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MBBB VanEck Moody’s Analytics BBB Corporate Bond ETF Please read important disclosure Close important disclosure false

MBBB
VanEck Moody’s Analytics BBB Corporate Bond ETF

MBBB
VanEck Moody’s Analytics BBB Corporate Bond ETF

  • NAV
    $21.73

    as of January 15, 2026
  • YTD RETURNS
    0.33%

    as of January 15, 2026
  • Total Net Assets
    $8.69M

    as of January 15, 2026
  • Total Expense Ratio
    0.25%
  • Inception Date
    12/01/2020
  • 30-Day SEC Yield
    4.81%

About MBBB

VanEck Moody’s Analytics® BBB Corporate Bond ETF seeks to track, as closely as possible, before fees and expenses, the price and yield performance of the MVIS® Moody’s Analytics® US BBB Corporate Bond Index, which includes BBB rated corporate bonds that have attractive valuations and a lower probability of being downgraded to high yield compared to other BBB rated bonds.

Overview

Why MBBB

  • Select bonds with attractive valuations
  • Quantitative approach uses market-based information to assess risk
  • Powered by Moody’s Analytics credit risk platform

Yields  as of  01/15/2026


Distribution Frequency

Monthly


30-Day SEC Yield

4.81%


Distribution Yield

5.05%


12 Month Yield

4.98%

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 Moody’s Analytics BBB Corporate Bond ETF would have been 4.81% on 01/15/26. Distributions may vary from time to time.

Performance

Performance History:

Average Annual Total Returns* (%)

  1 MO 3 MO YTD 1 YR 3 YR 5 YR 10 YR LIFE
12/01/20
MBBB (NAV) 0.14 0.47 7.41 7.41 7.02 0.94 -- 1.15
MBBB (Share Price) 0.18 0.49 7.63 7.63 6.99 0.90 -- 1.16
MVBI (Index) -0.27 0.46 7.65 7.65 7.37 0.96 -- 1.23
Performance Differential (NAV - Index) 0.41 0.01 -0.24 -0.24 -0.35 -0.02 -- -0.08
ICE BofA BBB US Corporate Index -0.20 0.79 8.07 8.07 6.99 -- -- --
  1 MO 3 MO YTD 1 YR 3 YR 5 YR 10 YR LIFE
12/01/20
MBBB (NAV) 0.19 1.76 7.26 5.49 6.98 -- -- 1.14
MBBB (Share Price) 0.32 1.71 7.44 5.48 6.84 -- -- 1.14
MVBI (Index) 0.60 2.28 7.95 6.11 7.49 1.27 -- 1.31
Performance Differential (NAV - Index) -0.41 -0.52 -0.69 -0.62 -0.51 -- -- -0.17
ICE BofA BBB US Corporate Index 0.61 2.47 8.28 6.45 7.02 -- -- --

Prices as of 01/15/2026

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
MBBB $21.73
$21.73
5,599
712
$-0.01 / -0.05%
$-0.03 / -0.14%
+0.33%
+0.26%
$0.00
0.00%
0.09%

