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EMBX VanEck Emerging Markets Bond ETF Please read important disclosure Close important disclosure false

EMBX
VanEck Emerging Markets Bond ETF

EMBX
VanEck Emerging Markets Bond ETF

  • NAV
    $50.95

    as of April 08, 2026
  • YTD RETURNS
    1.76%

    as of April 08, 2026
  • Total Net Assets
    $208.54M

    as of April 08, 2026
  • Total Expense Ratio
    0.76%
  • Inception Date
    07/09/2012
  • 30-Day SEC Yield
    5.76%

About EMBX

The VanEck Emerging Markets Bond ETF seeks total return, consisting of income and capital appreciation. The ETF is actively managed and can invest in debt securities that are issued by governments, quasi-government entities or corporations in emerging market countries.

Overview

Why EMBX

  • Broad Opportunity Set: Flexibility to invest across sovereigns, corporates, and both hard- and local-currency EM debt
  • Disciplined Process: Applied consistently across all countries, with a robust risk management overlay
  • Experienced & Active: Navigating market and policy shifts requires a high active share approach and established team

Yields  as of  04/08/2026


Distribution Frequency

Monthly


30-Day SEC Yield

5.76%


Distribution Yield

4.58%


12 Month Yield

6.63%

Yield information reflects temporary waivers of expenses and/or fees. Yields would have been reduced had these fees/expenses been included. In the absence of temporary expense waivers or reimbursements, the 30-Day SEC Yield for VanEck Emerging Markets Bond ETF would have been 5.76% on 04/08/26. Distributions may vary from time to time.

Performance

Prices as of 04/08/2026

NAV/
Market
Price
Volume
30-Day Avg./
Last Trading Day
Daily Change
NAV/
Last Price
YTD Change NAV/
Last Price
Premium/
Discount
30-Day
Median
Bid Ask
Spread
NAV
Chart
EMBX $50.95
$51.04
74,864
16,081
$0.89 / +1.79%
$0.75 / +1.50%
+1.76%
+2.04%
$0.09
0.17%
0.06%

