DFGR — Dimensional - Global Real Estate ETF price, holdings and performance

Dimensional - Global Real Estate ETF

Dimensional - Global Real Estate ETF (AMEX: DFGR) is an exchange-traded fund. QuoTrend tracks its price, holdings, performance, fund flows and news.

Latest market price
29.72
-0.05-0.17%
DFGRDimensional - Global Real Estate ETF·AMEX
29.72-0.17%
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Fund Snapshot
Category-Asset TypeReal Estate (Listed/REITs)Tagsreal-estateReturn% 1Y14.93%Total Holdings466Perf Week-1.72%
SponsorDimensionalETF TypeTagsreitReturn% 3Y9.41%AUM$3.86BPerf Month1.78%
Fund FamilyBond TypeTagssectorReturn% 5Y-NAV/shPerf Quarter3.88%
Index-Average MaturityTags-Return% 10Y52W High30.43 -2.33%Perf Half Y10.57%
Index WeightingCommodity TypeTags-Return% SI52W Low26.02 14.22%Perf YTD12.49%
Active/PassiveQuant TypeTags-Flows% 1M0.67%Volatility1.15% 1.03%Perf Year12.02%
Dividend TTM1.07 (3.61%)ESG TypeTags-Flows% 3M-0.67%ATR (14)0.34Perf 3Y18.93%
Dividend Ex-DateJun 23, 2026Dividend TypeSector/ThemeFlows% YTD-0.73%RSI (14)52.19Perf 5Y-
Dividend Gr. 3/5Y-Structure TypeRegionFlows% 1YBeta0.33Perf 10Y-
Expense0.22%Growth/ValueSMA200.02%Flows% 3YRel Volume1.12Prev Close29.77
Inverse/LeveragedMarket CapSMA501.48%Flows% 5YAvg Volume456.21KPrice29.72
IPO DateDec 06, 2022Option/ShortYes / YesSMA2006.37%52W Range %84%Volume511,625Change-0.17%
Holdings Breakdown
View Holdings as
Stocks
99.1%Real Estate
0.2%Financial Services
0.0%Consumer Defensive
Bonds, Cash & Other
0.7%Cash & Others
Assets Under Management
01.00B2.00B3.00B4.00B'24MarMayJulSepNov'25MarMayJulSepNov'26MarMayJul
Assets Under Management
Fund

DFGR aims to provide investors with comprehensive access to the global real estate market, with a significant focus on Real Estate Investment Trusts (REITs). The fund actively invests in companies of any market capitalization that dedicate at least 50% of their revenue or assets to residential, commercial, industrial, or other real estate ventures. Eligible investments also include REITs and similar entities. Security selection follows an integrated, active methodology, where the advisor has the discretion to adjust or exclude holdings based on various factors, including free float, stock momentum, liquidity, company size, relative valuation, profitability, and associated costs. Constituents are market capitalization-weighted, with country or regional weightings applied as needed. Reflecting its global mandate, the fund acquires securities solely from advisor-approved markets across a minimum of three different countries, including the United States. Derivatives may be utilized for enhanced exposure or cash management purposes. Lending out portfolio securities is permitted as a means to generate supplementary income.

Ownership
Total institutional ownership90.94%

Per-holder 13F data isn't yet ingested for ETFs — coming with the next data layer expansion. Aggregate ownership shown above.