Fees

Holdings

Daily Holdings (%) as of 01/14/2026

Download XLS Get holdings
Total Holdings: 217
Holding Name % of Net
Assets
Maturity
Identifier (FIGI)
Coupon Asset Class Market Value
Par Value/ Contracts
Country Currency Notional Value
Charter Communications Operating Llc / 1.64
10/23/2045
BBG00F5TT274
6.484 Bond 142948.89
150,000
United States USD --
Mcdonald's Corp 1.61
03/01/2030
BBG00S4X15V4
2.125 Bond 140007.21
150,000
United States USD --
Verizon Communications Inc 1.59
03/21/2031
BBG00ZLKTF45
2.550 Bond 138504.36
150,000
United States USD --
Societe Generale Sa 1.15
01/19/2028
BBG014HG8RT7
2.797 Bond 99945.84
100,000
France USD --
Marriott International Inc/Md 1.09
10/15/2032
BBG00WMLRLV8
3.500 Bond 94491.34
100,000
United States USD --
Lowe's Cos Inc 1.07
04/01/2031
BBG00ZV9YVV8
2.625 Bond 92807.61
100,000
United States USD --
Oracle Corp 1.04
07/15/2040
BBG0027G8HG9
5.375 Bond 90182.80
100,000
United States USD --
Deutsche Telekom International Finance 1.02
06/15/2030
BBG00001TB91
8.750 Bond 88362.05
75,000
Netherlands USD --
Pacific Gas And Electric Co 1.01
07/01/2040
BBG00VVSMR74
4.500 Bond 87789.48
100,000
United States USD --
Kroger Co/The 1.01
02/01/2047
BBG00FRXL5S9
4.450 Bond 87477.63
100,000
United States USD --
Capital One Financial Corp 0.94
02/01/2035
BBG01L81X914
6.051 Bond 81678.93
75,000
United States USD --
Sprint Capital Corp 0.94
11/15/2028
BBG00006VK33
6.875 Bond 81349.68
75,000
United States USD --
Citigroup Inc 0.93
01/24/2036
BBG01RV5M3C9
6.020 Bond 81094.48
75,000
United States USD --
Altria Group Inc 0.90
02/14/2029
BBG00NB2Z4S5
4.800 Bond 77881.97
75,000
United States USD --
Hca Inc 0.86
06/15/2029
BBG00PC757T3
4.125 Bond 75074.49
75,000
United States USD --
Haleon Us Capital Llc 0.85
03/24/2029
BBG019WPJZQ2
3.375 Bond 74072.12
75,000
United States USD --
T-Mobile Usa Inc 0.85
04/15/2029
BBG00ZNJPPZ4
3.375 Bond 73822.71
75,000
United States USD --
Pacific Gas And Electric Co 0.84
08/01/2027
BBG00VJ062M5
2.100 Bond 73472.51
75,000
United States USD --
Hca Inc 0.84
06/15/2039
BBG00PC757V0
5.125 Bond 73194.91
75,000
United States USD --
Societe Generale Sa 0.83
01/22/2030
BBG00RDM6DL9
3.000 Bond 71798.36
75,000
France USD --
Centene Corp 0.81
02/15/2030
BBG00T413H35
3.375 Bond 70471.52
75,000
United States USD --
Hca Inc 0.79
06/15/2049
BBG00PC757X8
5.250 Bond 69047.75
75,000
United States USD --
T-Mobile Usa Inc 0.79
04/15/2040
BBG010HF8RG1
4.375 Bond 68374.80
75,000
United States USD --
Verizon Communications Inc 0.77
01/20/2031
BBG00Y4Q8W68
1.750 Bond 66840.21
75,000
United States USD --
Centene Corp 0.76
08/01/2031
BBG011ZR87F8
2.625 Bond 65812.04
75,000
United States USD --
Pacific Gas And Electric Co 0.74
07/01/2050
BBG00VVSNW72
4.950 Bond 64450.96
75,000
United States USD --
Charter Communications Operating Llc / 0.72
05/01/2047
BBG00J2KQNJ2
5.375 Bond 62370.13
75,000
United States USD --
T-Mobile Usa Inc 0.69
04/15/2030
BBG010CRDHX7
3.875 Bond 59580.42
60,000
United States USD --
Alimentation Couche-Tard Inc 0.66
01/25/2050
BBG00RHWBP76
3.800 Bond 57748.64
75,000
Canada USD --
Societe Generale Sa 0.66
03/01/2041
BBG00ZDMZHY6
3.625 Bond 57413.88
75,000
France USD --
Vistra Operations Co Llc 0.65
10/15/2033
BBG01J9H9BW1
6.950 Bond 56756.60
50,000
United States USD --
Mcdonald's Corp 0.65
10/15/2037
BBG0000K8L81
6.300 Bond 56652.25
50,000
United States USD --
Oracle Corp 0.65
04/01/2040
BBG00SXGDGM2
3.600 Bond 56558.23
75,000
United States USD --
J M Smucker Co/The 0.63
11/15/2033
BBG01JPR16M1
6.200 Bond 54954.76
50,000
United States USD --
Capital One Financial Corp 0.62
