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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
    $50.82

    as of July 24, 2026
  • YTD RETURNS
    3.00%

    as of July 24, 2026
  • Total Net Assets
    $256.28M

    as of July 24, 2026
  • Total Expense Ratio
    0.76%
  • Inception Date
    07/09/2012
  • 30-Day SEC Yield
    5.55%

Overview

Why EMBX

  • Broad Opportunity SetFlexibility to invest across sovereigns, corporates, and both hard- and local-currency EM debt
  • Disciplined ProcessApplied consistently across all countries, with a robust risk management overlay
  • Actively ManagedNavigating market and policy shifts requires a high active share approach and established team

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.

Yields  as of  07/24/2026


Distribution Frequency

Monthly


30-Day SEC Yield

5.55%


Distribution Yield

5.72%


12 Month Yield

6.35%

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 5.55% on 07/24/26. Distributions may vary from time to time.

Performance

Holdings

Daily Holdings (%) as of 07/23/2026

Download XLS Get holdings
Total Holdings: 137
Holding Name
% of Net Assets
Coupon
Maturity
Market Value (US$)
Mexican Bonos
3.16
7.750
11/13/2042
8,098,008
Bonos De La Tesoreria De La Republica E
2.82
5.300
07/15/2032
7,218,311
Peru Government Bond
2.34
7.600
08/12/2039
5,993,807
Czech Republic Government Bond
2.28
5.000
09/30/2030
5,833,733
Colombian Tes
2.26
12.500
02/27/2030
5,796,452
Indonesia Treasury Bond
2.23
6.750
07/15/2035
5,708,419
Mexican Bonos
2.20
8.000
11/07/2047
5,624,781
Republic Of South Africa Government Int
1.95
5.500
12/11/2055
4,982,561
Malaysia Government Bond
1.85
3.336
05/15/2030
4,734,226
Republic Of Poland Government Internati
1.83
6.125
04/14/2056
4,682,956
Saudi Government International Bond
1.76
5.875
01/12/2056
4,502,565
Export-Import Bank Of India
1.74
5.500
01/13/2035
4,462,014
Bolivian Government International Bond
1.67
4.500
03/20/2028
4,271,553
Senegal Government International Bond
1.61
4.750
03/13/2028
4,112,295
Romanian Government International Bond
1.60
6.625
05/16/2036
4,087,921
China Government Bond
1.44
3.950
06/29/2043
3,676,099
China Government Bond
1.29
1.870
02/13/2036
3,302,872
Thailand Government Bond
1.22
1.340
03/17/2031
3,126,393
Export-Import Bank Of India
1.20
3.875
02/01/2028
3,076,972
Philippine Government International Bon
1.17
6.250
01/14/2036
3,008,497
Brazilian Government International Bond
1.14
6.250
05/22/2036
2,915,393
Bonos De La Tesoreria De La Republica E
1.10
6.000
04/01/2033
2,828,237
Hungary Government International Bond
1.06
5.375
09/26/2030
2,711,411
Singapore Government Bond
1.04
2.875
09/01/2030
2,668,534
Romania Government Bond
1.04
6.700
02/25/2032
2,660,693
Oman Government International Bond
1.03
7.375
10/28/2032
2,636,090
Egypt Government International Bond
1.03
9.450
02/04/2033
2,631,482
Congolese International Bond
1.01
3.000
06/30/2029
2,579,067
Angolan Government International Bond
1.00
9.375
03/31/2033
2,569,577
Turkiye Government International Bond
1.00
6.800
11/04/2036
2,567,681
Republic Of South Africa Government Int
0.99
7.100
11/19/2036
2,532,228
Brazilian Government International Bond
0.96
6.625
03/15/2035
2,461,301
Peru Government Bond
0.96
5.350
08/12/2040
2,460,943
Korea Treasury Bond
0.96
3.375
03/10/2031
2,457,696
Siam Commercial Bank Pcl/Cayman Islands
0.93
4.400
02/11/2029
2,382,369
Aes Panama Generation Holdings Srl
0.91
4.375
05/31/2030
2,339,655
Star Energy Geothermal Darajat Ii / Sta
0.91
4.850
10/14/2038
2,329,855
Nwd Mtn Ltd
0.88
8.625
02/08/2028
2,262,879
Drc International Bond
0.87
8.750
04/16/2032
2,234,890
Alpek Sab De Cv
0.85
3.250
02/25/2031
2,168,667
Argentine Republic Government Internati
0.84
0.125
07/09/2041
2,160,941
We Soda Investments Holding Plc
0.82
9.375
02/14/2031
2,107,680
Zambia Government International Bond
0.82
5.750
06/30/2033
2,092,040
Malaysia Government Bond
0.81
3.766
01/15/2041
2,070,922
Glp Pte Ltd
0.79
9.750
05/20/2028
2,021,465
Star Energy Geothermal Wayang Windu Ltd
0.79
6.750
04/24/2033
2,014,189
Uruguay Government International Bond
0.77
5.500
10/29/2035
1,983,811
Republic Of Uganda Government Bonds
0.74
16.250
11/08/2035
1,891,345
Pertamina Persero Pt
0.73
6.000
05/03/2042
1,876,084
Ecuador Government International Bond
0.72
0.500
07/31/2035
1,849,228
Thailand Government Bond
0.67
2.050
04/17/2028
1,726,413
Bolivian Government International Bond
0.67
7.500
03/02/2030
1,706,021
Longfor Group Holdings Ltd
0.64
3.950
09/16/2029
1,637,277
Argentine Republic Government Internati
0.62
5.000
01/09/2038
1,584,561
Morocco Government International Bond
0.61
5.950
03/08/2028
1,556,646
Nigeria Government International Bond
0.60
8.250
09/28/2051
1,531,450
Congolese International Bond
0.59
9.500
02/17/2035
1,517,817
