Emerging Markets

Emerging Markets

Sign-up to Receive
Our Latest Insights

HYEM
VanEck Vectors Emerging Markets High Yield Bond UCITS ETF

Fund Description

The VanEck Vectors Emerging Markets High Yield Bond UCITS ETF offers the potential for higher returns than developed-market bonds, while also having the advantage of higher credit quality. The EM bond universe has grown substantially in the last years, and is now an attractive alternative to the developed world’s high yield markets.

  • Potential for higher returns than developed market high-yield bonds
  • Currently higher average credit rating than developed-market high yield
  • Tracks a well-diversified index of corporate bonds


Risk factors: Foreign Currency Risk, Emerging Markets Risk, High Yield Securities Risk



Underlying Index

ICE BofAML Diversified High Yield US Emerging Markets Corporate Plus Index

Fund Details
 

  • Fund Ticker

    HYEM
  • Management Company

    VanEck Asset Management B.V.
  • Custodian

    State Street Custodial Services (Ireland) Limited
  • Domicile

    Ireland
  • UCITS Compliant

    YES
  • Index Ticker

    EMLH
  • Index Provider

    ICE Data Indices, LLC
  • Rebalance Frequency

    Monthly
1The "Net Asset Value" (NAV) of all ETFs is determined at the close of each business day, and represents the value of one share of the fund; it is calculated by taking the total assets of the fund, subtracting total liabilities, and dividing by the total number of shares outstanding. The NAV is not necessarily the same as the ETF 's intraday trading value. Investors should not expect to buy or sell ETF shares at NAV.

2The date the fund was launched prior to quotation on the stock exchange.

 
as of 27 Jan 2022

  • NAV1

    114.84
  • Shares Outstanding

    322,000
  • Number of Holdings

    387
  • Base Currency

    USD
  • Net Assets

    $37.0M
  • Product Structure

    Physical (Optimized)
  • Income Treatment

    Reinvestment
  • Distribution Frequency

    None
  • Total Expense Ratio

    0.40%
  • SFDR Classification

    Article 6
  • Fact Sheet
  • Fund Holiday Calendar

Fundamentals3
as of 27 Jan 2022

  • Yield to Worst

    6.62%
  • Yield to Maturity

    6.80%
  • Effective Duration (yrs)

    3.70
  • Years to Maturity

    5.64
  • Modified Duration (yrs)

    3.99
  • Coupon

    5.73%
3These figures represent averages. Yield to Worst measures the lowest of either yield-to-maturity or yield-to-call date on every possible call date. Yield to Maturity is the annualized return on a bond held to maturity. Effective Duration measures a bond's sensitivity to interest rate changes that reflects the change in a bond's price given a change in yield. This duration measure is appropriate for bonds with embedded options. Modified Duration measures a bond's sensitivity to interest rate changes that reflects the change in a bond's price given a change in yield. Spread Duration measures a bond's price sensitivity to a 100 basis point change to its option-adjusted spread. As the rate of the Treasury security in the option-adjusted spread increases, the rate of the option-adjusted spread also increases. Years to Maturity is the period of time for which a financial instrument remains outstanding. Maturity refers to a finite time period at the end of which the financial instrument will cease to exist and the principal is repaid. Coupon is measured by weighting the coupon of each bond by its relative size in the portfolio. Coupons are fixed percentages paid on a fixed-income security on an annual basis. Averages are market weighted. The Coupon and Yield to Worst do not represent the performance of the Fund. These statistics do not take into account fees and expenses associated with investments of the Fund.

Trading Information as of 27 Jan 2022

London
Stock Exchange
USD
Exchange Ticker HYEM
ISIN IE00BF541080
SEDOL BF3W0R4
Bloomberg HYEM LN
Reuters (RIC) HYEM.L
Valor 40992308
Bloomberg iNAV HYEMUSIV
Reuters iNAV HYEMINAV=SOLA
WKN A2JEMH
Trading Currency USD
Last Traded Price 115.77
Day's Move 0.32
Volume 0
30 Day Volume 365
VWAP Volume 0
London
Stock Exchange
GBP
Exchange Ticker HYGB
ISIN IE00BF541080
SEDOL BF3W0S5
Bloomberg HYGB LN
Reuters (RIC) HYGB.L
Valor 40992308
Bloomberg iNAV HYEMUSIV
Reuters iNAV HYEMINAV=SOLA
WKN A2JEMH
Trading Currency GBP
Last Traded Price 86.11
Day's Move 0.63
Volume 116
30 Day Volume 7
VWAP Volume 116
Deutsche
Börse
EUR
Exchange Ticker HY3M
ISIN IE00BF541080
SEDOL --
Bloomberg HY3M GY
Reuters (RIC) HY3M.DE
Valor 40992308
Bloomberg iNAV HYEMEUIV
Reuters iNAV HYEMEURINAV=SOLA
WKN A2JEMH
Trading Currency EUR
Last Traded Price 103.79
Day's Move 1.41
Volume 7
30 Day Volume 42
VWAP Volume 7
SIX
Swiss Exchange
CHF
Exchange Ticker HYEM
ISIN IE00BF541080
SEDOL --
Bloomberg HYEM SE
Reuters (RIC) HYEM.S
Valor 40992308
Bloomberg iNAV HYEMUSIV
Reuters iNAV HYEMINAV=SOLA
WKN A2JEMH
Trading Currency CHF
Last Traded Price 106.48
Day's Move 0.72
Volume 0
30 Day Volume --
VWAP Volume 0
Borsa
Italiana
EUR
Exchange Ticker HYEM
ISIN IE00BF541080
SEDOL --
Bloomberg HYEM IM
Reuters (RIC) HYEM.MI
Valor 40992308
Bloomberg iNAV HYEMEUIV
Reuters iNAV HYEMEURINAV=SOLA
WKN A2JEMH
Trading Currency EUR
Last Traded Price 103.39
Day's Move 0.82
Volume 0
30 Day Volume 110
VWAP Volume 2