06/08/2034
BBG01GXKWQ81
6.377 Bond 54290.63
50,000
United States USD --
Capital One Financial Corp 0.61
01/30/2036
BBG01S19GVX4
6.183 Bond 53428.56
50,000
United States USD --
Citigroup Inc 0.61
02/13/2035
BBG01LCJJCL7
5.827 Bond 53323.42
50,000
United States USD --
Credit Agricole Sa 0.61
01/10/2035
BBG01KV92VM5
6.251 Bond 53266.19
50,000
France USD --
Enbridge Inc 0.61
04/05/2034
BBG01M81ZJY2
5.625 Bond 53124.37
50,000
Canada USD --
Altria Group Inc 0.61
02/14/2039
BBG00NB2Z5H4
5.800 Bond 52971.95
50,000
United States USD --
At&T Inc 0.61
06/01/2060
BBG00V0XGY88
3.850 Bond 52631.93
75,000
United States USD --
Bnp Paribas Sa 0.61
11/19/2035
BBG01QRZ0F73
5.906 Bond 52627.39
50,000
France USD --
Charter Communications Operating Llc / 0.60
10/23/2035
BBG00F5TSNV2
6.384 Bond 51902.01
50,000
United States USD --
Campbell's Company/The 0.59
03/21/2034
BBG01M2RSKZ5
5.400 Bond 51662.50
50,000
United States USD --
Flutter Treasury Dac 0.59
06/04/2031
BBG01V57CJF8
5.875 Bond 51521.30
50,000
Ireland USD --
Ares Capital Corp 0.59
07/15/2029
BBG01MRC5552
5.950 Bond 51401.49
50,000
United States USD --
Mplx Lp 0.59
03/01/2033
BBG01DZ9SDP6
5.000 Bond 51356.49
50,000
United States USD --
Kroger Co/The 0.59
09/15/2034
BBG01PDHL8W5
5.000 Bond 51293.63
50,000
United States USD --
Societe Generale Sa 0.59
10/03/2036
BBG01XMKS7K9
5.439 Bond 51204.91
50,000
France USD --
Oracle Corp 0.59
02/03/2032
BBG01S2SFP92
5.250 Bond 51143.38
50,000
United States USD --
Tyson Foods Inc 0.59
03/01/2029
BBG00NBCFRX8
4.350 Bond 51009.53
50,000
United States USD --
At&T Inc 0.59
02/15/2030
BBG00MDP4HM5
4.300 Bond 51007.82
50,000
United States USD --
Capital One Financial Corp 0.59
02/09/2027
BBG00FY3CTF9
4.100 Bond 50930.13
50,000
United States USD --
Vici Properties Lp 0.58
05/15/2032
BBG016XT0P54
5.125 Bond 50801.50
50,000
United States USD --
Vici Properties Lp / Vici Note Co Inc 0.58
02/15/2027
BBG00RHH7RP0
3.750 Bond 50485.50
50,000
United States USD --
Royal Bank Of Canada 0.58
11/24/2085
BBG01X9TD2W9
6.500 Bond 50458.79
50,000
Canada USD --
Vici Properties Lp / Vici Note Co Inc 0.58
12/01/2029
BBG00QX3PN65
4.625 Bond 50333.11
50,000
United States USD --
General Mills Inc 0.58
02/10/2027
BBG00FQKBFK5
3.200 Bond 50308.93
50,000
United States USD --
T-Mobile Usa Inc 0.58
04/15/2027
BBG010CJ1ZL1
3.750 Bond 50305.55
50,000
United States USD --
Rogers Communications Inc 0.58
03/15/2027
BBG01HMTY7M6
3.200 Bond 50042.76
50,000
Canada USD --
Sherwin-Williams Co/The 0.57
06/01/2027
BBG00GM56528
3.450 Bond 49851.52
50,000
United States USD --
Enel Finance International Nv 0.57
04/06/2028
BBG00HW2ZLF1
3.500 Bond 49837.63
50,000
Italy USD --
Mcdonald's Corp 0.57
07/01/2027
BBG00ST63R37
3.500 Bond 49828.13
50,000
United States USD --
Lowe's Cos Inc 0.57
05/03/2027
BBG00GH1NNR8
3.100 Bond 49776.48
50,000
United States USD --
Pacific Gas And Electric Co 0.57
07/01/2028
BBG00VVSB663
3.750 Bond 49440.04
50,000
United States USD --
Centene Corp 0.56
12/15/2029
BBG00T5K2GV4
4.625 Bond 49053.99
50,000
United States USD --
Keurig Dr Pepper Inc 0.56
04/15/2032
BBG016NCR5X6
4.050 Bond 48785.26
50,000
United States USD --
T-Mobile Usa Inc 0.56
02/15/2028
BBG010CRDF07
2.050 Bond 48473.69
50,000
United States USD --
Enbridge Inc 0.55
11/15/2029
BBG00QV2K9G4
3.125 Bond 48207.99
50,000
Canada USD --
Conagra Brands Inc 0.55
11/01/2038
BBG00M897H71
5.300 Bond 48105.29
50,000
United States USD --
General Mills Inc 0.55
04/15/2030
BBG00SY22J39
2.875 Bond 47758.29
50,000
United States USD --
Credit Agricole Sa 0.55
01/14/2030
BBG00RB6PY93
3.250 Bond 47671.83
