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GFA
VanEck Vectors Global Fallen Angel High Yield Bond UCITS ETF

Fund Description

The VanEck Vectors Global Fallen Angel High Yield Bond UCITS ETF invests in corporate fixed income securities that were rated investment grade at the time of issuance and have been downgraded to the high-yield segment (so-called “fallen angels”).

  • Global Fallen Angels have a historically higher average credit quality than ordinary high-yield issuers
  • Investors can benefit from possible temporary price distortions triggered by credit rating downgrades and the resulting return
  • Diversification in sectors, countries and in these currencies: USD, GBP, EUR and CAD



Underlying Index

ICE Global Fallen Angel High Yield 10% Constrained Index

Fund Details
 

  • Fund Ticker

    GFA
  • Management Company

    VanEck Investments Ltd
  • Custodian

    State Street Custodial Services (Ireland) Limited
  • Domicile

    Ireland
  • UCITS Compliant

    YES
  • Index Ticker

    HWCF
  • 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 29 Oct 2020

  • NAV1

    58.18
  • Shares Outstanding

    524,000
  • Number of Holdings

    473
  • Base Currency

    USD
  • Net Assets

    $30.5M
  • Product Structure

    Physical (Optimized)
  • Distribution Frequency

    None
  • Income Treatment

    Reinvestment
  • Total Expense Ratio

    0.40%
  • Fact Sheet
  • ETF Product List
afm_english_risicoscore_4.jpg

Fundamentals3
as of 29 Oct 2020

  • Yield to Worst

    4.63%
  • Yield to Maturity

    4.66%
  • Effective Duration (yrs)

    5.60
  • Years to Maturity

    8.85
  • Modified Duration (yrs)

    5.66
  • Coupon

    4.95%
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. Duration to Worst measures the duration of a bond computed using the bond's nearest call date or maturity, whichever comes first. This measure ignores future cash flow fluctuations due to embedded optionality. 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 29 Oct 2020

London
Stock Exchange
USD
Exchange Ticker GFA
ISIN IE00BF540Z61
SEDOL BF3W0N0
Bloomberg GFA LN
Reuters (RIC) GFA.L
Telekurs 40992308
Bloomberg iNAV GFAUSIV
Reuters iNAV GFAINAV=SOLA
WKN A2JEMG
Trading Currency USD
Last Traded Price 58.49
Day's Move -0.37
Volume 1,344
30 Day Volume 459
VWAP Volume 1,344
London
Stock Exchange
GBP
Exchange Ticker GFGB
ISIN IE00BF540Z61
SEDOL BF3W0P2
Bloomberg GFGB LN
Reuters (RIC) GFGB.L
Telekurs 40992308
Bloomberg iNAV GFAUSIV
Reuters iNAV GFAINAV=SOLA
WKN A2JEMG
Trading Currency GBP
Last Traded Price 45.31
Day's Move 0.07
Volume 2,311
30 Day Volume 214
VWAP Volume 2,311
Deutsche
Börse
EUR
Exchange Ticker GFEA
ISIN IE00BF540Z61
SEDOL --
Bloomberg GFEA GY
Reuters (RIC) GFEA.DE
Telekurs 40992308
Bloomberg iNAV GFAEUIV
Reuters iNAV GFAEURINAV=SOLA
WKN A2JEMG
Trading Currency EUR
Last Traded Price 50.24
Day's Move 0.18
Volume 326
30 Day Volume 213
VWAP Volume 326
SIX
Swiss Exchange
CHF
Exchange Ticker GFAA
ISIN IE00BF540Z61
SEDOL --
Bloomberg GFAA SE
Reuters (RIC) GFAA.S
Telekurs 40992308
Bloomberg iNAV GFAUSIV
Reuters iNAV GFAINAV=SOLA
WKN A2JEMG
Trading Currency CHF
Last Traded Price 53.77
Day's Move 0.26
Volume 200
30 Day Volume 256
VWAP Volume 200
Borsa
Italiana
EUR
Exchange Ticker GFA
ISIN IE00BF540Z61
SEDOL --
Bloomberg GFA IM
Reuters (RIC) GFA.MI
Telekurs 40992308
Bloomberg iNAV GFAEUIV
Reuters iNAV GFAEURINAV=SOLA
WKN A2JEMG
Trading Currency EUR
Last Traded Price 50.21
Day's Move 0.17
Volume 225
30 Day Volume 490
VWAP Volume 225

NAVs as of 29 Oct 2020

Base
Currency
NAV Daily
Change
NAV
YTD
Change
NAV
NAV Price
History
Total
Expense
Ratio
GFA USD $58.18 $-0.25 / -0.42% +6.77%
0.40

Performance History: Average Annual Total Returns* (%)