NAVs as of 27 Jan 2022

Base
Currency
NAV Daily
Change
NAV
YTD
Change
NAV
NAV Price
History
Total
Expense
Ratio
HYEM USD $114.84 $-0.12 / -0.11% -2.02%
0.40

Performance History* (%)

Month End as of 31 Dec 2021 1 MO* 3 MO* YTD* 1 YR 3 YR 5 YR 10 YR ETF INCEPTION
ETF (NAV) 0.62 -2.20 -1.55 -1.55 6.15 -- -- 4.28
EMLH (Index) 0.38 -2.62 -1.29 -1.29 6.02 4.59 -- 4.01
Performance Differential (NAV - Index) 0.24 0.42 -0.26 -0.26 0.13 -- -- 0.27
Quarter End as of 31 Dec 2021 1 MO* 3 MO* YTD* 1 YR 3 YR 5 YR 10 YR ETF INCEPTION
ETF (NAV) 0.62 -2.20 -1.55 -1.55 6.15 -- -- 4.28
EMLH (Index) 0.38 -2.62 -1.29 -1.29 6.02 4.59 -- 4.01
Performance Differential (NAV - Index) 0.24 0.42 -0.26 -0.26 0.13 -- -- 0.27

Top 10 Holdings (%) as of 31 Dec 2021 View All Holdings »

Total Holdings: 389
Holding Name
Coupon
Maturity
Composite
Rating
Country
Currency
% of Net
Assets
TEVA PHARMACEUTICAL FINANCE NETHERLANDS
3.150
01 Oct 2026
BB-
Israel
USD
0.8230
INDUSTRIAL & COMMERCIAL BANK OF CHINA L
3.200
24 Mar 2072
NR
China
USD
0.8205
SOUTHERN GAS CORRIDOR CJSC
6.875
24 Mar 2026
BB
Azerbaijan
USD
0.7804
BANK OF EAST ASIA LTD/THE
5.825
21 Oct 2169
BB
China
USD
0.7100
TULLOW OIL PLC
10.250
15 May 2026
B-
United Kingdom
USD
0.6839
ECOPETROL SA
6.875
29 Apr 2030
BB+
Colombia
USD
0.6783
ABJA INVESTMENT CO PTE LTD
5.950
31 Jul 2024
BB
India
USD
0.5945
MAF GLOBAL SECURITIES LTD
6.375
20 Mar 2068
BB+
Uae
USD
0.5940
ECOPETROL SA
5.875
28 May 2045
BB+
Colombia
USD
0.5783
DP WORLD SALAAM
6.000
01 Jul 2169
BB
Uae
USD
0.5782
Top 10 Total (%) 6.83
These are not recommendations to buy or to sell any security. Securities and holdings may vary.

Country Weightings (%) as of 31 Dec 2021

  • Country

    % of Net Assets
  • China

    12.43
  • Brazil

    9.71
  • Mexico

    7.17
  • Turkey

    6.47
  • Colombia

    5.97
  • India

    5.67
  • Russia

    3.71
  • Argentina

    3.52
  • Israel

    3.40
  • South Africa

    2.88
  • Singapore

    2.82
  • United States

    2.79
  • Uae

    2.64
  • Indonesia

    2.48
  • United Kingdom

    2.19
  • Luxembourg

    2.11
  • Zambia

    1.97
  • Azerbaijan

    1.55
  • Ukraine

    1.54
  • Oman

    1.54
  • Peru

    1.18
  • Bahrain

    1.16
  • Bermuda

    1.16
  • Chile

    1.10
  • Nigeria

    0.98
  • Morocco

    0.98
  • Netherlands

    0.93
  • Ireland

    0.67
  • Spain

    0.63
  • Saudi Arabia

    0.57
  • Canada

    0.56
  • Panama

    0.55
  • Thailand

    0.55
  • Kuwait

    0.54
  • Vietnam

    0.52
  • Virgin Islands

    0.48
  • Trinidad And Tobago

    0.42
  • Mauritius

    0.42
  • Poland

    0.40
  • Uzbekistan

    0.39
  • Costa Rica

    0.37
  • Kazakhstan

    0.31
  • Georgia

    0.28
  • Qatar

    0.28
  • Barbados

    0.28
  • Ghana

    0.26
  • Tanzania

    0.25
  • Guatemala

    0.17
  • Greece

    0.15
  • South Korea

    0.14
  • Cyprus

    0.14
  • Other/Cash

    0.63

Currency Exposure (%)
as of 31 Dec 2021

  • U.S. Dollar

    100.93
  • Other/Cash

    -0.93

Sector Weightings (%) as of 31 Dec 2021

  • Sector

    % of Net Assets
  • Financials

    32.3
  • Energy

    17.5
  • Basic Materials

    11.2
  • Utilities

    8.8
  • Industrials

    7.5
  • Real Estate

    5.3
  • Technology

    4.3
  • Consumer Non-Cyclicals

    4.3
  • Consumer Cyclicals

    4.2
  • Healthcare

    3.1
  • Government Activity

    0.9
  • Other/Cash

    0.6

Credit Quality (%) as of 31 Dec 2021

Composite % of Net Assets
Investment Grade BBB 2.64
Non-Investment Grade BB 61.27
B 26.36
CCC 5.28
CC 0.52
C 0.19
Total Investment Grade -- 2.64
Total Non-Investment Grade -- 93.61
Not Rated -- 3.76

Maturity (%) as of 31 Dec 2021

 Average Maturity: 5.74 Years