50,000
France USD --
Mplx Lp 0.54
08/15/2030
BBG00WM3FHL1
2.650 Bond 46919.65
50,000
United States USD --
Societe Generale Sa 0.54
01/21/2033
BBG014HG8S97
3.337 Bond 46645.47
50,000
France USD --
Charter Communications Operating Llc / 0.54
04/01/2038
BBG00KHNZJ15
5.375 Bond 46593.53
50,000
United States USD --
Kraft Heinz Foods Co 0.54
06/04/2042
BBG003PS59M5
5.000 Bond 46550.29
50,000
United States USD --
Mcdonald's Corp 0.53
12/09/2045
BBG00BL6CVP9
4.875 Bond 46326.94
50,000
United States USD --
T-Mobile Usa Inc 0.53
02/15/2031
BBG010CRDJB7
2.550 Bond 46292.64
50,000
United States USD --
Kraft Heinz Foods Co 0.53
07/15/2045
BBG00DDZT3D7
5.200 Bond 46278.05
50,000
United States USD --
Mondelez International Inc 0.53
09/04/2050
BBG00X3GQPR5
2.625 Bond 46029.49
75,000
United States USD --
Pacific Gas And Electric Co 0.53
02/01/2031
BBG00VJ06334
2.500 Bond 45731.87
50,000
United States USD --
Charter Communications Operating Llc / 0.52
04/01/2061
BBG00Y8XNZ01
3.850 Bond 45534.02
75,000
United States USD --
Charter Communications Operating Llc / 0.52
06/30/2062
BBG012QCC8D4
3.950 Bond 45311.09
75,000
United States USD --
Constellation Brands Inc 0.52
08/01/2031
BBG011WYRSJ5
2.250 Bond 45048.41
50,000
United States USD --
Vmware Llc 0.52
08/15/2031
BBG011WS37X4
2.200 Bond 44946.71
50,000
United States USD --
Altria Group Inc 0.52
02/04/2032
BBG00Z3VVKV7
2.450 Bond 44899.99
50,000
United States USD --
Verizon Communications Inc 0.51
03/15/2032
BBG016HQCKF5
2.355 Bond 44580.55
50,000
United States USD --
Centene Corp 0.50
03/01/2031
BBG00Z71L044
2.500 Bond 43901.97
50,000
United States USD --
Altria Group Inc 0.50
08/09/2042
BBG0038PKS87
4.250 Bond 43195.48
50,000
United States USD --
Kraft Heinz Foods Co 0.48
06/01/2046
BBG00DDZTGK0
4.375 Bond 41944.03
50,000
United States USD --
Keurig Dr Pepper Inc 0.48
04/15/2052
BBG016NCR9W9
4.500 Bond 41571.64
50,000
United States USD --
Oracle Corp 0.47
11/15/2037
BBG00J5HRSG7
3.800 Bond 40710.61
50,000
United States USD --
Verizon Communications Inc 0.46
03/22/2041
BBG00ZLKTF81
3.400 Bond 39922.22
50,000
United States USD --
Societe Generale Sa 0.46
01/21/2043
BBG014HG8YR4
4.027 Bond 39909.17
50,000
France USD --
Altria Group Inc 0.46
02/04/2041
BBG00Z3VVKW6
3.400 Bond 39762.07
50,000
United States USD --
Mcdonald's Corp 0.44
09/01/2049
BBG00PXNPR37
3.625 Bond 37988.49
50,000
United States USD --
Oracle Corp 0.40
05/15/2055
BBG008LS4XX4
4.375 Bond 35007.66
50,000
United States USD --
Pacific Gas And Electric Co 0.40
08/01/2050
BBG00VJ063X1
3.500 Bond 34998.11
50,000
United States USD --
Oracle Corp 0.40
07/15/2046
BBG00D7FYSW6
4.000 Bond 34940.77
50,000
United States USD --
T-Mobile Usa Inc 0.40
10/15/2052
BBG017RD17N3
3.400 Bond 34347.27
50,000
United States USD --
Oracle Corp 0.39
03/25/2051
BBG00ZS0BPT2
3.950 Bond 33595.02
50,000
United States USD --
Sprint Capital Corp 0.36
03/15/2032
BBG000027JD1
8.750 Bond 30962.33
25,000
United States USD --
Capital One Financial Corp 0.34
11/02/2034
BBG01JZ64TW2
7.964 Bond 29847.17
25,000
United States USD --
Kraft Heinz Foods Co 0.34
08/01/2039
BBG00008J8X7
7.125 Bond 29162.26
25,000
United States USD --
Var Energi Asa 0.33
11/15/2032
BBG01BFQSQL9
8.000 Bond 29050.21
25,000
Norway USD --
Kraft Heinz Foods Co 0.33
01/26/2039
BBG003PS26C5
6.875 Bond 28961.55
25,000
United States USD --
Deutsche Bank Ag/New York Ny 0.33
02/10/2034
BBG01F3MLN18
7.079 Bond 28355.10
25,000
United States USD --
Hsbc Holdings Plc 0.32
09/15/2037
BBG019MDN2G9
6.500 Bond 27816.10
25,000
United Kingdom USD --
Societe Generale Sa 0.31
01/19/2035