Month End as of 30 Sep 2020 1 MO* 3 MO* YTD* 1 YR 3 YR 5 YR 10 YR ETF INCEPTION
ETF (NAV) -2.41 4.92 5.99 10.26 -- -- -- 5.86
HWCF (Index) -2.28 4.32 4.38 8.79 5.24 8.62 7.85 5.59
Performance Differential (NAV - Index) -0.13 0.60 1.61 1.47 -- -- -- 0.27
Quarter End as of 30 Sep 2020 1 MO* 3 MO* YTD* 1 YR 3 YR 5 YR 10 YR ETF INCEPTION
ETF (NAV) -2.41 4.92 5.99 10.26 -- -- -- 5.86
HWCF (Index) -2.28 4.32 4.38 8.79 5.24 8.62 7.85 5.59
Performance Differential (NAV - Index) -0.13 0.60 1.61 1.47 -- -- -- 0.27

Top 10 Holdings (%) as of 30 Sep 2020 View All Holdings »

Total Holdings: 467
Holding Name
Coupon
Maturity
Composite
Rating
Country
Currency
% of Net
Assets
CARNIVAL CORP
11.500
01 Apr 2023
BB
United States
USD
1.0944
PETROLEOS MEXICANOS
7.690
23 Jan 2050
BB+
Mexico
USD
1.0428
VODAFONE GROUP PLC
4.875
03 Oct 2078
BB+
United Kingdom
GBP
0.9469
UNICREDIT SPA
6.950
31 Oct 2022
BB+
Italy
EUR
0.9099
PETROLEOS MEXICANOS
6.500
13 Mar 2027
BB+
Mexico
USD
0.7743
ITAU UNIBANCO HOLDING SA/CAYMAN ISLAND
5.125
13 May 2023
B+
Brazil
USD
0.7129
PETROLEOS MEXICANOS
6.750
21 Sep 2047
BB+
Mexico
USD
0.7030
KRAFT HEINZ FOODS CO
4.375
01 Jun 2046
BB+
United States
USD
0.6902
CANARA BANK/LONDON
3.875
28 Mar 2024
BBB-
India
USD
0.6773
PETROLEOS MEXICANOS
6.840
23 Jan 2030
BB+
Mexico
USD
0.6723
Top 10 Total (%) 8.21
These are not recommendations to buy or to sell any security. Securities and holdings may vary.

Country Weightings (%) as of 30 Sep 2020

  • Country

    % of Net Assets
  • United States

    42.67
  • Mexico

    9.93
  • Italy

    7.62
  • Brazil

    6.82
  • France

    5.69
  • Germany

    4.60
  • United Kingdom

    4.51
  • Israel

    3.01
  • Canada

    1.71
  • Luxembourg

    1.71
  • Spain

    1.31
  • South Africa

    1.19
  • Kazakhstan

    0.89
  • Sweden

    0.79
  • Oman

    0.71
  • Russia

    0.71
  • Colombia

    0.69
  • India

    0.68
  • Morocco

    0.58
  • Australia

    0.48
  • Finland

    0.47
  • Denmark

    0.42
  • Turkey

    0.42
  • Tanzania

    0.36
  • Thailand

    0.32
  • China

    0.28
  • Peru

    0.27
  • Ireland

    0.12
  • Austria

    0.11
  • Other/Cash

    0.91

Currency Exposure (%)
as of 30 Sep 2020

  • U.S. Dollar

    73.30
  • Euro

    21.95
  • British Pound

    3.12
  • Canadian Dollar

    0.73
  • Other/Cash

    0.91

Sector Weightings (%) as of 30 Sep 2020

  • Sector

    % of Net Assets
  • Energy

    25.2
  • Consumer, Cyclical

    19.5
  • Financial

    15.4
  • Consumer, Non-cyclical

    12.4
  • Communications

    8.7
  • Basic Materials

    8.0
  • Utilities

    4.4
  • Industrial

    4.0
  • Technology

    1.3
  • Diversified

    0.2
  • Other/Cash

    0.9

Credit Quality (%) as of 30 Sep 2020

Composite % of Net Assets
Investment Grade BBB 2.51
Non-Investment Grade BB 90.88
B 5.67
CCC 0.61
DDD 0.02
Total Investment Grade -- 2.51
Total Non-Investment Grade -- 97.18
Not Rated -- 0.03
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.

Maturity (%) as of 30 Sep 2020

 Average Maturity: 8.90 Years

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Performance data for the Irish domiciled funds is displayed on a Net Asset Value basis, in Base Currency terms, with net income reinvested, net of fees. Brokerage or transaction fees will apply. Performance data for the Dutch domiciled ETFs include income distributions gross of Dutch withholding tax, net of fees and assume that the Dutch dividend withholding tax levied from the dividend payment of the ETF will be deducted or reclaimed with the Dutch tax authority and is reinvested. Different investor types and investors from other jurisdictions may not be able to achieve the same level of performance due to their tax status and local tax rules. Brokerage or transaction fees will apply. The Dutch domiciled ETFs use a gross reinvestment index. Please note that the performance includes income distributions gross of Dutch withholding tax because Dutch investors deduct or reclaim the 15% Dutch withholding tax levied. Different investor types and investors from other jurisdictions may not be able to achieve the same level of performance due to their tax status and local tax rules. For more information please be referred to the respective fund’s performance section on this website.

The sales prospectus and KIID contain this and other information. Please read the sales prospectus and KIID carefully before investing.

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