Daily Price as of 25/05/23
BLOOMBERG | NAV | DAILY CHANGE |
---|---|---|
VAEMBR1 | $63.68 |
![]() |
VAEMEI2 | €69.33 |
![]() |
VAEMI1H | €45.65 |
![]() |
VAUEMMI | $65.73 |
![]() |
VAUMUI1 | $70.79 |
![]() |
VAUMUI2 | $70.03 |
![]() |
Details
DOMICILE | FUND STRUCTURE |
---|---|
Ireland | ICAV |
Fund Summary & Key Points
The Emerging Markets Bond UCITS (“Sub-Fund”) seeks total return, consisting of income and capital appreciation. The Sub-Fund’s benchmark is a blended index consisting of 50% J.P Morgan Emerging Markets Bond Index (EMBI) Global Diversified and 50% J.P. Morgan Government Bond Index-Emerging Markets Global Diversified (GBI-EM).
The Sub-Fund can invest in debt securities that are issued by governments, quasi-government entities or corporations in emerging markets countries. These securities may be denominated in any currency, including those of emerging markets. By investing in emerging markets debt securities, the Fund offers exposure to emerging markets fundamentals, generally characterized by lower debts and deficits, higher growth rates and independent central banks. Lead Portfolio Manager, Eric Fine, has over 25 years of experience in emerging markets.
Fund Details
as of 30/04/23
-
Net Assets (All Classes)$112.6M
-
Number of Issues58
-
LiquidityDaily
-
Countries RegisteredAT, CH, DE, DK, FI, IE, IT, LU, NL, NO, SE, SG, UK
-
Distribution PolicyIncome
-
Cut Off Time1:00 PM IST
-
Close of Financial Year31 December
-
Benchmark Index50% GBI-EM/50% EMBI
-
SFDR ClassificationArticle 8
Distribution Yield*
as of 31/03/23
USD R1 Inc | 5.38% |
USD I1 Inc | 5.89% |
USD I2 Inc | 5.99% |
USD M Inc | 5.43% |
EUR Hedged I1 Inc | 5.74% |
EUR Hedged I2 Inc | 5.88% |
*Distribution Yield is the dividend income distributions made by the fund over the previous quarter divided by the Net Asset Value of the fund, which is then annualized.
Performance History (%)
|
1 MO1 | 3 MO1 | YTD1 | 1 YR | 3 YR | 5 YR | 10 YR | LIFE |
---|---|---|---|---|---|---|---|---|
Emerging Markets Bond UCITS Fund | ||||||||
USD R1 Inc (Inception 12/06/14)
|
0.75 | -0.77 | 4.54 | 5.59 | 7.09 | 0.55 | -- | -0.34 |
USD I1 Inc (Inception 20/08/13)
|
0.79 | -0.64 | 4.71 | 6.12 | 7.85 | 1.37 | -- | 1.85 |
USD I2 Inc (Inception 20/08/13)
|
0.80 | -0.62 | 4.75 | 6.22 | 7.96 | 1.47 | -- | 1.97 |
USD M Inc (Inception 18/09/14)
|
0.75 | -0.75 | 4.56 | 5.64 | 7.49 | 1.08 | -- | 0.43 |
EUR Hedged I1 Inc (Inception 06/10/15)
|
0.60 | -1.25 | 3.81 | 2.93 | 5.92 | -1.00 | -- | 1.20 |
EUR Hedged I2 Inc (Inception 22/08/17)
|
0.61 | -1.23 | 3.84 | 3.16 | 6.07 | -0.91 | -- | -0.54 |
50% GBI-EM/50% EMBI - USD2
|
0.70 | 0.48 | 4.23 | 2.83 | -0.30 | -0.85 | -- | 1.22 |
|
1 MO1 | 3 MO1 | YTD1 | 1 YR | 3 YR | 5 YR | 10 YR | LIFE |
---|---|---|---|---|---|---|---|---|
Emerging Markets Bond UCITS Fund | ||||||||
USD R1 Inc (Inception 12/06/14)
|
1.62 | 3.77 | 3.77 | -0.14 | 8.10 | 0.01 | -- | -0.43 |
USD I1 Inc (Inception 20/08/13)
|
1.67 | 3.89 | 3.89 | 0.36 | 8.88 | 0.83 | -- | 1.78 |
USD I2 Inc (Inception 20/08/13)
|
1.68 | 3.92 | 3.92 | 0.46 | 9.00 | 0.92 | -- | 1.90 |
USD M Inc (Inception 18/09/14)
|
1.63 | 3.78 | 3.78 | -0.09 | 8.53 | 0.55 | -- | 0.35 |
EUR Hedged I1 Inc (Inception 06/10/15)
|
1.45 | 3.19 | 3.19 | -2.61 | 6.93 | -1.54 | -- | 1.13 |
EUR Hedged I2 Inc (Inception 22/08/17)
|
1.45 | 3.21 | 3.21 | -2.39 | 7.07 | -1.44 | -- | -0.65 |
50% GBI-EM/50% EMBI - USD2
|
2.54 | 3.51 | 3.51 | -3.81 | 0.48 | -1.43 | -- | 1.16 |
Share Class Details
SHARE CLASS | ISIN | CUSIP | BLOOMBERG | REUTERS | WKN | SEDOL | SIX TELEKURS |
---|---|---|---|---|---|---|---|
USD R1 Inc | IE00BYXQSJ74 | G7417D 221 | VAEMBR1 ID | 68211929 | A2DLGV | BYXQSJ7 | 36845145 |
USD I1 Inc | IE00BYXQSF37 | G7417D 197 | VAUMUI1 ID | 68211930 | A2DLGS | BYXQSF3 | 36845151 |
USD I2 Inc | IE00BYXQSG44 | G7417D 205 | VAUMUI2 ID | 68211931 | A2DLGT | BYXQSG4 | 36845156 |
USD M Inc | IE00BYXQSH50 | G7417D 213 | VAUEMMI ID | 68277572 | A2DLGU | BYXQSH5 | 36845158 |
EUR Hedged I1 Inc | IE00BYXQSD13 | G7417D 189 | VAEMI1H ID | 68211935 | A2DLGR | BYXQSD1 | 36845162 |
EUR Hedged I2 Inc | IE00BYX22V58 | G7417D 288 | VAEMEI2 ID | 68436883 | A2DVBF | BYX22V5 | 37654637 |
Management Company and Agents
Investment Manager (by delegation of the Management Company) | Van Eck Associates Corporation |
Management Company | VanEck Asset Management B.V. |
Central Administration (by delegation of the Management Company), Custodian and Depositary | State Street Ireland |
Distributor | VanEck Switzerland AG |
Auditor | KPMG Ireland |