BBG01KZJ6QM6
6.066 Bond 27227.17
25,000
France USD --
Orlen Sa 0.31
01/30/2035
BBG01RXCW2Z8
6.000 Bond 27031.11
25,000
Poland USD --
Bank Of Montreal 0.31
11/26/2084
BBG01NPN4GT9
7.300 Bond 27002.81
25,000
Canada USD --
Sysco Corp 0.31
04/01/2030
BBG00SXGF919
5.950 Bond 26956.24
25,000
United States USD --
Tyson Foods Inc 0.31
03/15/2034
BBG01LR4Z8B6
5.700 Bond 26916.03
25,000
United States USD --
Pacific Gas And Electric Co 0.31
01/15/2053
BBG01C76KWM4
6.750 Bond 26911.60
25,000
United States USD --
Enbridge Inc 0.31
03/08/2033
BBG01FRDFL31
5.700 Bond 26840.29
25,000
Canada USD --
Bank Of Nova Scotia/The 0.31
04/27/2085
BBG01RYYFKD2
7.350 Bond 26602.90
25,000
Canada USD --
Minera Mexico Sa De Cv 0.30
02/12/2032
BBG01S53MG87
5.625 Bond 26476.57
25,000
Mexico USD --
Canadian Imperial Bank Of Commerce 0.30
10/28/2085
BBG01VYFZQG6
7.000 Bond 26388.01
25,000
Canada USD --
Marriott International Inc/Md 0.30
03/15/2035
BBG01P61WF32
5.350 Bond 26255.30
25,000
United States USD --
Ares Capital Corp 0.30
03/01/2029
BBG01L0P4ZH6
5.875 Bond 26205.36
25,000
United States USD --
Bank Of Nova Scotia/The 0.30
10/27/2085
BBG01XMKJX59
6.875 Bond 26200.24
25,000
Canada USD --
Lpl Holdings Inc 0.30
03/15/2030
BBG01SJ29Y44
5.200 Bond 26061.84
25,000
United States USD --
First Citizens Bancshares Inc/Nc 0.30
03/12/2040
BBG01SQ94SP6
6.254 Bond 26000.88
25,000
United States USD --
Societe Generale Sa 0.30
01/19/2028
BBG01KZJ4LR4
5.519 Bond 25984.55
25,000
France USD --
Altria Group Inc 0.30
02/14/2049
BBG00NB2Z619
5.950 Bond 25941.66
25,000
United States USD --
Toronto-Dominion Bank/The 0.30
10/31/2085
BBG01X7P5WD3
6.350 Bond 25932.65
25,000
Canada USD --
Glp Capital Lp / Glp Financing Ii Inc 0.30
09/15/2034
BBG01P17FY87
5.625 Bond 25908.89
25,000
United States USD --
Element Fleet Management Corp 0.30
03/13/2027
BBG01LTHW365
5.643 Bond 25886.97
25,000
Canada USD --
Mplx Lp 0.30
02/15/2029
BBG00MH8SKD6
4.800 Bond 25875.00
25,000
United States USD --
Marriott International Inc/Md 0.30
04/15/2029
BBG01G137GB0
4.900 Bond 25865.43
25,000
United States USD --
United Rentals North America Inc 0.30
12/15/2029
BBG01BJ9JL89
6.000 Bond 25814.77
25,000
United States USD --
Crh Smw Finance Dac 0.30
01/09/2030
BBG01RMKHYF1
5.125 Bond 25812.43
25,000
Ireland USD --
Ares Capital Corp 0.30
03/08/2032
BBG01RL3Y7B4
5.800 Bond 25807.04
25,000
United States USD --
General Mills Inc 0.30
03/29/2033
BBG01G26NCX9
4.950 Bond 25796.26
25,000
United States USD --
Blue Owl Capital Corp 0.30
03/15/2029
BBG01L123MD0
5.950 Bond 25781.58
25,000
United States USD --
Itc Holdings Corp 0.30
09/22/2027
BBG019K3M5Q6
4.950 Bond 25725.63
25,000
United States USD --
Westinghouse Air Brake Technologies Cor 0.30
09/15/2028
BBG00LY7Z109
4.950 Bond 25709.21
25,000
United States USD --
Mplx Lp 0.30
04/01/2035
BBG01SMYLCG1
5.400 Bond 25699.76
25,000
United States USD --
Keurig Dr Pepper Inc 0.30
03/15/2027
BBG01LTHZ2G3
5.100 Bond 25687.32
25,000
United States USD --
Mplx Lp 0.30
09/01/2032
BBG0193VLX56
4.950 Bond 25681.21
25,000
United States USD --
Ares Capital Corp 0.29
01/15/2027
BBG01HP0KFD3
7.000 Bond 25617.70
25,000
United States USD --
Golub Capital BDC Inc 0.29
07/15/2029
BBG01L81VX86
6.000 Bond 25615.94
25,000
United States USD --
Sitios Latinoamerica Sab De Cv 0.29
04/04/2032
BBG016G3XBY3
5.375 Bond 25596.08
25,000
Mexico USD --
Cencosud Sa 0.29
07/17/2027
BBG00H4FV4Z3
4.375 Bond 25584.46
25,000
Chile USD --
Sabine Pass Liquefaction Llc 0.29
03/15/2027
BBG00GGMLDZ8
5.000 Bond 25575.74
25,000
United States USD --
Expand Energy Corp 0.29
04/15/2029
BBG00ZV9LPK7
