VY Clarion Real Estate Portfolio

Quarterly Returns (%)
Years Q1 Q2 Q3 Q4 Annual
2002 0 -100 -3.76 -1.4 0
2003 0.73 13.18 11.29 7.73 36.7
2004 11.19 -3.25 8.63 16.85 36.55
2005 -5.51 13.66 0.53 4.85 13.2
2006 14.17 0.65 -1.3 10.53 25.33
2007 4.18 -8.39 -2.07 -16.43 -17.64
2008 3.93 -7.72 3.06 -37.93 -38.65
2009 -30.62 30.25 36.62 10.22 36.08
2010 9.28 -3.83 12.91 7.65 27.73
2011 6.28 4.14 -14.68 15.75 9.3
2012 10.47 2.33 -1.39 2.78 15.38
2013 6.59 -1.84 -2.82 0.22 1.87
2014 10.08 6.85 -3.3 14.08 29.75
2015 4.45 -10.8 2.57 7.57 2.79
2016 5.03 5.49 -1.74 -4.42 4.06
2017 0.52 1.56 0.25 2.89 5.04
2018 -7.75 9.68 1.03 -6.88 -7.82
2019 16.93 1.09 5.24 0.32 24.94
2020 -26.98 13.49 -14.46 11.82 -19.52
2021 10.18 13.15 -17.19 17.9 49.41
2022 -6.03 -17.9 -27.27 3.93 -41.68
2023 3.6 2.06 -16.4 20.16 4.46
2024 -0.68 -3.12 0 0 1.69