Fees

Holdings

Daily Holdings (%) as of 04/07/2026

Download XLS Get holdings
Total Holdings: 111
Holding Name % of Net
Assets
Maturity
Identifier (FIGI)
Coupon Asset Class Market Value
Par Value/ Contracts
Country Currency Notional Value
Brazil Notas Do Tesouro Nacional Serie 3.48
01/01/2033
BBG014BF94J6
10.000 Bond 7130357.18
42,544,000
Brazil BRL --
Peru Government Bond 3.40
08/12/2039
BBG01NCLK700
7.600 Bond 6958707.83
22,919,000
Peru PEN --
Republic Of South Africa Government Bon 3.28
01/31/2040
BBG0086HBT93
9.000 Bond 6721655.89
118,643,000
South Africa ZAR --
Hungary Government Bond 2.61
10/24/2035
BBG01J5QZX03
7.000 Bond 5355999.82
1,704,750,000
Hungary HUF --
Philippine Government International Bon 2.54
01/14/2036
BBG001CYXLM2
6.250 Bond 5209088.94
327,202,000
Philippines PHP --
Bonos De La Tesoreria De La Republica E 2.46
07/15/2032
BBG01ZT472T8
5.300 Bond 5031754.72
4,630,000,000
Chile CLP --
Thailand Government Bond 2.41
06/17/2040
BBG01QRLN3V9
2.700 Bond 4939144.65
158,131,000
Thailand THB --
Colombian Tes 2.28
11/28/2040
BBG01TD34900
12.750 Bond 4668266.50
17,108,000,000
Colombia COP --
Mexican Bonos 2.25
11/13/2042
BBG002W625T1
7.750 Bond 4603175.90
95,230,000
Mexico MXN --
Malaysia Government Bond 2.25
04/18/2039
BBG01MDKQFL6
4.054 Bond 4601242.09
17,783,000
Malaysia MYR --
Republic Of Poland Government Internati 2.00
11/16/2032
BBG01BFCVHS9
5.750 Bond 4100319.67
3,814,000
Poland USD --
Export-Import Bank Of India 1.94
01/13/2035
BBG01RMFVLD6
5.500 Bond 3982311.90
3,851,000
India USD --
Romanian Government International Bond 1.93
05/16/2036
BBG01VZVDK95
6.625 Bond 3963665.23
3,750,000
Romania USD --
China Government Bond 1.78
06/29/2043
--
3.950 Bond 3647701.94
20,000,000
China CNY --
Bonos De La Tesoreria De La Republica E 1.75
04/01/2033
BBG01G6YHY27
6.000 Bond 3586269.69
3,215,000,000
Chile CLP --
Bolivian Government International Bond 1.48
03/02/2030
BBG015LH8Q91
7.500 Bond 3036591.63
3,198,000
Bolivia USD --
Colombian Tes 1.44
02/27/2030
BBG01ZKPZZW2
12.500 Bond 2941355.80
11,192,000,000
Colombia COP --
Congolese International Bond 1.42
06/30/2029
BBG0000LKPD0
3.000 Bond 2913693.66
3,059,000
Congo USD --
Malaysia Government Bond 1.41
05/15/2030
BBG01TXFX7R4
3.336 Bond 2878732.40
11,460,000
Malaysia MYR --
Brazilian Government International Bond 1.31
03/15/2035
BBG01SCFTQR2
6.625 Bond 2686175.52
2,621,000
Brazil USD --
Venezuela Government International Bond 1.28
09/15/2027
BBG00004SPH6
9.250 Bond 2615194.95
5,476,000
Venezuela USD --
China Government Bond 1.24
05/21/2045
BBG008P39PT2
4.100 Bond 2533259.73
13,500,000
China CNY --
Brazilian Government International Bond 1.14
05/22/2036
BBG02044G9D3
6.250 Bond 2336852.18
2,366,000
Brazil USD --
Colombian Tes 1.13
08/22/2029
BBG01TD35K22
11.000 Bond 2316934.14
8,614,000,000
Colombia COP --
Czech Republic Government Bond 1.10
09/30/2030
BBG0193X6KV8
5.000 Bond 2257852.55
45,570,000
Czech Republic CZK --
Gabon Government International Bond 1.07
11/24/2031
BBG013KR7K26
7.000 Bond 2186024.51
2,522,000
Gabon USD --
Turkiye Government International Bond 1.06
11/04/2036
BBG01Y5NTKB0
6.800 Bond 2176119.64
2,209,000
Turkey USD --