6.750 Bond 25549.11
25,000
United States USD --
Bnp Paribas Sa 0.29
03/13/2027
BBG00G5BXNV3
4.625 Bond 25529.60
25,000
France USD --
Glp Capital Lp / Glp Financing Ii Inc 0.29
01/15/2029
BBG00M0DVW89
5.300 Bond 25520.91
25,000
United States USD --
Stryker Corp 0.29
09/11/2029
BBG01PL29666
4.250 Bond 25518.80
25,000
United States USD --
Motorola Inc 0.29
05/23/2029
BBG00P449F71
4.600 Bond 25493.48
25,000
United States USD --
Ferguson Finance Plc 0.29
10/24/2028
BBG00M8RBC22
4.500 Bond 25454.95
25,000
United Kingdom USD --
Standard Chartered Plc 0.29
02/19/2027
BBG00DLL3Z37
4.300 Bond 25435.05
25,000
United Kingdom USD --
Roper Technologies Inc 0.29
09/15/2028
BBG00LQ0XR99
4.200 Bond 25425.83
25,000
United States USD --
Deutsche Telekom International Finance 0.29
01/19/2027
BBG00FQKG6L9
3.600 Bond 25360.90
25,000
Netherlands USD --
Equinix Europe 2 Financing Corp Llc 0.29
11/15/2030
BBG01YCH4KJ4
4.600 Bond 25357.53
25,000
United States USD --
Cheniere Corpus Christi Holdings Llc 0.29
06/30/2027
BBG00JCCY732
5.125 Bond 25292.47
25,000
United States USD --
Deutsche Telekom International Finance 0.29
06/21/2028
BBG00L524VF4
4.375 Bond 25236.78
25,000
Netherlands USD --
O'Reilly Automotive Inc 0.29
09/01/2027
BBG00HFDK095
3.600 Bond 25176.37
25,000
United States USD --
Mplx Lp 0.29
01/15/2033
BBG01WL07CK8
5.000 Bond 25166.86
25,000
United States USD --
Mccormick & Co Inc/Md 0.29
08/15/2027
BBG00HDQYCH8
3.400 Bond 25148.17
25,000
United States USD --
Bangkok Bank Pcl/Hong Kong 0.29
06/15/2027
BBG0180FLN03
4.300 Bond 25144.05
25,000
Thailand USD --
Prosus Nv 0.29
01/19/2027
BBG014GVQNY8
3.257 Bond 25103.15
25,000
Netherlands USD --
Kraft Heinz Foods Co 0.29
05/15/2027
BBG00YM3CR56
3.875 Bond 25096.55
25,000
United States USD --
Lpl Holdings Inc 0.29
03/15/2029
BBG00ZJY83V8
4.000 Bond 25013.22
25,000
United States USD --
Hca Inc 0.29
03/15/2027
BBG01H0DVH19
3.125 Bond 25011.99
25,000
United States USD --
Keurig Dr Pepper Inc 0.29
04/15/2029
BBG016NCR3L4
3.950 Bond 25006.61
25,000
United States USD --
Enel Finance International Nv 0.29
05/25/2027
BBG00GSK9VB9
3.625 Bond 24981.48
25,000
Italy USD --
Lowe's Cos Inc 0.29
04/05/2029
BBG00NSHYZG9
3.650 Bond 24950.70
25,000
United States USD --
Tyson Foods Inc 0.29
06/02/2027
BBG00GSNL4S1
3.550 Bond 24930.87
25,000
United States USD --
Reliance Industries Ltd 0.29
11/30/2027
BBG00J9YRRW0
3.667 Bond 24923.25
25,000
India USD --
Vistra Operations Co Llc 0.29
07/15/2029
BBG00PC0ZJ91
4.300 Bond 24879.65
25,000
United States USD --
Gfl Environmental Inc 0.29
09/01/2028
BBG00YJ6YFT9
3.500 Bond 24854.30
25,000
Canada USD --
Royal Bank Of Canada 0.29
11/24/2084
BBG01QD83755
6.350 Bond 24843.60
25,000
Canada USD --
Dt Midstream Inc 0.28
06/15/2029
BBG0113S2FV1
4.125 Bond 24779.09
25,000
United States USD --
Sysco Corp 0.28
07/15/2027
BBG00GZTSD12
3.250 Bond 24767.93
25,000
United States USD --
Oracle Corp 0.28
07/08/2039
BBG00005C1C8
6.125 Bond 24737.06
25,000
United States USD --
Bank Of Nova Scotia/The 0.28
05/04/2037
BBG016L9VGM8
4.588 Bond 24733.35
25,000
Canada USD --
Vici Properties Lp / Vici Note Co Inc 0.28
08/15/2030
BBG00RHH7RT6
4.125 Bond 24703.26
25,000
United States USD --
T-Mobile Usa Inc 0.28
01/15/2035
BBG01PZSWSP9
4.700 Bond 24632.15
25,000
United States USD --
Cheniere Corpus Christi Holdings Llc 0.28
11/15/2029
BBG00XLXLLW6
3.700 Bond 24619.70
25,000
United States USD --
News Corp 0.28
05/15/2029
BBG00ZXXPNK3
3.875 Bond 24532.88
25,000
United States USD --
Constellation Brands Inc 0.28
08/01/2029
BBG00PT7KLS8
3.150 Bond 24504.90
25,000
United States USD --
