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€133.721 Bio.
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Watchlist
Konto
VanEck US Fallen Angel High Yield Bond UCITS ETF A USD Acc
EM1A.DE
#2897
ETF Rang
€58.62 Mio.
Marktkapitalisierung
🇪🇺 EU
Markt
21,52 €
Aktienkurs
-0.47%
Veränderung (1 Tag)
4.47%
Veränderung (1 Jahr)
🏛️ Anleihen-ETFs
🏛️ Fallen-Angel-Anleihen-ETFs
🏛️ High-Yield-Anleihen-ETFs
Kategorien
Marktkapitalisierung
Preisverlauf
Ausstehende Aktien
Gebühren (Kostenquote)
Bestände (Holdings)
Mehr
Gebühren (Kostenquote)
VanEck US Fallen Angel High Yield Bond UCITS ETF A USD Acc - Bestände
ETF-Bestände zum Stand
4. September 2026
Anzahl der Bestände:
130
Vollständige Bestandsliste
Gewichtung %
Name
Ticker
Gehaltene Aktien
Land
3.39%
Vodafone Group Plc
92857WBQ2
2205000
United Kingdom
3.38%
Nissan Motor Co Ltd
654744AC5
2300000
Japan
3.30%
Nissan Motor Co Ltd
654744AD3
2375000
Japan
2.58%
Entegris Inc
29365BAA1
1765000
United States
1.76%
Celanese Us Holdings Llc
15089QAY0
1105000
United States
1.75%
Dresdner Funding Trust I
26156FAA1
1105000
Germany
1.74%
Celanese Us Holdings Llc
15089QAX2
1105000
United States
1.70%
Celanese Us Holdings Llc
15089QAP9
1105000
United States
1.51%
Resorts World Las Vegas Llc / Rwlv Capi
USU76198AA52
1115000
United States
1.44%
Coty Inc/Hfc Prestige Products Inc/Hfc
22207AAC6
1000000
United States
1.42%
Pacificorp
695114DF2
940000
United States
1.27%
Celanese Us Holdings Llc
15089QAN4
830000
United States
1.24%
Celanese Us Holdings Llc
15089QAW4
800000
United States
1.18%
Perrigo Finance Unlimited Co
71429MAC9
830000
Ireland
1.18%
Huntsman International Llc
44701QBE1
830000
United States
1.16%
Fs Kkr Capital Corp
302635AK3
830000
United States
1.16%
Paramount Global
92556HAB3
850000
United States
1.14%
Methanex Corp
59151KAL2
775000
Canada
1.12%
Nordstrom Inc
655664AR1
1065000
United States
1.11%
Fs Kkr Capital Corp
302635AP2
775000
United States
1.11%
Vf Corp
918204BC1
830000
United States
1.07%
Whirlpool Corp
963320AW6
775000
United States
1.07%
Electronic Arts Inc
285512AE9
775000
United States
1.04%
Paramount Global
925524AX8
750000
United States
1.03%
Electronic Arts Inc
285512AF6
825000
United States
1.02%
Newell Brands Inc
651229AY2
735000
United States
1.02%
Nissan Motor Acceptance Co Llc
65480CAF2
665000
United States
0.98%
Fs Kkr Capital Corp
302635AN7
665000
United States
0.96%
Transocean International Ltd
893830AT6
675000
United States
0.95%
Paramount Global
92553PAP7
1000000
United States
0.93%
Paramount Global
92553PAU6
875000
United States
0.93%
Telecom Italia Capital Sa
87927VAV0
550000
Italy
0.92%
Bombardier Inc
097751AL5
565000
Canada
0.90%
Paramount Global
92556HAD9
700000
United States
0.89%
Paramount Global
925524AH3
575000
United States
0.88%
Telecom Italia Capital Sa
87927VAR9
550000
Italy
0.88%
Rockies Express Pipeline Llc
77340RAR8
605000
United States
0.85%
Telecom Italia Capital Sa
87927VAF5
550000
Italy
0.84%
Telecom Italia Capital Sa
87927VAM0
550000
Italy
0.83%
Navient Corp
78442FAZ1
655000
United States
0.82%
Aptiv Swiss Holdings Ltd
03837AAD2
550000
Ireland
0.82%
Rockies Express Pipeline Llc
77340RAM9
550000
United States
0.81%
Fluor Corp
343412AF9
555000
United States
0.80%
Nissan Motor Acceptance Co Llc
654740BT5
570000
United States
0.79%
Diversified Healthcare Trust
81721MAM1
555000
United States
0.77%
Nordstrom Inc
655664AT7
550000
United States
0.77%
Hudson Pacific Properties Lp
44409MAB2
550000
United States
0.77%
Advance Auto Parts Inc
00751YAE6
550000
United States
0.76%
Fmc Corp
302491AX3
550000
United States
0.76%
Fmc Corp
302491AU9
550000
United States
0.72%
Brandywine Operating Partnership Lp
105340AQ6
500000
United States
0.71%
Sealed Air Corp
81211KAK6
495000
United States
0.70%
Newell Brands Inc
651229AX4
465000
United States
0.67%
Transocean International Ltd
893830AF6
435000
United States
0.67%
Fs Kkr Capital Corp
302635AM9
440000
United States
0.66%
Fmc Corp
302491AY1
550000
United States
0.66%
Service Properties Trust
44106MBB7
470000
United States
0.65%
Dpl Llc/Ohio
233293AQ2
450000
United States
