Emerging Markets Bonds

Emerging Markets Bonds

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HYEM
VanEck Vectors Emerging Markets High Yield Bond UCITS ETF

Country Weightings (%) as of 31 Mar 2021

  • Country

    % of Net Assets
  • China

    13.72
  • Brazil

    8.75
  • Turkey

    7.86
  • Mexico

    6.92
  • India

    6.39
  • Russia

    5.81
  • Israel

    3.97
  • South Africa

    3.69
  • Argentina

    3.66
  • United States

    3.34
  • Colombia

    3.16
  • Uae

    2.63
  • Indonesia

    2.46
  • Ukraine

    1.74
  • Zambia

    1.63
  • Singapore

    1.55
  • Bahrain

    1.54
  • Azerbaijan

    1.48
  • Peru

    1.45
  • Kazakhstan

    1.40
  • Oman

    1.27
  • Chile

    1.19
  • Spain

    0.98
  • Morocco

    0.86
  • Canada

    0.85
  • Panama

    0.85
  • Saudi Arabia

    0.81
  • Vietnam

    0.81
  • Kuwait

    0.81
  • Thailand

    0.80
  • Ghana

    0.59
  • United Kingdom

    0.59
  • Bermuda

    0.54
  • Tanzania

    0.45
  • Croatia

    0.44
  • Virgin Islands

    0.43
  • Nigeria

    0.43
  • Trinidad And Tobago

    0.43
  • Georgia

    0.43
  • South Korea

    0.42
  • Costa Rica

    0.38
  • Guatemala

    0.25
  • Qatar

    0.24
  • Greece

    0.22
  • Switzerland

    0.21
  • Mauritius

    0.20
  • Netherlands

    0.20
  • Luxembourg

    0.19
  • Other/Cash

    0.98

Portfolio Composition (%)
as of 31 Mar 2021

  • % of Net Assets
  • Stocks

    0.00
  • Bonds

    99.02
  • Other

    0.00
  • Cash

    0.98

Credit Quality (%) as of 31 Mar 2021

Composite % of Net Assets
Investment Grade BBB 1.14
Non-Investment Grade BB 64.22
B 24.87
CCC 9.21
CC 0.27
Total Investment Grade -- 1.14
Total Non-Investment Grade -- 98.57
Not Rated -- 0.22
Source: Bloomberg. Rating is a proprietary composite of various rating agencies. A bond must be rated by two or more rating agencies to receive a composite rating; otherwise it is classified as Not Rated.

Currency Exposure (%)
as of 31 Mar 2021

  • U.S. Dollar

    99.02
  • Other/Cash

    0.98

Sector Weightings (%) as of 31 Mar 2021

  • Sector

    % of Net Assets
  • Financials

    42.5
  • Basic Materials

    12.6
  • Energy

    11.2
  • Utilities

    7.3
  • Industrials

    5.2
  • Real Estate

    5.1
  • Consumer Non-Cyclicals

    4.7
  • Healthcare

    3.4
  • Technology

    3.3
  • Consumer Cyclicals

    2.9
  • Government Activity

    0.7
  • Other/Cash

    1.2

Maturity (%) as of 31 Mar 2021

 Average Maturity: 5.59 Years