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Think Yield with Income Investing

Below is the latest data and yields for VanEck’s income investing solutions.

Income Investing Insights

To help investors stay informed in an ever-changing interest rate environment, we offer monthly commentary on income investing, covering the latest news, trends and investment opportunities.

Income Investing Insights

VanEck Income ETFs

Ticker Fund Name 30 Day SEC Yield (%)4 Duration (Yrs) Gross Expense Net Expense
Ticker Fund Name 30 Day SEC Yield (%)4 Duration (Yrs) Gross Expense Net Expense
Corporate Bond
ANGL
Fallen Angel High Yield Bond ETF
6.51 5.75 2 0.35 0.35
MBBB
Moody’s Analytics BBB Corporate Bond ETF
4.91 6.41 2 0.25 0.25
MIG
Moody’s Analytics IG Corporate Bond ETF
4.70 6.38 2 0.20 0.20
Equity Income
EINC
Energy Income ETF
4.34 -- 0.46 0.46
DURA
Morningstar Durable Dividend ETF
3.09 -- 0.29 0.29
MORT
Mortgage REIT Income ETF
10.46 -- 0.41 0.41
PFXF
Preferred Securities ex Financials ETF
5.82 -- 0.40 0.40
Floating Rate
BIZD
BDC Income ETF
9.26 -- 10.07 10.07
CLOI
VanEck CLO ETF
3.36 -- 0.40 0.40
FLTR
Investment Grade Floating Rate ETF
2.55 -0.06 2 0.14 0.14
International Bond
CBON
China Bond ETF
2.28 4.35 3 0.68 0.50
HYEM
Emerging Markets High Yield Bond ETF
9.48 3.72 2 0.40 0.40
GRNB
Green Bond ETF
4.18 5.20 2 0.20 0.20
IHY
International High Yield Bond ETF
7.47 3.64 2 0.40 0.40
EMLC
J.P. Morgan EM Local Currency Bond ETF
7.30 4.72 2 0.31 0.30
Municipal Bond
XMPT
CEF Muni Income ETF
4.93 6.95 1 2.32 2.32
HYD
High Yield Muni ETF
4.03 7.26 1 0.35 0.35
SMI
HIP Sustainable Muni ETF
2.50 4.75 1 0.24 0.24
ITM
Intermediate Muni ETF
2.64 5.76 1 0.24 0.24
MLN
Long Muni ETF
3.44 8.47 1 0.24 0.24
MAAX
Muni Allocation ETF
2.64 6.91 1 0.36 0.36
SHYD
Short High Yield Muni ETF
3.37 4.04 1 0.35 0.35
SMB
Short Muni ETF
1.84 2.56 1 0.20 0.20
Ticker
Corporate Bond
ANGL
MBBB
MIG
Equity Income
EINC
DURA
MORT
PFXF
Floating Rate
BIZD
CLOI
FLTR
International Bond
CBON
HYEM
GRNB
IHY
EMLC
Municipal Bond
XMPT
HYD
SMI
ITM
MLN
MAAX
SHYD
SMB
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Morningstar ETF Category Flows

Estimated Net Flow ($M)
Morningstar Category Name 1-MO QTD YTD 1-Yr
Morningstar Category Name 1-MO QTD YTD 1-Yr
Long Government 7,965 7,965 22,811 32,775
Intermediate Government 6,968 6,968 15,921 19,954
High Yield Bond 4,963 4,963 -11,591 -5,870
Short-Term Bond 1,834 1,834 1,154 5,550
Short Government 1,182 1,182 7,283 9,328
Emerging Markets Bond 524 524 -1,729 -1,267
High Yield Muni 388 388 246 371
Muni National Interm 370 370 10,952 14,941
Long-Term Bond 283 283 -1,338 -761
Muni National Long 128 128 -386 399
Muni National Short 51 51 3,332 5,557
Bank Loan -254 -254 -1,103 1,909
Ultrashort Bond -3,199 -3,199 30,377 34,827
Morningstar Category Name
Long Government
Intermediate Government
High Yield Bond
Short-Term Bond
Short Government
Emerging Markets Bond
High Yield Muni
Muni National Interm
Long-Term Bond
Muni National Long
Muni National Short
Bank Loan
Ultrashort Bond
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Source: Morningstar (as of 07/31/22). Not representative of fund or fund indices. 