Siam Commercial Bank Pcl/Cayman Islands 1.05
02/11/2029
BBG00N6SYSV8
4.400 Bond 2157355.12
2,155,000
Thailand USD --
Export-Import Bank Of India 1.04
02/01/2028
BBG00JRZLFZ6
3.875 Bond 2133634.38
2,144,000
India USD --
Zambia Government International Bond 1.03
06/30/2033
BBG01N7SRZS2
5.750 Bond 2111092.21
2,191,886
Zambia USD --
Republic Of South Africa Government Int 1.00
11/19/2036
BBG01QRX1SK4
7.100 Bond 2056290.99
1,933,000
South Africa USD --
Aes Panama Generation Holdings Srl 0.99
05/31/2030
BBG00WLL1YC0
4.375 Bond 2034597.46
2,148,938
Panama USD --
Romania Government Bond 0.98
02/25/2032
BBG015XQF9Z9
6.700 Bond 2015591.01
8,940,000
Romania RON --
Angolan Government International Bond 0.98
03/31/2033
BBG0217CJR65
9.375 Bond 2011736.62
2,011,000
Angola USD --
Star Energy Geothermal Darajat Ii / Sta 0.97
10/14/2038
BBG00XRVT9L5
4.850 Bond 1986970.90
2,077,000
Indonesia USD --
Venezuela Government International Bond 0.94
10/13/2026
BBG000048WK9
7.750 Bond 1927462.13
4,685,000
Venezuela USD --
Republic Of South Africa Government Bon 0.88
01/31/2037
BBG004T9FLP0
8.500 Bond 1812831.26
32,186,000
South Africa ZAR --
Ecuador Government International Bond 0.87
07/31/2035
BBG00X034RZ8
0.500 Bond 1780338.25
1,970,000
Ecuador USD --
Argentine Republic Government Internati 0.84
07/09/2041
BBG00X362WX1
0.125 Bond 1724045.75
2,527,000
Argentina USD --
Gabon Government International Bond 0.81
02/18/2029
BBG01S7LWC56
9.500 Bond 1649415.87
1,706,000
Gabon USD --
Star Energy Geothermal Wayang Windu Ltd 0.76
04/24/2033
BBG00KN7FXH7
6.750 Bond 1556585.52
1,498,125
Indonesia USD --
Alpek Sab De Cv 0.75
02/25/2031
BBG00ZCMCTP6
3.250 Bond 1534067.12
1,809,000
Mexico USD --
Thailand Government Bond 0.74
04/17/2028
BBG01RQ25NB8
2.050 Bond 1518678.71
48,126,000
Thailand THB --
Ecuador Government International Bond 0.74
01/29/2039
BBG01ZVQNBV5
9.250 Bond 1507686.73
1,495,000
Ecuador USD --
Malaysia Government Bond 0.73
07/05/2034
BBG00PMFY7N8
3.828 Bond 1493066.61
5,866,000
Malaysia MYR --
Bolivian Government International Bond 0.72
03/20/2028
BBG00G6RWJG4
4.500 Bond 1477688.40
1,584,746
Bolivia USD --
Korea Treasury Bond 0.72
06/10/2035
BBG01TPY51D1
2.625 Bond 1476897.20
2,433,100,000
South Korea KRW --
Congolese International Bond 0.72
11/07/2032
BBG01YCF0Y57
9.875 Bond 1473735.55
1,498,000
Congo USD --
Nigeria Government International Bond 0.70
09/28/2051
BBG012NJ2VQ8
8.250 Bond 1427421.02
1,464,000
Nigeria USD --
Ghana Government International Bond 0.69
01/03/2030
BBG01Q54VRK1
-- Bond 1419357.29
1,659,678
Ghana USD --
Dominican Republic International Bond 0.69
06/01/2036
BBG01NJ1B9X7
6.600 Bond 1410613.74
1,365,000
Dominican Republic USD --
Korea Treasury Bond 0.68
09/10/2030
BBG01WBWTFM6
2.500 Bond 1399236.78
2,200,000,000
South Korea KRW --
3r Lux Sarl 0.67
02/05/2031
BBG01L81WN41
9.750 Bond 1366981.01
1,299,000
Luxembourg USD --
Absa Bank Ltd 0.66
06/25/2026
BBG0218880M6
-- Bond 1353627.70
77,547,000
South Africa EGP --
Zorlu Enerji Elektrik Uretim As 0.65
04/23/2030
BBG01QB1G2Z6
11.000 Bond 1321749.04
1,410,000
Turkey USD --
Guatemala Government Bond 0.60
08/15/2036
BBG01VYGKV51
6.250 Bond 1223956.88
1,185,000
Guatemala USD --
