VY(R) CLARION GLOBAL REAL ESTATE PORTFOLIO CLASS I (IRGIX)

  • Overview
  • Dividends
  • Performance
  • Calculators
  • Rolling Returns
  • Drawdowns

Overview


VY(R) CLARION GLOBAL REAL ESTATE PORTFOLIO CLASS I started on 02/01/2006
VY(R) CLARION GLOBAL REAL ESTATE PORTFOLIO CLASS I is classified as asset class Global Real Estate
VY(R) CLARION GLOBAL REAL ESTATE PORTFOLIO CLASS I expense ratio is 1.47%
VY(R) CLARION GLOBAL REAL ESTATE PORTFOLIO CLASS I rating is
(94%)

Dividends


VY(R) CLARION GLOBAL REAL ESTATE PORTFOLIO CLASS I (IRGIX) Dividend Info

VY(R) CLARION GLOBAL REAL ESTATE PORTFOLIO CLASS I (IRGIX) dividend growth in the last 12 months is 62.44%

The trailing 12-month yield of VY(R) CLARION GLOBAL REAL ESTATE PORTFOLIO CLASS I is 3.33%. its dividend history:

Pay Date Cash Amount
Jul 15, 2024 $0.32
Jul 13, 2023 $0.197
Jul 13, 2022 $0.38
Jul 13, 2021 $0.358
Jul 13, 2020 $0.681
Oct 01, 2019 $0.001
Jul 12, 2019 $0.358
Jul 13, 2018 $0.665
Oct 02, 2017 $0.012
Jul 14, 2017 $0.452
Sep 15, 2016 $0.039
Jul 14, 2016 $0.127
Sep 14, 2015 $0.001
Jul 14, 2015 $0.396
Jul 14, 2014 $0.159
Jul 16, 2013 $0.657
Jul 16, 2012 $0.082
Jul 14, 2011 $0.357
Jul 14, 2010 $0.864
Oct 02, 2009 $0.077
Jul 15, 2009 $0.202
Dec 28, 2007 $0.222
Jul 02, 2007 $0.185

Dividend Growth History for VY(R) CLARION GLOBAL REAL ESTATE PORTFOLIO CLASS I (IRGIX)

Year
Payout Amount
Year Start Yield
Annual Payout Growth (YoY)
CAGR to 2024
2024 $0.32 3.11% 62.44% -
2023 $0.197 2.09% -48.16% 62.44%
2022 $0.38 2.78% 6.15% -8.23%
2021 $0.358 3.48% -47.43% -3.67%
2020 $0.681 5.24% 89.69% -17.21%
2019 $0.359 3.38% -46.02% -2.27%
2018 $0.665 5.32% 43.32% -11.48%
2017 $0.464 3.96% 179.52% -5.17%
2016 $0.166 1.43% -58.19% 8.55%
2015 $0.397 3.19% 149.69% -2.37%
2014 $0.159 1.46% -75.80% 7.24%
2013 $0.657 5.80% 701.22% -6.33%
2012 $0.082 0.91% -77.03% 12.02%
2011 $0.357 3.62% -58.68% -0.84%
2010 $0.864 9.27% 209.68% -6.85%
2009 $0.279 3.89% - 0.92%
2007 $0.407 3.04% - -1.40%

Dividend Growth Chart for VY(R) CLARION GLOBAL REAL ESTATE PORTFOLIO CLASS I (IRGIX)

VY(R) CLARION GLOBAL REAL ESTATE PORTFOLIO CLASS I (IRGIX) Dividend Calculator

$
Total Dividend Accrued
$ 1,460.00
Annualized Dividend Yield
10.68 %

Performance


VY(R) CLARION GLOBAL REAL ESTATE PORTFOLIO CLASS I (IRGIX) Historical Returns And Risk Info

From 02/01/2006 to 04/28/2025, the compound annualized total return (dividend reinvested) of VY(R) CLARION GLOBAL REAL ESTATE PORTFOLIO CLASS I (IRGIX) is 3.179%. Its cumulative total return (dividend reinvested) is 82.398%.

From 02/01/2006 to 04/28/2025, the Maximum Drawdown of VY(R) CLARION GLOBAL REAL ESTATE PORTFOLIO CLASS I (IRGIX) is 68.2%.

From 02/01/2006 to 04/28/2025, the Sharpe Ratio of VY(R) CLARION GLOBAL REAL ESTATE PORTFOLIO CLASS I (IRGIX) is 0.08.

From 02/01/2006 to 04/28/2025, the Annualized Standard Deviation of VY(R) CLARION GLOBAL REAL ESTATE PORTFOLIO CLASS I (IRGIX) is 22.6%.