Investment Category Yields

Yield to Worst (%)
Category 07/31/22 06/30/22 07/31/21
Category 07/31/22 06/30/22 07/31/21
EM USD High Yield Aggregate 11.20 11.58 6.53
EM USD Sovereigns 8.20 8.57 4.88
Global High Yield Corporates 7.98 9.07 4.18
U.S. High Yield Corporates 7.67 8.94 3.92
EM Local Currency Sovereigns 6.84 7.06 4.92
EM USD High Yield + IG Corps 6.50 6.74 3.51
High Yield Municipals 5.02 5.30 2.91
Preferred Securities 4.51 5.64 1.10
U.S. Corporates 4.33 4.70 1.93
U.S. Aggregate 3.42 3.72 1.36
TIPS 3.04 3.38 0.93
Municipals 2.79 3.21 0.87
10 Year Treasuries 2.64 2.98 1.23
Global Aggregate 2.60 2.91 0.99
Category
EM USD High Yield Aggregate
EM USD Sovereigns
Global High Yield Corporates
U.S. High Yield Corporates
EM Local Currency Sovereigns
EM USD High Yield + IG Corps
High Yield Municipals
Preferred Securities
U.S. Corporates
U.S. Aggregate
TIPS
Municipals
10 Year Treasuries
Global Aggregate
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FactSet (as of dates indicated). See end for Index Names. Not representative of fund or fund indices. Please see standard performance for these categories below. Past performance is no guarantee of future results.

U.S. Yield Curves

Treasury Yield Curve

Muncipal AAA Yield Curve

Source: Bloomberg (as of 07/31/22).

Global 10-Year Sovereign Yields (%)

Source: FactSet and Bloomberg (as of 07/31/22). Based on local currency prices. Past performance is no guarantee of future results.

Investment Category Total Returns (%)

Month-End 07/31/22 Quarter-End 06/30/22
Investment Category 1 MO* YTD* 1 YR 3 YR 5 YR
Month-End 07/31/22 Quarter-End 06/30/22
Investment Category 1 MO* YTD* 1 YR 3 YR 5 YR
U.S. Aggregate
2.44 -8.16 -10.25 -0.93 0.87
U.S. High Yield Corporates
6.02 -8.87 -12.61 -0.04 1.95
Global High Yield Corporates
4.45 -13.04 -17.57 -1.80 0.77
EM USD High Yield Aggregate
1.75 -16.59 -21.16 -5.68 -1.89
EM USD High Yield + IG Corps
1.72 -14.09 -16.08 -1.82 0.80
EM Local Currency Sovereigns
0.29 -14.28 -19.21 -5.77 -2.30
EM USD Sovereigns
2.89 -18.01 -21.14 -5.20 -1.19
U.S. Corporates
3.24 -11.61 -14.14 -0.98 1.28
U.S. REITs
2.56 -10.69 -12.82 -0.68 1.59
Global Aggregate
2.13 -12.08 -15.19 -3.20 -0.55
TIPS
4.35 -4.96 -5.12 3.03 3.20
Municipals
2.64 -6.58 -8.54 -0.17 1.51
High Yield Municipals
3.73 -8.48 -10.37 1.14 3.62
10 Year Treasuries
3.07 -8.63 -10.91 -1.44 0.55
Preferred Securities
6.26 -9.64 -14.80 -1.10 1.06
U.S. Dividend Stocks
3.98 1.31 4.16 9.98 9.12
Investment Category Investment Category
U.S. Aggregate
U.S. High Yield Corporates
Global High Yield Corporates
EM USD High Yield Aggregate
EM USD High Yield + IG Corps
EM Local Currency Sovereigns
EM USD Sovereigns
U.S. Corporates
U.S. REITs
Global Aggregate
TIPS
Municipals
High Yield Municipals
10 Year Treasuries
Preferred Securities
U.S. Dividend Stocks
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VanEck Income ETF Total Returns (%)