Indofood Cbp Sukses Makmur Tbk Pt 0.57
06/09/2031
BBG011929P43
3.398 Bond 1170902.78
1,255,000
Indonesia USD --
Ecuador Government International Bond 0.54
07/31/2030
BBG00X0384N8
-- Bond 1099136.25
1,305,000
Ecuador USD --
Republic Of Uganda Government Bonds 0.53
11/08/2035
BBG00YB9QK73
16.250 Bond 1077177.32
3,710,600,000
Uganda UGX --
Malaysia Government Bond 0.50
04/15/2031
BBG00XTSXGM8
2.632 Bond 1032028.67
4,260,000
Malaysia MYR --
Longfor Group Holdings Ltd 0.46
09/16/2029
BBG00Q6W9Y29
3.950 Bond 946973.13
1,175,000
China USD --
Pakuwon Jati Tbk Pt 0.45
04/29/2028
BBG0108L6024
4.875 Bond 929308.08
936,000
Indonesia USD --
Dominican Republic International Bond 0.45
10/28/2035
BBG01Y38YYG4
5.875 Bond 915494.55
928,000
Dominican Republic USD --
Sri Lanka Government International Bond 0.44
06/15/2035
BBG01R9LB6K5
3.600 Bond 891893.36
1,142,431
Sri Lanka USD --
Nigeria Government International Bond 0.43
09/28/2033
BBG012NJ2W68
7.375 Bond 889539.37
901,000
Nigeria USD --
Singapore Government Bond 0.42
03/01/2035
BBG01SJ84022
2.750 Bond 851330.22
1,042,000
Singapore SGD --
Guatemala Government Bond 0.41
10/07/2033
BBG012S3G1V3
3.700 Bond 847517.58
963,000
Guatemala USD --
Laos Government International Bond 0.41
11/12/2030
BBG01YBF4WB1
11.250 Bond 846040.63
790,000
Laos USD --
Costa Rica Government International Bon 0.41
02/19/2031
BBG00QTYVWB9
6.125 Bond 837950.63
810,000
Costa Rica USD --
Barbados Government International Bond 0.39
06/26/2035
BBG01VR0M443
8.000 Bond 801234.53
762,000
Barbados USD --
Jamaica Government International Bond 0.38
07/28/2045
BBG009PK2F11
7.875 Bond 775314.17
661,000
Jamaica USD --
El Salvador Government International Bo 0.36
04/17/2030
BBG01MDDJ4H0
9.250 Bond 746101.33
678,000
El Salvador USD --
Gabon Government International Bond 0.36
02/06/2031
BBG00RLS58F6
6.625 Bond 738099.07
858,000
Gabon USD --
Medco Maple Tree Pte Ltd 0.36
04/27/2029
BBG01JS8QFV3
8.960 Bond 732130.73
680,000
Singapore USD --
Trinidad & Tobago Government Internatio 0.34
01/14/2031
BBG01J97CMF4
5.950 Bond 703521.39
687,000
Trinidad And Tobago USD --
Ciudad Autonoma De Buenos Aires/Governm 0.34
11/26/2033
BBG01YLSXZ69
7.800 Bond 692448.98
665,000
Argentina USD --
Korea Treasury Bond 0.32
03/10/2030
BBG01RYVP087
2.625 Bond 665056.26
1,036,900,000
South Korea KRW --
Bahamas Government International Bond 0.32
06/24/2036
BBG01VL7G4T4
8.250 Bond 645721.25
580,000
Bahamas USD --
Bono Del Tesoro Nacional Capitalizable 0.31
05/31/2027
BBG01YZJZY92
2.400 Bond 638614.82
801,816,000
Argentina ARS --
Angolan Government International Bond 0.31
05/09/2028
BBG00KRBXN68
8.250 Bond 636086.84
613,000
Angola USD --
Province Of Santa Fe 0.30
12/11/2034
BBG01YX2KJP2
8.100 Bond 617462.16
628,000
Argentina USD --
Tunisian Republic 0.29
08/09/2027
BBG00004MR33
3.280 Bond 599519.61
100,000,000
Tunisia JPY --
Czech Republic Government Bond 0.29
10/13/2033
BBG00HY2BK21
2.000 Bond 592761.77
15,000,000
Czech Republic CZK --
Nigeria Government International Bond 0.28
01/13/2036
BBG01YCDD8B8
8.631 Bond 565647.63
520,000
Nigeria USD --
Ivory Coast Government International Bo 0.24
02/25/2041
BBG020DCKFS0
6.750 Bond 500180.27