Serbia International Bond
0.58
5.500
05/06/2036
1,476,787
Malaysia Government Bond
0.57
3.828
07/05/2034
1,453,822
3r Lux Sarl
0.56
9.750
02/05/2031
1,439,996
Korea Treasury Bond
0.56
2.500
09/10/2030
1,422,444
China Government Bond
0.56
4.100
05/21/2045
1,421,293
Dominican Republic International Bond
0.55
6.600
06/01/2036
1,404,039
Paraguay Government International Bond
0.55
5.400
03/30/2050
1,400,002
Barbados Government International Bond
0.54
8.000
06/26/2035
1,391,348
Ghana Government International Bond
0.54
--
01/03/2030
1,384,949
Nigeria Government International Bond
0.53
7.375
09/28/2033
1,363,453
Ecuador Government International Bond
0.53
9.250
01/29/2039
1,356,282
Costa Rica Government International Bon
0.53
6.125
02/19/2031
1,349,493
Indofood Cbp Sukses Makmur Tbk Pt
0.53
3.398
06/09/2031
1,346,368
Malaysia Government Bond
0.52
2.632
04/15/2031
1,336,939
Jamaica Government International Bond
0.51
7.875
07/28/2045
1,306,323
Guatemala Government Bond
0.48
5.500
08/15/2036
1,241,368
El Salvador Government International Bo
0.47
9.250
04/17/2030
1,205,981
Guatemala Government Bond
0.47
3.700
10/07/2033
1,192,900
Kazakhstan Government International Bon
0.46
4.412
10/28/2030
1,188,645
Korea Treasury Bond
0.44
2.625
03/10/2030
1,124,150
Csn Resources Sa
0.41
4.625
06/10/2031
1,061,001
Nigeria Government International Bond
0.41
8.631
01/13/2036
1,059,082
Angolan Government International Bond
0.41
8.250
05/09/2028
1,058,843
Csn Inova Ventures
0.41
6.750
01/28/2028
1,048,623
Pakuwon Jati Tbk Pt
0.41
4.875
04/29/2028
1,039,340
Jordan Government International Bond
0.37
7.375
10/10/2047
954,628
Dominican Republic International Bond
0.35
5.875
10/28/2035
908,464
Trinidad & Tobago Government Internatio
0.35
5.950
01/14/2031
895,726
Singapore Government Bond
0.35
2.750
03/01/2035
884,486
Avianca Midco 2 Plc
0.34
9.500
01/28/2031
877,791
Laos Government International Bond
0.34
11.250
11/12/2030
875,322
Dominican Republic International Bond
0.34
5.500
10/28/2035
869,306
Ecuador Government International Bond
0.31
9.250
01/29/2039
791,604
Republic Of Cameroon International Bond
0.30
8.875
01/30/2033
779,787
Oceanica Lux
0.30
5.500
05/08/2031
776,856
Laos Government International Bond
0.29
11.250
11/12/2030
747,902
Ivory Coast Government International Bo
0.29
5.500
02/25/2041
738,055
Medco Maple Tree Pte Ltd
0.28
8.960
04/27/2029
714,277
Ciudad Autonoma De Buenos Aires/Governm
0.28
7.800
11/26/2033
704,922
Republic Of Uzbekistan International Bo
0.26
3.900
10/19/2031
670,246
Drc International Bond
0.26
5.500
04/16/2037
657,942
Bahamas Government International Bond
0.25
8.250
06/24/2036
650,449
Province Of Santa Fe
0.25
5.500
12/11/2034
633,049
Honduras Government International Bond
0.24
5.500
11/27/2034
608,762
Tunisian Republic
0.23
3.280
08/09/2027
594,132
Petroleos Del Peru Sa
0.22
5.625
06/19/2047
564,265
Ecuador Government International Bond
0.22
--
07/31/2030
557,616
Brazilian Government International Bond
0.22
7.250
01/12/2056
550,939
Digicel International Finance Ltd / Dif
0.20
5.500
08/01/2032
513,480
Ghana Government International Bond
0.20
5.000
07/03/2035
512,380
Singapore Government Bond
0.19
3.375
09/01/2033
483,568
Pan American Energy Llc/Argentina
0.18
4.250
01/15/2037
460,554
Tunisian Republic
0.18
8.250
09/19/2027
458,566
Constellation Oil Services Holding Sa
0.15
--
08/03/2033
382,267
Avianca Midco 2 Plc
0.15
10.250
01/07/2032
381,614
Primero Agila Ltd
0.15
7.750
07/16/2031
372,381
Hungary Government Bond
0.14
2.250
06/22/2034
354,364
Honduras Government International Bond
0.12
6.400
07/29/2036
312,430
Bonos De La Tesoreria De La Republica E
0.12
5.000
10/01/2028
306,185
Guatemala Government Bond
0.12
6.600
06/13/2036
298,768
Thailand Government Bond
0.11
2.800
06/17/2034
272,813
Nwd Finance Bvi Ltd
0.10
6.150
12/16/2072
245,727
China Government International Bond
0.10
5.500
11/13/2030
244,806
Angolan Government International Bond
0.09
8.250
05/09/2028
235,182
Philippine Government International Bon
0.09
5.750
01/27/2051
230,359
Secure International Finance Co Inc
0.05
10.000
06/03/2029
139,979
Barbados Government International Bond
0.05
8.000
06/26/2035
134,612
Hta Group Ltd/Mauritius
0.04
7.500
06/04/2029
107,458
Bahamas Government International Bond
0.04
6.625
05/15/2033
106,078
Digicel International Finance Ltd / Dif
0.03
5.500
08/01/2032
81,301
Japfa Ltd
0.03
5.500
05/12/2031
75,361
El Salvador Government International Bo
0.02
0.250
04/17/2030
49,028
Benin Government International Bond
0.02
5.500
02/13/2038
42,017
Secure International Finance Co Inc
0.01
10.000
06/03/2029
35,174
--
9.39
--
--
24,036,186
--
0.00
--
--
157
--
0.00
--
--
-0
--
0.00
--
--
0
--
0.00
--
--
25
--
0.00
--
--
-0
Other/Cash
-0.74
--
--
-1,889,456
← 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

