Morningstar® Investment Profile™   Morningstar®
Disclosure
  Format
for Print
Vanguard VIF Real Estate Index
Release date as of 2024-03-31. Data on page is subject to change.
Snapshot Ratings & Risk Portfolio Nuts & Bolts
  Morningstar Ratings
Morningstar
Return
Morningstar
Risk
Morningstar
Rating
Number of
Funds
3-Year Below Avg Above Avg 236
5-Year Average Average 217
10-Year Average Average 160
Overall Average Average 236
Morningstar Category: Real Estate | Number of Funds in Category: 236
Data through 2024-03-31
Ratings reflect risk-adjusted performance and are derived from a weighted average of the performance figures associated with its three, five and ten-year (if applicable) time periods.
  Volatility Measurements
Standard Deviation 21.79
Mean 1.60
Sharpe Ratio 0.04
Trailing 3-Yr as of 2024-03-31
  Modern Portfolio Theory Statistics
Best Fit Index
Morningstar US Real Est TR USD
R-Squared 100
Beta 1.01
Alpha -0.40
Trailing 3-Yr as of 2024-03-31
  Principal Risks   
Loss of Money, Not FDIC Insured, Nondiversification, Interest Rate, Market/Market Volatility, Equity Securities, Management, Portfolio Diversification, Real Estate/REIT Sector
Show Risk Definitions
  Investment Risks
Sector Funds: Funds that invest exclusively in one sector or industry involve risks due to the lack of industry diversification and expose the investor to increased industry-specific risks.
Non-Diversified Funds: Funds that invest more of their assets in a single issuer involve additional risks, including share price fluctuations, because of the increased concentration of investments.
Show Data Definitions

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Returns will vary and shares may be worth more or less than their original cost when sold.