558,000
Côte D'Ivoire USD --
Singapore Government Bond 0.24
09/01/2033
BBG0055DSXZ3
3.375 Bond 488391.30
576,000
Singapore SGD --
Korea Treasury Bond 0.23
12/10/2033
BBG01JGVNR60
4.125 Bond 477224.41
700,000,000
South Korea KRW --
Pan American Energy Llc/Argentina 0.22
01/15/2037
BBG01ZHCSTT1
7.750 Bond 457074.52
449,000
Argentina USD --
Singapore Government Bond 0.21
09/01/2030
BBG0014YBFV8
2.875 Bond 423607.73
520,000
Singapore SGD --
Honduras Government International Bond 0.19
11/27/2034
BBG01QZDFQM6
8.625 Bond 382091.32
327,000
Honduras USD --
Hungary Government Bond 0.16
06/22/2034
BBG00YTQC093
2.250 Bond 318868.08
144,000,000
Hungary HUF --
Geopark Ltd 0.15
01/31/2030
BBG01S198G93
8.750 Bond 309587.59
310,000
Colombia USD --
Bonos De La Tesoreria De La Republica E 0.15
10/01/2028
BBG011N36X32
5.000 Bond 307881.70
285,000,000
Chile CLP --
Thailand Government Bond 0.14
06/17/2034
BBG01KSDNFR7
2.800 Bond 282586.22
8,613,000
Thailand THB --
China Government International Bond 0.12
11/13/2030
BBG01YBDGNG8
3.750 Bond 251245.20
247,000
China USD --
Angolan Government International Bond 0.11
05/09/2028
BBG00KRBWZC5
8.250 Bond 233473.97
225,000
Angola USD --
Paraguay Government International Bond 0.11
03/04/2055
BBG01SJXVY23
6.650 Bond 225570.53
215,000
Paraguay USD --
Nwd Finance Bvi Ltd 0.10
12/16/2072
BBG0180FM8C2
6.150 Bond 210095.92
249,000
China USD --
Republic Of Uzbekistan International Bo 0.09
10/19/2031
BBG011RJC449
3.900 Bond 175081.41
189,000
Uzbekistan USD --
Secure International Finance Co Inc 0.07
06/03/2029
BBG01N3BY7M3
10.000 Bond 151354.42
149,118
Guyana USD --
Barbados Government International Bond 0.06
06/26/2035
BBG01VR0KP57
8.000 Bond 131436.11
125,000
Barbados USD --
Hta Group Ltd/Mauritius 0.05
06/04/2029
BBG01MZK6858
7.500 Bond 108798.00
104,000
United Kingdom USD --
Bahamas Government International Bond 0.05
05/15/2033
BBG00007Z503
6.625 Bond 98571.00
103,000
Bahamas USD --
Gabon Government International Bond 0.04
11/24/2031
BBG013KR7GR8
7.000 Bond 89361.96
103,000
Gabon USD --
Digicel International Finance Ltd / Dif 0.04
08/01/2032
BBG01W9T70R8
8.625 Bond 78683.01
76,000
Bermuda USD --
El Salvador Government International Bo 0.02
04/17/2030
BBG01MDGM755
0.250 Bond 42358.74
927,000
El Salvador USD --
Benin Government International Bond 0.02
02/13/2038
BBG01L9XMN96
7.960 Bond 38875.57
39,000
Benin USD --
Secure International Finance Co Inc 0.02
06/03/2029
BBG01N3BXZV2
10.000 Bond 38032.65
37,471
Guyana USD --
6.25
--
--
-- Cash Bal 12797347.79
12,797,348
United States USD --
0.05
--
--
-- Cash Bal 107646.50
99,432,000
Chile CLP --
0.00
--
--
-- Cash Bal 448.31
387
Europe EUR --
Other/Cash 4.85
--
--
-- Cash 9929278.56
0
-- USD --
← Scroll for more information →
Country of risk is defined using the International Organization for Standardization’s (ISO) country codes which take four factors into account (listed in order of importance): management location, country of primary listing, country of revenue and reporting currency of the issuer. Management location is defined by country of domicile unless location of such key players as the CEO, CFO, COO or General Counsel is otherwise.