From 02/01/2006 to 04/28/2025, the Beta of VY(R) CLARION GLOBAL REAL ESTATE PORTFOLIO CLASS I (IRGIX) is 0.92.

The return data shown below all have the same latest date: 04/28/2025.
AR inception is since 02/01/2006.
Name YTD Return 1Yr AR 3Yr AR 5Yr AR 10Yr AR 15Yr AR 20Yr AR Inception
IRGIX (VY(R) CLARION GLOBAL REAL ESTATE PORTFOLIO CLASS I) 0.80% 6.91% -4.93% 3.63% 1.07% 4.15% NA 3.21%
VFINX (VANGUARD 500 INDEX FUND INVESTOR SHARES) -5.66% 9.38% 10.38% 15.77% 11.97% 12.77% 10.21% 10.03%
VSMGX (VANGUARD LIFESTRATEGY MODERATE GROWTH FUND INVESTOR SHARES) 0.73% 8.60% 6.20% 7.78% 5.69% 6.61% 6.04% 5.72%

Return Calculator for VY(R) CLARION GLOBAL REAL ESTATE PORTFOLIO CLASS I (IRGIX)

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VY(R) CLARION GLOBAL REAL ESTATE PORTFOLIO CLASS I (IRGIX) Historical Return Chart


Calculators


Dollar Cost Average Calculator for VY(R) CLARION GLOBAL REAL ESTATE PORTFOLIO CLASS I (IRGIX)

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Retirement Spending Calculator for VY(R) CLARION GLOBAL REAL ESTATE PORTFOLIO CLASS I (IRGIX)

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Rolling Returns


VY(R) CLARION GLOBAL REAL ESTATE PORTFOLIO CLASS I (IRGIX) Rolling Returns Charts

A rolling return for a period such as 5-year, as of a specific date, represents the investment’s performance over the preceding five years leading up to that date. In the 5-year rolling chart, the value on any given date corresponds to the annualized return for the preceding 5 years up to that very date. Thus, for instance, the chart value on 8/28/2015 reflects the annualized return from 8/28/2010 to 8/28/2015. A 5-year rolling return chart for an investment (stock, fund or portfolio) depicts the return sequence of 5-year trailing returns for the dates in the chart.

These rolling returns contrast with the most recent 3, 5, 10, and 15-year returns, as they solely depict the returns for those respective periods leading up to the most recent date, without encompassing every date in the historical record.

Rolling return charts offer a more precise insight into a portfolio’s risk and return stability (including funds or individual stocks). This is particularly true when focusing on the minimal return points within a rolling return chart as a measure of a fund or a portfolio's risk. A well-known observation, often attributed to ‘Murphy’s law’, is that it tends to perform poorly when investors decide to follow an investment due to its recent strong returns. Sound familiar? Information regarding minimum rolling returns could help mitigate this predicament. Investors can opt for an investment showcasing high minimum rolling returns within their preferred holding durations. In fact, merely possessing knowledge of such minimum rolling period returns can anchor investors’ expectations.

For instance, let’s consider an investor who follows a model portfolio (or even simply purchases and holds a fund like VFINX or SPY) for 10 years. Armed with knowledge of this portfolio’s minimum 10-year rolling return since its inception date or the fund’s inception (in the case of VFINX, recognizing that the minimum 10-year rolling return since 1987 could be as low as -2.24%), the investor should reasonably anticipate the potential for the portfolio to incur losses over the forthcoming 10 years.

Minimum rolling return for a period such as 10-year offers a different and often better historical risk and return metric than other popular risk and return metrics such as Sharpe ratio, standard deviation (volatility) or maximum drawdown.

See Portfolio Calculator and Rolling Returns for more detailed description.

From 02/01/2006 to 04/28/2025, the worst annualized return of 3-year rolling returns for VY(R) CLARION GLOBAL REAL ESTATE PORTFOLIO CLASS I (IRGIX) is -19.87%.
From 02/01/2006 to 04/28/2025, the worst annualized return of 5-year rolling returns for VY(R) CLARION GLOBAL REAL ESTATE PORTFOLIO CLASS I (IRGIX) is -3.98%.
From 02/01/2006 to 04/28/2025, the worst annualized return of 10-year rolling returns for VY(R) CLARION GLOBAL REAL ESTATE PORTFOLIO CLASS I (IRGIX) is 0.44%.
From 02/01/2006 to 04/28/2025, the worst annualized return of 20-year rolling returns for VY(R) CLARION GLOBAL REAL ESTATE PORTFOLIO CLASS I (IRGIX) is NA.

Drawdowns


VY(R) CLARION GLOBAL REAL ESTATE PORTFOLIO CLASS I (IRGIX) Maximum Drawdown




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