VY Clarion Global Real Estate Portfolio

Quarterly Returns (%)
Years Q1 Q2 Q3 Q4 Annual
2006 0 -0.27 9.17 12.25 0
2007 5.62 -7.56 4.19 -12.03 -7.69
2008 -3.23 -8.21 -6.99 -29.16 -41.47
2009 -21.92 31.16 24.77 4.06 32.96
2010 1.84 -8.98 18.07 5.93 15.94
2011 2.39 3.95 -17.2 7.06 -5.65
2012 11.83 0.51 3.3 6.82 25.17
2013 4.56 -2.73 2.43 0.47 3.28
2014 2.89 8.35 -5.21 7.31 13.4
2015 3.82 -7.36 -1.47 3.43 -1.98
2016 4.27 2.09 0.43 -6.55 -0.1
2017 1.14 2.86 1.17 5.1 10.25
2018 -4.68 3.93 -0.28 -5.73 -9.11
2019 15.1 0.41 1.8 2.49 21.27
2020 -27.09 11.6 -14.46 12.75 -19.66
2021 6.43 10.45 -8.07 13.09 30.51
2022 -6.57 -17.19 -18.05 7.54 -31.81
2023 2.19 0 -8.9 19.24 9.31
2024 -0.8 -3.58 0 0 -2.81