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KOL VanEck Vectors Coal ETF

  • Fund Description

    VanEck Vectors Coal ETF (KOL®) seeks to replicate as closely as possible, before fees and expenses, the price and yield performance of the MVIS Global Coal Index (MVKOLTR), which is intended to track the overall performance of companies involved in coal operation (production, mining, and cokeries), transportation of coal, from production of coal mining equipment as well as from storage and trade.

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    • Fund Ticker

      KOL
    • Exchange

      NYSE Arca
    • Commencement

      01/10/2008
    • ETF Structure

      Physical
    • Administrator

      Van Eck Associates
    • Custodian

      Bank of New York Mellon
    • Index Ticker

      MVKOLTR
    • Index Rebalancing

      Quarterly
  •  
    as of 05/27/16

    • 30-Day SEC Yield1

      2.15%
    • Total Net Assets

      $51.0M
    • Number of Holdings

      27
    • Options

      Available
    • Gross Expense Ratio2

      0.66%
    • Net Expense Ratio/TER2

      0.59%
    • Distribution Frequency

      Annual
    • Next Distribution Date

      12/16/2016
  • Fundamentals
    as of 04/30/16

    • Weighted Average Market Cap

      $6.5B
    • Price/Earnings Ratio
      (Last 12 Months)*

      16.20
    • Price/Book Ratio
      (Last 12 Months)*

      0.77
    *A weighted harmonic average is used to calculate this metric. Price/Book Ratio is the price of a security divided by the book value per share of the security. Price/Earnings Ratio is the price of a security divided by the last twelve months earnings per share of the security.
  • Market Capitalization (%)
    as of 04/30/16

    • Capitalization

      % of Net
      Assets ($)
    • Large (>$5.0B)

      34.0%
    • Mid ($1.0 - $5.0B)

      44.1%
    • Small (<$1.0B)

      20.7%
    This breakdown represents what percentage of the ETF's assets represent large/mid/small-sized companies. The market capitalization of an individual, publicly traded company is calculated by multiplying the company's stock price by the total number of its shares outstanding.
  • 3-YR Risk Measures
    as of 04/30/16

    • Beta vs. S&P 500 Index

      1.18
    • Correlation vs. S&P 500 Index

      0.50
    • Volatility (Standard Deviation)

      26.31
    • Sharpe Ratio

      -0.91

    Source: VanEck, FactSet.

    Beta is a measure of sensitivity to market movements. Correlation measures the extent of linear association between the ETF performance and the index performance. Volatility is the annualized standard deviation of the ETF's monthly returns. Sharpe ratio measures risk-adjusted return, and represents the ETF's return less the risk free rate divided by the standard deviation.

  • Country Weightings (%) as of 04/30/16

    • Country

      % of Net Assets
    • CHINA

      27.21
    • AUSTRALIA

      16.62
    • UNITED STATES

      15.55
    • CANADA

      14.83
    • INDONESIA

      7.43
    • THAILAND

      6.35
    • SOUTH AFRICA

      4.88
    • PHILIPPINES

      3.89
    • POLAND

      1.42
    • UNITED KINGDOM

      0.59
    • Other/Cash

      1.21
  • Portfolio Composition (%)
    as of 05/27/16

    • % of Net Assets
    • Stocks

      98.69
    • Bonds

      0.00
    • Other

      0.00
    • Cash

      1.31
  • Sector Weightings (%) as of 04/30/16

    • Sector

      % of Net Assets
    • Energy

      55.9
    • Industrials

      24.7
    • Materials

      16.9
    • Consumer Discretionary

      1.3
    • Other/Cash

      1.2
  • Currency Exposure (%)
    as of 04/30/16

    • U.S. Dollar

      29.87
    • Hong Kong Dollar

      17.23
    • Australian Dollar

      16.62
    • Indonesian Rupiah

      15.36
    • Canadian Dollar

      4.95
    • South African Rand

      4.88
    • Thai Baht

      3.96
    • Philippines Peso

      3.89
    • Polish Zloty

      1.42
    • Russian Ruble

      0.59
    • Other/Cash

      1.21