Alcon Finance Corp 0.28
09/23/2029
BBG00Q9B0KW8
3.000 Bond 24246.28
25,000
United States USD --
Nrg Energy Inc 0.28
12/02/2027
BBG00Y6TNGG7
2.450 Bond 24227.27
25,000
United States USD --
Equinix Inc 0.28
11/18/2029
BBG00QSDFBD8
3.200 Bond 24175.44
25,000
United States USD --
International Flavors & Fragrances Inc 0.28
10/15/2027
BBG00X7K3D03
1.832 Bond 24115.62
25,000
United States USD --
Vmware Llc 0.27
08/15/2028
BBG011WS37M6
1.800 Bond 23851.09
25,000
United States USD --
Broadridge Financial Solutions Inc 0.27
12/01/2029
BBG00R0XZVW5
2.900 Bond 23834.53
25,000
United States USD --
Enel Finance International Nv 0.27
07/12/2028
BBG011Q3W871
2.125 Bond 23792.37
25,000
Netherlands USD --
Blue Owl Capital Corp 0.27
06/11/2028
BBG011BP7RK9
2.875 Bond 23726.31
25,000
United States USD --
Tyson Foods Inc 0.27
09/28/2048
BBG00M3FYGS1
5.100 Bond 23714.37
25,000
United States USD --
Marriott International Inc/Md 0.27
04/15/2031
BBG00ZHZ6JR9
2.850 Bond 23426.49
25,000
United States USD --
Pacific Gas And Electric Co 0.27
06/01/2031
BBG00ZKWNMM1
3.250 Bond 23378.96
25,000
United States USD --
Mondelez International Inc 0.27
03/17/2032
BBG015SKPHZ9
3.000 Bond 23222.87
25,000
United States USD --
Costar Group Inc 0.26
07/15/2030
BBG00VPLJZ81
2.800 Bond 22978.11
25,000
United States USD --
Societe Generale Sa 0.26
06/09/2032
BBG01198TDB7
2.889 Bond 22765.24
25,000
France USD --
International Flavors & Fragrances Inc 0.26
11/01/2030
BBG00X7K3DL0
2.300 Bond 22733.01
25,000
United States USD --
Centene Corp 0.26
10/15/2030
BBG00XKL2YC8
3.000 Bond 22708.29
25,000
United States USD --
Conagra Brands Inc 0.26
11/01/2048
BBG00M897H80
5.400 Bond 22617.26
25,000
United States USD --
Canadian Pacific Railway Co 0.26
12/02/2031
BBG013KWWDS5
2.450 Bond 22585.52
25,000
Canada USD --
Hca Inc 0.26
07/15/2031
BBG011K30QW4
2.375 Bond 22428.26
25,000
United States USD --
T-Mobile Usa Inc 0.26
11/15/2031
BBG010HF7DG3
2.250 Bond 22294.28
25,000
United States USD --
Roper Technologies Inc 0.26
02/15/2031
BBG00WS5W0Q3
1.750 Bond 22173.95
25,000
United States USD --
Capital One Financial Corp 0.25
07/29/2032
BBG011YP82P3
2.359 Bond 22170.64
25,000
United States USD --
Mcdonald's Corp 0.25
09/01/2048
BBG00LPVF260
4.450 Bond 21830.30
25,000
United States USD --
Oracle Corp 0.24
07/15/2036
BBG00D7FYG98
3.850 Bond 20928.44
25,000
United States USD --
Oracle Corp 0.24
09/27/2064
BBG01Q0P7XC2
5.500 Bond 20499.72
25,000
United States USD --
Pacific Gas And Electric Co 0.22
08/01/2040
BBG00VJ063N2
3.300 Bond 19482.40
25,000
United States USD --
T-Mobile Usa Inc 0.22
02/15/2041
BBG010HF8445
3.000 Bond 19042.97
25,000
United States USD --
Infraestructura Energetica Nova Sapi De 0.22
01/15/2051
BBG00X8R5V14
4.750 Bond 19031.43
25,000
Mexico USD --
Keurig Dr Pepper Inc 0.21
05/01/2050
BBG00T239HG3
3.800 Bond 18649.45
25,000
United States USD --
International Flavors & Fragrances Inc 0.20
12/01/2050
BBG00X7K3F71
3.468 Bond 17567.60
25,000
United States USD --
T-Mobile Usa Inc 0.20
02/15/2051
BBG010CJ08Z7
3.300 Bond 17235.47
25,000
United States USD --
Everest Reinsurance Holdings Inc 0.19
10/15/2052
BBG012R1WYH4
3.125 Bond 16313.23
25,000
United States USD --
Charter Communications Operating Llc / 0.19
04/01/2051
BBG00T64VY20
3.700 Bond 16122.40
25,000
United States USD --
Charter Communications Operating Llc / 0.18
07/01/2049
BBG00PKCSR05
5.125 Bond 15736.61
20,000
United States USD --
0.17
--
--
-- Cash Bal 15153.40
15,153
United States USD --
Other/Cash -0.02
--
--
-- Cash -1908.16
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