Top 20 Country Weightings (%) as at 06/30/2026

  • Country

    % of Net Assets
  • Mexico

    6.13
  • Indonesia

    5.85
  • Malaysia

    5.78
  • China

    4.68
  • South Africa

    4.37
  • Thailand

    4.20
  • Chile

    3.97
  • Poland

    3.94
  • Peru

    3.62
  • Brazil

    3.36
  • Romania

    2.78
  • India

    2.73
  • Singapore

    2.70
  • Czech Republic

    2.41
  • Bolivia

    2.35
  • Argentina

    2.01
  • Saudi Arabia

    1.99
  • South Korea

    1.94
  • Philippines

    1.89
  • Colombia

    1.64
  • Other/Cash

    31.68

Credit Quality (%) as of 06/30/2026

Composite % of Net Assets
Investment Grade AAA 1.66
AA 3.37
A 18.78
BBB 29.94
Non-Investment Grade BB 19.07
B 10.33
CCC 7.53
CC 1.27
Total Investment Grade -- 53.75
Total Non-Investment Grade -- 38.20
Not Rated -- 4.95
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.

Years to Maturity as at 06/30/2026

  • Years

    Maturity (%)
  • < 1

    1.00
  • 1 - 3

    9.40
  • 3 - 5

    22.80
  • 5 - 7

    9.50
  • 7 - 10

    21.80
  • 10 - 15

    14.00
  • 15 - 20

    7.30
  • 20 - 30

    11.10
  • 30 +

    0.10

Fees

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
07/01/2026 07/01/2026 07/07/2026 $ 0.2422 -- -- -- $ 0.24
06/01/2026 06/01/2026 06/04/2026 $ 0.2810 -- -- -- $ 0.28
05/01/2026 05/01/2026 05/06/2026 $ 0.2331 -- -- -- $ 0.23
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

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