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Provides broad exposure to investment-grade corporate bonds issued in euros. Bond prices fall when interest rates rise, and issuers carry credit risk.
These investment-grade corporate bonds typically offer higher yields than comparable government bonds, enhancing income potential. Income is not guaranteed and depends on issuer creditworthiness.
Holdings are EUR-denominated bonds from developed-market companies across the EU, USA, Switzerland and Japan, for broad corporate exposure. Bond prices fall when interest rates rise, and issuers carry credit risk.
Access reasonable returns from bonds in a yield-starved world. Our ETF follows an index which selects the 40 largest and most liquid euro-denominated corporate bonds with at least an investment-grade rating. The ETF incorporates Environmental, Social and Governance (ESG) factors.
Main Risk Factors: credit risk, liquidity risk, interest rate risk. Please refer to the
KIDand the Prospectus for other important information before investing.
For further details on the Fund and its index, please see the Index Transition Communication report on the Literature section of the Fund or the Description on the Index section.