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Market Vectors® Equity ETFs

Equity-1

Market Vectors® Equity ETFs

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Fund TICKER Commencement Date Volume Index Ticker Fact Sheet
BROAD-BASED U.S. ETFS
as of 06/18/2013
Wide Moat ETF MOAT 4/24/2012 88,816 MWMFTR
HARD ASSETS ETFS
Agribusiness ETF MOO 8/31/2007 285,173 MVMOOTR
Coal ETF KOL 1/10/2008 129,171 MVKOLTR
Global Alternative Energy ETF GEX 5/3/2007 53,454 AGIXLT
Gold Miners ETF GDX 5/16/2006 19,366,033 GDM
Junior Gold Miners ETF GDXJ 11/10/2009 3,890,076 MVGDXJTR
Oil Services ETF OIH 12/20/2011 2,729,019 MVOIHTR
Rare Earth/Strategic Metals ETF REMX 10/27/2010 26,151 MVREMXTR
RVE Hard Assets Producers ETF HAP 8/29/2008 62,178 RVEIT
Solar Energy ETF KWT 4/21/2008 1,101 MVKWTTR
Steel ETF SLX 10/10/2006 22,699 STEEL
Unconventional Oil & Gas ETF FRAK 2/14/2012 4,811 MVFRAKTR
Uranium+Nuclear Energy ETF NLR 8/13/2007 19,199 DXNE
INTERNATIONAL ETFS
Africa Index ETF AFK 7/10/2008 32,505 DJAFKT
Brazil Small-Cap ETF BRF 5/12/2009 518,513 MVBRFTR
China ETF PEK 10/13/2010 7,241 CSIR0300
Colombia ETF COLX 3/14/2011 1,580 MVCOLXTR
Egypt Index ETF EGPT 2/16/2010 90,863 MVEGPTTR
Germany Small-Cap ETF GERJ 4/4/2011 150 MVGERJTR
Gulf States Index ETF MES 7/22/2008 52,967 DJMEST
India Small-Cap Index ETF SCIF 8/24/2010 261,278 MVSCIFTR
Indonesia Index ETF IDX 1/15/2009 658,682 MVIDXTR
Indonesia Small-Cap ETF IDXJ 3/20/2012 29,561 MVIDXJTR
Latin America Small-Cap Index ETF LATM 4/6/2010 23,081 MVLATMTR
Poland ETF PLND 11/24/2009 14,043 MVPLNDTR
Russia ETF RSX 4/24/2007 3,611,645 MVRSXTR
Russia Small-Cap ETF RSXJ 4/13/2011 15,600 MVRSXJTR
Vietnam ETF VNM 8/11/2009 208,052 MVVNMTR
INDUSTRY ETFS
Bank and Brokerage ETF RKH 12/20/2011 160 MVRKHTR
Biotech ETF BBH 12/20/2011 50,877 MVBBHTR
Environmental Services ETF EVX 10/10/2006 200 AXENV
Gaming ETF BJK 1/22/2008 53,341 MVBJKTR
Pharmaceutical ETF PPH 12/20/2011 28,305 MVPPHTR
Retail ETF RTH 12/20/2011 22,554 MVRTHTR
Semiconductor ETF SMH 12/20/2011 1,895,686 MVSMHTR

Important Disclosure 

Fund shares are not individually redeemable and will be issued and redeemed at their NAV only through certain authorized broker-dealers in large, specified blocks of shares called "creation units" and otherwise can be bought and sold only through exchange trading.  Creation units are issued and redeemed principally in kind. Shares may trade at a premium or discount to their NAV in the secondary market.

The “Net Asset Value" (NAV) of a Market Vectors Exchange Traded Fund (ETF) is determined at the close of each business day, and represents the dollar value of one share of the fund; it is calculated by taking the total assets of the fund, subtracting total liabilities, and dividing by the total number of shares outstanding. The NAV is not necessarily the same as the ETF’s intraday trading value.  Market Vectors ETF investors should not expect to buy or sell shares at NAV. 

Investing involves substantial risk and high volatility, including possible loss of principal. Bonds and bond funds will decrease in value as interest rates rise. An investor should consider the investment objective, risks, charges and expenses of the Fund carefully before investing. To obtain a prospectus and summary prospectus, which contains this and other information, call 888.MKT.VCTR or visit vaneck.com/etf. Please read the prospectus and summary prospectus carefully before investing. 

Not FDIC Insured — No Bank Guarantee — May Lose Value 

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335 Madison Avenue, 19th Floor
New York, NY 10017
800.826.2333

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