VanEck US Fallen Angel High Yield Bond UCITS ETF A USD Acc
EM1A.DE
#2763
ETF rank
ยฃ50.18 M
Marketcap
๐Ÿ‡ช๐Ÿ‡บ EU
Market
ยฃ18.42
Share price
-0.08%
Change (1 day)
7.58%
Change (1 year)

VanEck US Fallen Angel High Yield Bond UCITS ETF A USD Acc - Holdings

Etf holdings as of May 1, 2026Number of holdings: 131

Full holdings list

Weight %NameTickerShares HeldCountry
3.44%
Nissan Motor Co Ltd654744AC52350000Japan
3.38%
Vodafone Group Plc92857WBQ22185000United Kingdom
3.26%
Nissan Motor Co Ltd654744AD32350000Japan
2.57%
Entegris Inc29365BAA11750000United States
1.80%
Celanese Us Holdings Llc15089QAY01095000United States
1.78%
Dresdner Funding Trust I26156FAA11090000Germany
1.78%
Celanese Us Holdings Llc15089QAX21090000United States
1.74%
Celanese Us Holdings Llc15089QAP91090000United States
1.46%
Resorts World Las Vegas Llc / Rwlv CapiUSU76198AA521100000United States
1.40%
Pacificorp695114DF2925000United States
1.30%
Celanese Us Holdings Llc15089QAW4815000United States
1.30%
Celanese Us Holdings Llc15089QAN4820000United States
1.20%
Paramount Global92556HAB3850000United States
1.17%
Perrigo Finance Unlimited Co71429MAC9820000Ireland
1.17%
Huntsman International Llc44701QBE1820000United States
1.15%
Methanex Corp59151KAL2765000Canada
1.14%
Fs Kkr Capital Corp302635AK3820000United States
1.12%
Fs Kkr Capital Corp302635AP2765000United States
1.11%
Nordstrom Inc655664AR11050000United States
1.10%
Whirlpool Corp963320AW6765000United States
1.10%
Vf Corp918204BC1820000United States
1.03%
Paramount Global925524AX8750000United States
1.02%
Nissan Motor Acceptance Co Llc65480CAF2665000United States
0.98%
Fs Kkr Capital Corp302635AN7655000United States
0.96%
Transocean International Ltd893830AT6665000United States
0.96%
Paramount Global92553PAU6875000United States
0.95%
Newell Brands Inc651229AY2725000United States
0.94%
Telecom Italia Capital Sa87927VAV0545000Italy
0.93%
Celanese Us Holdings Llc15089QAM6605000United States
0.91%
Bombardier Inc097751AL5560000Canada
0.89%
Telecom Italia Capital Sa87927VAR9545000Italy
0.89%
Paramount Global92556HAD9675000United States
0.89%
Rockies Express Pipeline Llc77340RAR8600000United States
0.88%
Paramount Global925524AH3550000United States
0.88%
Paramount Global92553PAP7925000United States
0.87%
Telecom Italia Capital Sa87927VAF5545000Italy
0.85%
Aptiv Swiss Holdings Ltd03837AAD2550000Ireland
0.83%
Navient Corp78442FAZ1650000United States
0.83%
Telecom Italia Capital Sa87927VAM0545000Italy
0.81%
Rockies Express Pipeline Llc77340RAM9545000United States
0.81%
Nissan Motor Acceptance Co Llc654740BT5575000United States
0.81%
Fluor Corp343412AF9550000United States
0.80%
Diversified Healthcare Trust81721MAM1550000United States
0.78%
Fs Kkr Capital Corp302635AL1540000United States
0.77%
Nordstrom Inc655664AT7545000United States
0.76%
Advance Auto Parts Inc00751YAE6545000United States
0.74%
Fmc Corp302491AX3550000United States
0.74%
Fmc Corp302491AU9550000United States
0.73%
Hudson Pacific Properties Lp44409MAB2545000United States
0.72%
Sealed Air Corp81211KAK6490000United States
0.72%
Brandywine Operating Partnership Lp105340AQ6490000United States
0.68%
Fs Kkr Capital Corp302635AM9435000United States
0.66%
Transocean International Ltd893830AF6435000United States
0.66%
Newell Brands Inc651229AX4460000United States
0.65%
Paramount Global92556HAC1675000United States
0.65%
Tenet Healthcare Corp88033GAV2400000United States
0.64%
Buckeye Partners Lp118230AR2435000Australia
0.64%
Service Properties Trust44106MBB7465000United States
0.64%
Nordstrom Inc655664AY6465000United States
0.63%
Fmc Corp302491AY1550000United States
0.63%
Wilton Re Ltd97263CAA9440000Canada
0.63%
Embarq Llc29078EAA31325000United States
