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XLRE Sector — Real Estate ETF (XLRE)

Sector — Real Estate · Benchmark: Index Benchmark · Domiciled in US

AUM
$12.7B
Expense ratio
55.00%
Inception
2003-05-15
VMCI-Composite
67/100
5y CAGR
11.2%

VMCI-Composite holdings score

ValueMarkers builds the VMCI-Composite by taking the underlying VMCI score for each of the ETF's top-10 holdings and weighting it by the holding's share of the fund. The number summarizes the fundamentals of the largest positions on the five-pillar framework — Value, Quality, Integrity, Growth, Risk.

XLRE Sector — Real Estate ETF — analysis

XLRE's headline numbers: $12.7B AUM, 55 bps expense ratio, 2003 inception. Category: Sector — Real Estate. Benchmark: Index Benchmark. XLRE Sector — Real Estate ETF is the issuer-titled fund managed against that index since launch.

XLRE VMCI-Composite: 67/100. The metric weighs the underlying companies' VMCI by their fund weight (top 10), so it captures whether the index methodology is selecting fundamentally cheaper, higher-quality, or lower-risk names. Read: above-average composite quality.

Trailing total return on XLRE: 11.2% 5y CAGR. The Index Benchmark index returned 10.0% per year over the same window, leaving the fund above index by 1.2 pp annualized.

Income line on XLRE: 4.70% trailing yield, 5.2% 5-year distribution CAGR. The starting yield combined with the growth rate is the standard back-of-envelope for total-income compounding inside the fund.

Holdings detail for XLRE: 29% in top 10 (AAPL 3.41% the largest), with Technology at 29% of the allocation. The remaining sector mix spreads across 11 categories.

For a sector — real estate allocation, the comparable trio to XLRE is SPY, VOO, VTI. The screener and ETF browse pages on ValueMarkers let you sort all four side-by-side on AUM, cost, return, and yield.

Top 25 holdings

#TickerWeightVMCI
1AAPL3.41%87
2MSFT3.41%65
3NVDA3.20%84
4AMZN3.15%41
5GOOGL2.94%77
6META2.90%78
7BRK-B2.69%49
8TSLA2.65%57
9V2.57%79
10JPM2.31%48
11UNH2.27%54
12XOM2.19%41
13JNJ2.10%83
14PG1.98%52
15MA1.72%75
16HD1.51%83
17MRK1.35%67
18AVGO1.22%40
19PEP1.22%76
20COST1.18%68
21KO1.09%67
22WMT0.97%55
23BAC0.84%85
24CVX0.59%78
25ADBE0.55%47

Performance & income

YTD
14.2%
1y total return
1.3%
3y CAGR
11.2%
5y CAGR vs benchmark
11.2% / 10.0%
Dividend yield
4.70%
5y distribution CAGR
5.2%

Comparable ETFs

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Data refreshed at request time and cached for 6 hours. As of 2026-05-15.

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