LATEST NAVs
(as of 02/12/2016)
TICKER NAV CHANGE
AFK $16.75 $0.26
ANGL $23.33 $0.08
BBH $98.85 $3.15
BIZD $14.00 $0.31
BJK $29.06 $0.90
BRF $9.41 $0.03
CBON $24.36 $0.09
CNXT $30.93 $0.46
CRAK $17.29 $0.09
EGPT $33.19 $0.22
EMAG $20.19 -$0.05
EMLC $17.01 -$0.04
EVX $56.12 $1.13
FLTR $24.64 $0.00
FRAK $11.56 $0.35
GDX $18.62 $0.52
GDXJ $24.45 $0.94
GEX $44.88 $0.25
GNRX $23.05 $0.15
HAP $25.36 $0.61
HYD $31.10 $0.00
HYEM $21.61 -$0.04
IDX $19.80 -$0.25
IDXJ $7.33 -$0.05
IHY $22.12 -$0.09
ISRA $25.47 $0.29
ITM $24.43 -$0.05
KOL $5.99 $0.19
KWT $44.14 $0.46
MES $20.35 $0.17
MLN $20.24 -$0.05
MOAT $27.25 $0.57
MOO $42.75 $0.42
MORT $17.53 $0.33
MOTI $23.87 $0.35
NLR $44.90 $0.19
OIH $22.54 $0.62
OUNZ $12.31 -$0.01
PEK $34.80 $0.35
PFXF $18.61 $0.19
PLND $13.06 $0.01
PPH $57.07 $0.90
PRB $24.81 $0.00
REMX $11.97 $0.21
RSX $13.37 $0.27
RSXJ $17.12 $0.25
RTH $69.55 $1.36
SCIF $33.04 -$0.31
SHYD $25.10 $0.01
SLX $17.91 $1.03
SMB $17.75 $0.00
SMH $46.55 $0.95
SPUN $14.86 $0.14
THHY $20.37 $0.24
VNM $13.72 $0.09
XMPT $27.36 -$0.17
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Joe Foster - VanEck Views

Gold Shines as a Safe Haven

PM Joe Foster: "...gold bullion was the true winner in January."| Read Blog Post »

Important Tax Information

2015 Supplemental Tax Information: Van Eck Funds
 
Market Vectors ETFs 2015 Yearend Dividends/Distributions
 
Van Eck Funds 2015 Yearend Dividends/Distributions  
 
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VanEck

Founded in 1955, VanEck was among the first U.S. money managers to help investors achieve greater diversification through global investing. Today the firm continues this tradition by offering innovative, actively managed investment choices in hard assets, emerging markets, precious metals, including gold, fixed income, and other specialized, domestic and international asset classes.


Individual and institutional investors have access to our portfolios through mutual funds, insurance portfolios, separate accounts, and alternative investments. Through Market Vectors ETFs, Van Eck Global offers a broad array of ETFs and ETNs and is one of the largest providers of ETPs in the U.S and worldwide.

 

 


Important Disclosure

Daily prices shown reflect the prior business day's closing net asset value (NAV) price. Changes shown from day to day are extremely short term. Historical performance is no guarantee of future results. Share price, yield and return on an actual investment will fluctuate, and you may have a gain or loss when you sell your share.

ETF Fund shares are not individually redeemable and will be issued and redeemed at the NAV only through certain authorized broker-dealers in large, specified blocks of shares called "creation units" and otherwise can be bought and sold only through exchange trading. Creation units are issued and redeemed principally in kind. Shares may trade at a premium or discount to their NAV in the secondary market.

Investing involves risk, including possible loss of principal. An investor should consider investment objectives, risks, charges and expenses of the investment company carefully before investing. The prospectus and summary prospectus contain this and other information. Please read the prospectus and summary prospectus carefully before investing.

This content is published in the United States for residents of specified countries. Investors are subject to securities and tax regulations within their applicable jurisdictions that are not addressed on this content. Nothing in this content should be considered a solicitation to buy or an offer to sell shares of any investment in any jurisdiction where the offer or solicitation would be unlawful under the securities laws of such jurisdiction, nor is it intended as investment, tax, financial, or legal advice. Investors should seek such professional advice for their particular situation and jurisdiction.