ANGL Holdings — VanEck Fallen Angel High Yield Bond ETF

All 133 reported holdings of VanEck Fallen Angel High Yield Bond ETF (ANGL) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
State Street Global Advisors8.65%$265.31M
Nissan Motor Co.3.43%$105.25M
Vodafone Group PLC3.28%$100.57M
Nissan Motor Co.3.25%$99.51M
Entegris, Inc.2.50%$76.56M
Dresdner Fndg Trust I1.70%$52.14M
Celanese US Holdings LLC1.70%$52.11M
Celanese US Holdings LLC1.69%$51.74M
Celanese US Holdings LLC1.67%$51.09M
Resorts World/rwlv Cap1.41%$43.16M
Pacificorp1.36%$41.59M
Celanese US Holdings LLC1.24%$37.94M
Celanese US Holdings LLC1.23%$37.63M
Paramount Global1.20%$36.87M
Huntsman International L1.13%$34.64M
Perrigo Finance Unlimite1.12%$34.31M
Fs Kkr Capital Corp.1.10%$33.88M
Methanex Corp.1.09%$33.56M
Vf Corp.1.07%$32.83M
Fs Kkr Capital Corp.1.07%$32.70M
Whirlpool Corp.1.06%$32.61M
Nordstrom, Inc.1.06%$32.58M
Paramount Global1.03%$31.44M
Nissan Motor Acceptance1.00%$30.60M
Paramount Global0.94%$28.86M
Fs Kkr Capital Corp.0.94%$28.85M
Paramount Global0.94%$28.71M
Transocean Interntnl Ltd.0.93%$28.54M
Newell Brands, Inc.0.91%$27.75M
Paramount Global0.90%$27.52M
Celanese US Holdings LLC0.89%$27.43M
Paramount Global0.89%$27.34M
Telecom Italia Capital0.89%$27.31M
Bombardier, Inc.0.88%$27.12M
Telecom Italia Capital0.86%$26.33M
Rockies Express Pipeline0.85%$26.15M
Telecom Italia Capital0.82%$25.29M
Telecom Italia Capital0.81%$24.81M
Aptiv Swiss Holdings Ltd.0.81%$24.75M
Navient Corp.0.80%$24.43M
Rockies Express Pipeline0.79%$24.35M
Nissan Motor Acceptance0.79%$24.25M
Fluor Corp.0.79%$24.17M
Diversified Healthcare T0.77%$23.48M
Fs Kkr Capital Corp.0.76%$23.42M
Vf Corp.0.75%$22.96M
Nordstrom, Inc.0.75%$22.92M
Advance Auto Parts0.74%$22.62M
Fmc Corp.0.71%$21.82M
Hudson Pacific Propertie0.70%$21.59M
Fmc Corp.0.70%$21.32M
Sealed Air Corp.0.69%$21.24M
Brandywine Oper Partners0.69%$21.19M
Fs Kkr Capital Corp.0.65%$19.84M
Paramount Global0.64%$19.66M
Transocean Interntnl Ltd.0.64%$19.66M
Newell Brands, Inc.0.63%$19.30M
Service Properties Trust0.63%$19.28M
Buckeye Partners LP0.62%$18.98M
Ses Americom, Inc.0.62%$18.87M
Nordstrom, Inc.0.62%$18.86M
Wilton Re Ltd.0.61%$18.79M
Dpl Inc/ohio0.61%$18.76M
Travel + Leisure Co.0.61%$18.73M
Service Properties Trust0.61%$18.70M
Hudson Pacific Propertie0.61%$18.69M
Fs Kkr Capital Corp.0.61%$18.65M
Tenet Healthcare Corp.0.61%$18.60M
Fmc Corp.0.59%$18.20M
Buckeye Partners LP0.58%$17.69M
Brandywine Oper Partners0.57%$17.56M
Service Properties Trust0.57%$17.39M
Yum! Brands, Inc.0.57%$17.36M
Nissan Motor Acceptance0.55%$17.00M
Kohl's Corporation0.54%$16.54M
Huntsman International L0.54%$16.49M
Hudson Pacific Propertie0.54%$16.46M
Hudson Pacific Propertie0.54%$16.46M
Rockies Express Pipeline0.54%$16.45M
Lumen Technologies, Inc.0.53%$16.26M
Whirlpool Corp.0.53%$16.24M
Embarq LLC0.53%$16.19M
Whirlpool Corp.0.53%$16.18M
Advance Auto Parts0.53%$16.12M
Huntsman International L0.52%$15.85M
Brandywine Oper Partners0.51%$15.71M
Blackrock Tcp Cap Corp.0.51%$15.53M
Macy's Retail Hldgs LLC0.50%$15.44M
Vornado Realty LP0.50%$15.39M
Xpo Cnw, Inc.0.50%$15.22M
Paramount Global0.50%$15.19M
Fmc Corp.0.49%$15.09M
Paramount Global0.49%$15.08M
Paramount Global0.49%$14.96M
Advance Auto Parts0.48%$14.84M
Nordstrom, Inc.0.48%$14.83M
Advance Auto Parts0.48%$14.73M
Oceaneering Intl, Inc.0.47%$14.56M
Transalta Corp.0.47%$14.54M
Resorts World/rwlv Cap0.47%$14.31M
Murphy Oil Corp.0.46%$14.22M
Nissan Motor Acceptance0.45%$13.85M
United States Steel Corp.0.45%$13.74M
Vf Corp.0.44%$13.39M
Bath & Body Works, Inc.0.44%$13.35M
Vf Corp.0.43%$13.33M
Safeway, Inc.0.43%$13.32M
Methanex Corp.0.43%$13.26M
Whirlpool Corp.0.43%$13.11M
Whirlpool Corp.0.43%$13.07M
Buckeye Partners LP0.42%$12.94M
Rockies Express Pipeline0.42%$12.80M
Yum! Brands, Inc.0.42%$12.73M
Whirlpool Corp.0.41%$12.72M
Kohl's Corporation0.41%$12.55M
Nissan Motor Acceptance0.41%$12.54M
Paramount Global0.40%$12.22M
Prospect Capital Corp.0.39%$12.07M
Paramount Global0.38%$11.74M
Whirlpool Corp.0.38%$11.72M
Discovery Holdings, Inc.0.38%$11.53M
Paramount Global0.37%$11.31M
Crane Nxt Co.0.36%$11.08M
Perrigo Finance Unlimitd0.35%$10.74M
Paramount Global0.34%$10.54M
Ses SA0.31%$9.41M
Macy's Retail Hldgs LLC0.30%$9.12M
Whirlpool Corp.0.30%$9.08M
Macy's Retail Hldgs LLC0.26%$8.10M
Paramount Global0.24%$7.34M
Paramount Global0.24%$7.31M
Xerox Corporation0.16%$4.95M
Xerox Corporation0.11%$3.50M

ANGL overview: performance, fees, allocation and SEC filings