0.64%
Buckeye Partners Lp
118230AR2
440000
Australia
0.64%
Hudson Pacific Properties Lp
44409MAA4
440000
United States
0.64%
Paramount Global
92556HAC1
685000
United States
0.63%
Fs Kkr Capital Corp
302635AQ0
445000
United States
0.63%
Nordstrom Inc
655664AY6
470000
United States
0.63%
Tenet Healthcare Corp
88033GAV2
400000
United States
0.63%
Service Properties Trust
44106MAX0
440000
United States
0.62%
Wilton Re Ltd
97263CAA9
440000
Canada
0.61%
Ses Americom Inc
78413KAB8
560000
United States
0.59%
Service Properties Trust
44106MAY8
440000
United States
0.58%
Buckeye Partners Lp
118230AM3
440000
Australia
0.57%
Yum! Brands Inc
988498AD3
360000
United States
0.57%
Hudson Pacific Properties Lp
44409MAC0
440000
United States
0.56%
Huntsman International Llc
44701QBF8
440000
United States
0.56%
Nissan Motor Acceptance Co Llc
65480CAG0
375000
United States
0.56%
Hudson Pacific Properties Lp
44409MAD8
385000
United States
0.55%
Rockies Express Pipeline Llc
77340RAT4
385000
United States
0.55%
Fmc Corp
302491AV7
550000
United States
0.55%
Advance Auto Parts Inc
00751YAF3
385000
United States
0.54%
Brandywine Operating Partnership Lp
105340AP8
385000
United States
0.54%
Lumen Technologies Inc
156700AM8
385000
United States
0.54%
Huntsman International Llc
44701QBG6
385000
United States
0.53%
Blackrock Tcp Capital Corp
09259EAC2
360000
United States
0.53%
Macy's Retail Holdings Llc
55616XAM9
405000
United States
0.52%
Vornado Realty Lp
929043AL1
385000
United States
0.51%
Xpo Cnw Inc
12612WAB0
330000
United States
0.51%
Nordstrom Inc
655664AH3
330000
United States
0.50%
Resorts World Las Vegas Llc / Rwlv Capi
USU76198AB36
395000
United States
0.50%
Advance Auto Parts Inc
00751YAG1
385000
United States
0.49%
Murphy Oil Corp
626717AG7
375000
United States
0.49%
Paramount Global
124857AZ6
345000
United States
0.49%
Paramount Global
124857AX1
340000
United States
0.48%
Paramount Global
124857AT0
340000
United States
0.48%
Kohl's Corp
500255AV6
475000
United States
0.48%
Kohl's Corp
500255AX2
355000
United States
0.48%
Transalta Corp
89346DAE7
330000
Canada
0.47%
United States Steel Corp
912909AD0
300000
United States
0.46%
Bath & Body Works Inc
532716AK3
315000
United States
0.46%
Whirlpool Corp
963320AX4
550000
United States
0.45%
Advance Auto Parts Inc
00751YAJ5
300000
United States
0.45%
Whirlpool Corp
963320AV8
550000
United States
0.45%
Nissan Motor Acceptance Co Llc
65480CAD7
325000
United States
0.44%
Safeway Inc
786514BA6
290000
United States
0.44%
Vf Corp
918204AR9
305000
United States
0.44%
Methanex Corp
59151KAJ7
330000
Canada
0.43%
Vf Corp
918204AT5
315000
United States
0.43%
Brandywine Operating Partnership Lp
105340AR4
275000
United States
0.43%
Rockies Express Pipeline Llc
77340RAD9
275000
United States
0.42%
Buckeye Partners Lp
118230AP6
330000
Australia
0.42%
Yum! Brands Inc
988498AK7
305000
United States
0.42%
Discovery Global Holdings Inc
55903VBC6
335000
United States
0.40%
Nissan Motor Acceptance Co Llc
65480CAH8
275000
United States
0.39%
Paramount Global
925524AV2
295000
United States
0.38%
Whirlpool Corp
963320AZ9
330000
United States
0.38%
Whirlpool Corp
963320BA3
330000
United States
0.38%
Perrigo Finance Unlimited Co
714295AA0
335000
Ireland
0.38%
Paramount Global
124857AN3
410000
United States
0.37%
Whirlpool Corp
963320BC9
330000
United States
0.36%
Whirlpool Corp
963320AY2
330000
United States
0.36%
Crane Nxt Co
224399AT2
390000
United States
0.35%
Embarq Llc
29078EAA3
1370000
United States
0.35%
Paramount Global
124857AK9
380000
United States
0.34%
Paramount Global
124857AJ2
345000
United States
0.33%
Macy's Retail Holdings Llc
55616XAG2
275000
United States
0.31%
Ses Sa
78413HAB5
280000
Luxembourg
0.29%
Macy's Retail Holdings Llc
55616XAJ6
275000
United States
0.24%
Whirlpool Corp
96332HCG2
275000
United States
0.24%
Paramount Global
92553PAW2
240000
United States
0.23%
Paramount Global
124857AF0
205000
United States
0.20%
Xerox Corp
984121CB7
390000
United States
0.14%
Xerox Corp
984121CL5
280000
United States
0.11%
Other/Cash
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