0.63%
Fs Kkr Capital Corp302635AQ0435000United States
0.63%
Dpl Llc/Ohio233293AQ2440000United States
0.63%
Ses Americom Inc78413KAB8545000United States
0.63%
Service Properties Trust44106MAX0435000United States
0.62%
Hudson Pacific Properties Lp44409MAA4435000United States
0.61%
Buckeye Partners Lp118230AM3435000Australia
0.60%
Brandywine Operating Partnership Lp105340AR4385000United States
0.60%
Yum! Brands Inc988498AD3355000United States
0.58%
Service Properties Trust44106MAY8435000United States
0.57%
Whirlpool Corp963320AX4550000United States
0.57%
Rockies Express Pipeline Llc77340RAT4385000United States
0.56%
Hudson Pacific Properties Lp44409MAD8385000United States
0.56%
Whirlpool Corp963320AV8545000United States
0.56%
Huntsman International Llc44701QBF8435000United States
0.56%
Nissan Motor Acceptance Co Llc65480CAG0375000United States
0.55%
Hudson Pacific Properties Lp44409MAC0435000United States
0.54%
Advance Auto Parts Inc00751YAF3385000United States
0.54%
Lumen Technologies Inc156700AM8380000United States
0.54%
Huntsman International Llc44701QBG6385000United States
0.53%
Brandywine Operating Partnership Lp105340AP8385000United States
0.53%
Blackrock Tcp Capital Corp09259EAC2355000United States
0.52%
Macy's Retail Holdings Llc55616XAM9400000United States
0.52%
Vornado Realty Lp929043AL1385000United States
0.51%
Kohl's Corp500255AX2425000United States
0.51%
Fmc Corp302491AV7550000United States
0.51%
Xpo Cnw Inc12612WAB0325000United States
0.50%
Resorts World Las Vegas Llc / Rwlv CapiUSU76198AB36400000United States
0.50%
Advance Auto Parts Inc00751YAG1385000United States
0.50%
Nordstrom Inc655664AH3330000United States
0.49%
Murphy Oil Corp626717AG7375000United States
0.49%
Advance Auto Parts Inc00751YAJ5325000United States
0.49%
Oceaneering International Inc675232AB8325000United States
0.49%
Transalta Corp89346DAE7330000Canada
0.47%
Paramount Global124857AX1325000United States
0.47%
Paramount Global124857AZ6325000United States
0.47%
United States Steel Corp912909AD0300000United States
0.47%
Paramount Global124857AT0325000United States
0.46%
Methanex Corp59151KAJ7330000Canada
0.45%
Bath & Body Works Inc532716AK3310000United States
0.45%
Safeway Inc786514BA6285000United States
0.45%
Vf Corp918204AR9305000United States
0.45%
Vf Corp918204AT5315000United States
0.45%
Nissan Motor Acceptance Co Llc65480CAD7325000United States
0.45%
Whirlpool Corp963320BC9330000United States
0.44%
Whirlpool Corp963320BA3330000United States
0.44%
Whirlpool Corp963320AZ9330000United States
0.44%
Rockies Express Pipeline Llc77340RAD9275000United States
0.43%
Kohl's Corp500255AV6465000United States
0.43%
Buckeye Partners Lp118230AP6325000Australia
0.43%
Yum! Brands Inc988498AK7300000United States
0.41%
Paramount Global925524AV2300000United States
0.40%
Whirlpool Corp963320AY2330000United States
0.40%
Nissan Motor Acceptance Co Llc65480CAH8275000United States
0.40%
Prospect Capital Corp74348TAW2305000United States
0.39%
Warnermedia Holdings Inc55903VBC6325000United States
0.37%
Paramount Global124857AN3400000United States
0.37%
Crane Nxt Co224399AT2385000United States
0.37%
Paramount Global124857AK9375000United States
0.37%
Perrigo Finance Unlimited Co714295AA0330000Ireland
0.36%
Paramount Global124857AJ2350000United States
0.31%
Ses Sa78413HAB5275000Luxembourg
0.31%
Macy's Retail Holdings Llc55616XAG2275000United States
0.31%
Whirlpool Corp96332HCG2275000United States
0.28%
Macy's Retail Holdings Llc55616XAJ6275000United States
0.23%
Paramount Global92553PAW2225000United States
0.23%
Paramount Global124857AF0200000United States
0.18%
Xerox Corp984121CB7375000United States
0.12%
Xerox Corp984121CL5275000United States
0.10%
Other/Cash -- 0