Currency Exposure (%) as of 12/31/2025

U.S. Dollar 99.86
Other/Cash 0.14

Credit Quality (%) as of 11/30/2025

Composite % of Net Assets
Investment Grade A 0.31
BBB 90.95
Non-Investment Grade BB 8.58
Total Investment Grade -- 91.26
Total Non-Investment Grade -- 8.58
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.

Country Weightings (%) as at 12/31/2025

  • Country

    % of Net Assets
  • United States

    78.29
  • France

    7.17
  • Canada

    6.77
  • Italy

    2.20
  • Netherlands

    1.89
  • Mexico

    0.83
  • United Kingdom

    0.61
  • Ireland

    0.59
  • Norway

    0.33
  • Poland

    0.31
  • Chile

    0.29
  • Thailand

    0.29
  • India

    0.29
  • Other/Cash

    0.14

Maturity (%) as at 11/30/2025

  • Years

    Maturity (%)
  • < 1

    1.20
  • 1 - 3

    18.20
  • 3 - 5

    21.30
  • 5 - 7

    13.90
  • 7 - 10

    12.50
  • 10 - 15

    11.70
  • 15 - 20

    5.50
  • 20 - 30

    11.20
  • 30 +

    4.50

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
12/29/2025 12/29/2025 12/31/2025 $ 0.0914 -- -- -- $ 0.09
11/28/2025 11/28/2025 12/03/2025 $ 0.0858 -- -- -- $ 0.09
11/03/2025 11/03/2025 11/06/2025 $ 0.0921 -- -- -- $ 0.09
10/01/2025 10/01/2025 10/06/2025 $ 0.0865 -- -- -- $ 0.09
09/02/2025 09/02/2025 09/05/2025 $ 0.0893 -- -- -- $ 0.09
08/01/2025 08/01/2025 08/06/2025 $ 0.0924 -- -- -- $ 0.09
07/01/2025 07/01/2025 07/07/2025 $ 0.0869 -- -- -- $ 0.09
06/02/2025 06/02/2025 06/05/2025 $ 0.0915 -- -- -- $ 0.09
05/01/2025 05/01/2025 05/06/2025 $ 0.0866 -- -- -- $ 0.09
04/01/2025 04/01/2025 04/04/2025 $ 0.0974 -- -- -- $ 0.10
03/03/2025 03/03/2025 03/06/2025 $ 0.0904 -- -- -- $ 0.09
02/03/2025 02/03/2025 02/06/2025 $ 0.0909 -- -- -- $ 0.09
12/27/2024 12/27/2024 12/30/2024 $ 0.0898 -- -- -- $ 0.09
12/02/2024 12/02/2024 12/05/2024 $ 0.0854 -- -- -- $ 0.09
11/01/2024 11/01/2024 11/06/2024 $ 0.0879 -- -- -- $ 0.09
10/01/2024 10/01/2024 10/04/2024 $ 0.0863 -- -- -- $ 0.09
09/03/2024 09/03/2024 09/06/2024 $ 0.0894 -- -- -- $ 0.09
08/01/2024 08/01/2024 08/06/2024 $ 0.0913 -- -- -- $ 0.09
07/01/2024 07/01/2024 07/05/2024 $ 0.0881 -- -- -- $ 0.09
06/03/2024 06/03/2024 06/06/2024 $ 0.0903 -- -- -- $ 0.09
05/01/2024 05/02/2024 05/07/2024 $ 0.0846 -- -- -- $ 0.08
04/01/2024 04/02/2024 04/05/2024 $ 0.0906 -- -- -- $ 0.09
03/01/2024 03/04/2024 03/07/2024 $ 0.0795 -- -- -- $ 0.08
02/01/2024 02/02/2024 02/07/2024 $ 0.0809 -- -- -- $ 0.08
12/27/2023 12/28/2023 12/29/2023 $ 0.0916 -- -- -- $ 0.09
12/01/2023 12/04/2023 12/07/2023 $ 0.0809 -- -- -- $ 0.08
11/01/2023 11/02/2023 11/07/2023 $ 0.0816 -- -- -- $ 0.08
10/02/2023 10/03/2023 10/06/2023 $ 0.0785 -- -- -- $ 0.08
09/01/2023 09/05/2023 09/08/2023 $ 0.0810 -- -- -- $ 0.08
08/01/2023 08/02/2023 08/10/2023 $ 0.0827 -- -- -- $ 0.08
07/03/2023 07/05/2023 07/07/2023 $ 0.0817 -- -- -- $ 0.08
06/01/2023 06/02/2023 06/07/2023 $ 0.0844 -- -- -- $ 0.08
05/01/2023 05/02/2023 05/05/2023 $ 0.0747 -- -- -- $ 0.07
04/03/2023 04/04/2023 04/10/2023 $ 0.0855 -- -- -- $ 0.09
03/01/2023 03/02/2023 03/07/2023 $ 0.0680 -- -- -- $ 0.07
02/01/2023 02/02/2023 02/07/2023 $ 0.0766 -- -- -- $ 0.08
12/28/2022 12/29/2022 12/30/2022 $ 0.0711 -- -- -- $ 0.07
12/01/2022 12/02/2022 12/07/2022 $ 0.0660 -- -- -- $ 0.07
11/01/2022 11/02/2022 11/07/2022 $ 0.0640 -- -- -- $ 0.06
10/03/2022 10/04/2022 10/07/2022 $ 0.0569 -- -- -- $ 0.06
09/01/2022 09/02/2022 09/08/2022 $ 0.0585 -- -- -- $ 0.06
08/01/2022 08/02/2022 08/05/2022 $ 0.0586 -- -- -- $ 0.06
07/01/2022 07/05/2022 07/08/2022 $ 0.0442 -- -- -- $ 0.04
06/01/2022 06/02/2022 06/07/2022 $ 0.0501 -- -- -- $ 0.05
05/02/2022 05/03/2022 05/06/2022 $ 0.0499 -- -- -- $ 0.05
04/01/2022 04/04/2022 04/07/2022 $ 0.0493 -- -- -- $ 0.05
03/01/2022 03/02/2022 03/07/2022 $ 0.0436 -- -- -- $ 0.04
02/01/2022 02/02/2022 02/07/2022 $ 0.0480 -- -- -- $ 0.05
12/29/2021 12/30/2021 12/31/2021 $ 0.0464 -- -- -- $ 0.05
12/01/2021 12/02/2021 12/07/2021 $ 0.0489 -- -- -- $ 0.05
11/01/2021 11/02/2021 11/05/2021 $ 0.0505 -- -- -- $ 0.05
10/01/2021 10/04/2021 10/07/2021 $ 0.0473 -- -- -- $ 0.05
09/01/2021 09/02/2021 09/08/2021 $ 0.0448 -- -- -- $ 0.04
08/02/2021 08/03/2021 08/06/2021 $ 0.0452 -- -- -- $ 0.05
07/01/2021 07/02/2021 07/08/2021 $ 0.0463 -- -- -- $ 0.05
06/01/2021 06/02/2021 06/07/2021 $ 0.0486 -- -- -- $ 0.05
05/03/2021 05/04/2021 05/07/2021 $ 0.0480 -- -- -- $ 0.05
04/01/2021 04/05/2021 04/08/2021 $ 0.0469 -- -- -- $ 0.05
03/01/2021 03/02/2021 03/05/2021 $ 0.0451 -- -- -- $ 0.05
02/01/2021 02/02/2021 02/05/2021 $ 0.0500 -- -- -- $ 0.05
12/29/2020 12/30/2020 01/05/2021 $ 0.0470 -- -- -- $ 0.05

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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Literature

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