REIT | REIT | 24.35 | N/A | Stocks | NMS |
^FNAR | FTSE NAREIT All REITs | 197.99 | N/A | Index | FGI |
^FNMR | FTSE NAREIT Mortgage REITs | 2.54 | N/A | Index | FGI |
^SP500-60108050 | S&P 500 Data Center REITs (Sub | 117.52 | N/A | Index | SNP |
REIT | ALPS Active REIT ETF | 24.08 | N/A | ETF | NGM |
^737306-USD-STRD | MSCI WORLD REITS - NORTH AMERIC | 1,167.15 | N/A | Index | MSC |
^FNER | FTSE Nareit All Equity REITs In | 687.06 | N/A | Index | FGI |
352540.KS | KODEX Japan REITs(H) | 11,870.00 | N/A | ETF | KSC |
341850.KS | TIGER REITS AND BOND TR | 4,760.00 | N/A | ETF | KSC |
^SP500-60104010 | S&P 500 - Office REITs (Sub Ind | 97.27 | N/A | Index | SNP |
FN26.FGI | FTSE Nareit Timber REITs Index | 159.02 | N/A | Index | FGI |
^SP500-601030 | S&P 500 Hotel & Resort REITs (I | 124.69 | N/A | Index | SNP |
^NQUSB35102020LMT | Nasdaq US Industrial REITs Larg | 1,170.21 | N/A | Index | NIM |
0P0001O0K1 | PWM Funds - Global REITs Select | 111.33 | N/A | Mutual fund | PNK |
FNRE.FGI | FTSE Nareit Equity REITs Index | 655.12 | N/A | Index | FGI |
0P00009SE1.TW | Nomura Global REITs Fund Divide | 8.68 | N/A | Mutual fund | TAI |
ZRE.TO | BMO EQUAL WEIGHT REITS INDEX ET | 19.79 | N/A | ETF | TOR |
429870.KS | HEROES REITs IGIS Active | 7,345.00 | N/A | ETF | KSC |
429740.KS | ARIRANG K-REITs Fn | 7,065.00 | N/A | ETF | KSC |
^SP400-60103010 | S&P 400 Hotel & Resort REITs (S | 53.00 | N/A | Index | SNP |
FNMRNT.FGI | FTSE NAREIT Mortgage REITs TWD | 2.63 | N/A | Index | FGI |
GB12D.AS | Euronext Reitsmarket Global Bal | 1,461.10 | N/A | Index | AMS |
EREE.FGI | FTSE EPRA/NAREIT Europe REITs | 527.05 | N/A | Index | FGI |
^737306-USD-NETR | MSCI WORLD REITS - NORT NETR US | 1,434.76 | N/A | Index | MSC |
0P000099YE.TW | FSITC Global REITs B-INC | 5.95 | N/A | Mutual fund | TAI |