Portfolio

Credit Quality (%) as of 03/31/2026

Composite % of Net Assets
Investment Grade AAA 0.89
AA 1.44
A 18.13
BBB 26.19
Non-Investment Grade BB 24.29
B 10.01
CCC 8.60
CC 0.59
C 1.34
Total Investment Grade -- 46.65
Total Non-Investment Grade -- 44.83
Not Rated -- 6.04
If more than one rating is available for an underlying security, the lower of the two ratings is used. If a bond issued by a national government, national government agency or supranational issuer is not rated, the issuer’s credit rating will be used. If two issuer ratings are available, the lower of the two is used. If only one rating is available in all scenarios, we will use the rating provided. If no rating is available, the security will be not rated. Not rated securities do not necessarily indicate lower credit quality. Ratings and portfolio credit quality may change over time.

Top 20 Country Weightings (%) as at 03/31/2026

  • Country

    % of Net Assets
  • Brazil

    6.14
  • South Africa

    6.00
  • Poland

    5.28
  • Colombia

    5.27
  • Malaysia

    5.05
  • Chile

    4.55
  • Thailand

    4.33
  • Mexico

    4.08
  • China

    3.84
  • Peru

    3.49
  • India

    3.01
  • Romania

    2.93
  • Hungary

    2.80
  • Indonesia

    2.68
  • Philippines

    2.66
  • Venezuela

    2.32
  • Gabon

    2.25
  • Bolivia

    2.20
  • Congo

    2.12
  • Ecuador

    2.11
  • Other/Cash

    26.88

Maturity (%) as at 03/31/2026

  • Years

    Maturity (%)
  • < 1

    1.70
  • 1 - 3

    7.80
  • 3 - 5

    16.80
  • 5 - 7

    12.10
  • 7 - 10

    24.30
  • 10 - 15

    24.70
  • 15 - 20

    7.50
  • 20 - 30

    1.50
  • 30 +

    1.10

Distributions

Distribution History

Anticipated Frequency: Monthly Dividend Income & Annual Capital Gains
Ex-date Record
Date
Payable date Dividend
Income
Short-Term
Capital Gains
Long-Term
Capital Gains
Return of
Capital
Total
Distributions
04/01/2026 04/01/2026 04/07/2026 $ 0.1945 -- -- -- $ 0.19
03/02/2026 03/02/2026 03/05/2026 $ 0.2192 -- -- -- $ 0.22
02/02/2026 02/02/2026 02/05/2026 $ 0.2100 -- -- -- $ 0.21
12/29/2025 12/29/2025 12/31/2025 $ 0.2603 -- -- $ 0.0082 $ 0.27
11/28/2025 11/28/2025 12/03/2025 $ 0.2476 -- -- $ 0.0078 $ 0.26
11/03/2025 11/03/2025 11/06/2025 $ 0.2123 -- -- $ 0.0067 $ 0.22

On October 6, 2025, the VanEck Emerging Markets Bond Fund converted to the VanEck Emerging Markets Bond ETF. Distributions prior to that date reflect the institutional share class ("Class I") of the VanEck Emerging Markets Bond Fund. Please click here for more information.

All registered investment companies are obliged to distribute portfolio gains to shareholders at yearend regardless of performance. Trading VanEck ETFs will also generate tax consequences and transaction expenses. The information provided is not intended to be tax advice. Tax consequences of dividend distributions may vary by individual taxpayer. There is no guarantee that dividends will be paid. To receive a distribution, you must have been a registered shareholder of the relevant VanEck ETFs on the record date. Distributions are paid to shareholders on the payment date. Past distributions are not indicative of future distributions.

Certain distributions may constitute a return of capital, which will have the effect of reducing your cost basis in the Fund’s shares and thereby increasing the amount of capital gain, if any, or decreasing the amount of capital loss, if any, that you will realize when selling or exchanging Fund shares. The final determination of the tax characteristics cannot be determined until after each Fund’s yearend and are reported to shareholders on Form 1099-DIV. The form is mailed to shareholders shortly after calendar yearend specifying how the distributions paid by the Fund during the prior calendar year should be characterized for purposes of reporting the distribution on a shareholder’s tax return.

The tax treatment and characterization of the Fund’s distributions may vary significantly from time to time depending on whether the Fund has gains or losses on the securities in its portfolio. The Fund’s distributions will normally reflect past and projected net investment income, and may include income from dividends and interest, capital gains and/or a return of capital. The final composition of the tax characteristics of the distributions cannot be determined with certainty until after the end of the year, and will be reported to shareholders at that time. The amount of distributions will vary, depending on a number of factors. As portfolio and market conditions change, the rate of dividends may change. There can be no assurance that the Fund will be able to declare a dividend distribution in each period. Past performance is no guarantee of future results.

Click here to access more detailed yearend tax information

Team

Literature

EMBX