Month-End 07/31/2022 Quarter-End 06/30/2022
Ticker Fund Name 1 MO* YTD* 1 YR 3 YR 5 YR LIFE Commenced
Corporate Bond
ANGL
Fallen Angel High Yield Bond ETF
5.28 -12.46 -14.80 1.97 3.13 6.37 04/10/2012
MBBB
Moody’s Analytics BBB Corporate Bond ETF
2.95 -12.29 -14.97 -- -- -8.67 12/01/2020
MIG
Moody’s Analytics IG Corporate Bond ETF
2.83 -11.39 -13.90 -- -- -8.35 12/01/2020
Equity Income
EINC
Energy Income ETF
10.36 21.58 9.10 5.67 3.24 -6.94 03/12/2012
DURA
Morningstar Durable Dividend ETF
3.18 -2.35 0.52 6.04 -- 8.15 10/30/2018
MORT
Mortgage REIT Income ETF
14.34 -8.55 -23.06 -7.51 -2.91 4.14 08/16/2011
PFXF
Preferred Securities ex Financials ETF
6.82 -9.71 -10.42 2.43 3.43 4.68 07/16/2012
Floating Rate
BIZD
BDC Income ETF
8.12 -3.38 -4.57 6.87 5.93 5.79 02/11/2013
FLTR
Investment Grade Floating Rate ETF
0.28 -1.44 -1.76 0.75 1.53 1.30 04/25/2011
CLOI
VanEck CLO ETF
0.64 -- -- -- -- 0.08 06/21/2022
International Bond
CBON
China Bond ETF
-0.09 -3.92 -0.04 4.53 4.08 2.30 11/10/2014
HYEM
Emerging Markets High Yield Bond ETF
0.56 -16.96 -20.29 -3.58 -0.58 2.73 05/08/2012
GRNB
Green Bond ETF
2.07 -8.97 -11.90 -2.08 -0.20 0.85 03/03/2017
IHY
International High Yield Bond ETF
2.75 -16.38 -21.90 -3.86 -0.75 2.50 04/02/2012
EMLC
J.P. Morgan EM Local Currency Bond ETF
-0.13 -12.84 -18.32 -6.25 -3.11 -0.81 07/22/2010
Municipal Bond
XMPT
CEF Muni Income ETF
6.12 -15.92 -20.34 -1.23 1.11 4.18 07/12/2011
HYD
High Yield Muni ETF
3.32 -10.15 -12.83 -2.04 1.04 5.41 02/04/2009
SMI
HIP Sustainable Muni ETF
2.35 -6.63 -- -- -- -8.57 09/08/2021
ITM
Intermediate Muni ETF
3.17 -7.90 -10.58 -1.03 1.10 3.29 12/04/2007
MLN
Long Muni ETF
4.04 -13.19 -16.05 -2.30 0.64 2.87 01/02/2008
MAAX
Muni Allocation ETF
3.25 -9.83 -12.84 -2.81 -- -2.38 05/15/2019
SHYD
Short High Yield Muni ETF
2.20 -6.72 -8.50 -0.49 1.50 1.83 01/13/2014
SMB
Short Muni ETF
1.27 -3.09 -4.42 0.02 0.82 1.82 02/22/2008
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Month-End 07/31/2022 Quarter-End 06/30/2022
Ticker Fund Name 1 MO* YTD* 1 YR 3 YR 5 YR LIFE Commenced
Corporate Bond
ANGL
Fallen Angel High Yield Bond ETF
5.33 -12.18 -14.62 1.93 3.17 6.41 04/10/2012
MBBB
Moody’s Analytics BBB Corporate Bond ETF
3.24 -12.03 -15.00 -- -- -8.58 12/01/2020
MIG
Moody’s Analytics IG Corporate Bond ETF
3.16 -11.09 -13.88 -- -- -8.23 12/01/2020
Equity Income
EINC
Energy Income ETF
10.61 21.47 8.98 5.60 3.20 -6.97 03/12/2012
DURA
Morningstar Durable Dividend ETF
3.11 -2.36 0.53 6.07 -- 8.19 10/30/2018
MORT
Mortgage REIT Income ETF
14.30 -8.72 -23.19 -7.47 -2.85 4.13 08/16/2011
PFXF
Preferred Securities ex Financials ETF
6.39 -9.99 -10.35 2.40 3.42 4.70 07/16/2012
Floating Rate
BIZD
BDC Income ETF
8.29 -3.10 -4.73 6.84 5.88 5.79 02/11/2013
FLTR
Investment Grade Floating Rate ETF
0.42 -1.60 -2.13 0.68 1.41 1.27 04/25/2011
CLOI
VanEck CLO ETF
0.22 -- -- -- -- 0.44 06/21/2022
International Bond
CBON
China Bond ETF
-0.22 -4.21 0.25 4.48 4.28 2.29 11/10/2014
HYEM
Emerging Markets High Yield Bond ETF
0.62 -18.14 -21.30 -4.05 -0.68 2.66 05/08/2012
GRNB
Green Bond ETF
2.39 -8.98 -12.29 -2.14 -0.30 0.83 03/03/2017
IHY
International High Yield Bond ETF
3.42 -16.28 -22.26 -3.92 -0.77 2.49 04/02/2012
EMLC
J.P. Morgan EM Local Currency Bond ETF
-0.07 -12.69 -18.02 -6.17 -3.07 -0.79 07/22/2010
Municipal Bond
XMPT
CEF Muni Income ETF
5.79 -16.23 -20.42 -1.22 1.16 4.21 07/12/2011
HYD
High Yield Muni ETF
2.74 -10.08 -12.39 -1.81 1.26 5.47 02/04/2009
SMI
HIP Sustainable Muni ETF
2.26 -6.66 -- -- -- -8.43 09/08/2021
ITM
Intermediate Muni ETF
2.81 -7.76 -10.38 -0.86 1.19 3.31 12/04/2007
MLN
Long Muni ETF
4.93 -13.54 -17.33 -2.72 0.43 2.78 01/02/2008
MAAX
Muni Allocation ETF
3.28 -9.89 -13.02 -2.80 -- -2.39 05/15/2019
SHYD
Short High Yield Muni ETF
3.08 -7.00 -9.62 -0.75 1.43 1.75 01/13/2014
SMB
Short Muni ETF
0.53 -3.57 -4.20 0.23 0.98 1.86 02/22/2008
← Scroll for more information →
Month-End 07/31/2022 Quarter-End 06/30/2022
Ticker Fund Name 1 MO* YTD* 1 YR 3 YR 5 YR LIFE Commenced
Corporate Bond
ANGL Fallen Angel High Yield Bond ETF NAV 5.28 -12.46 -14.80 1.97 3.13 6.37 04/10/2012
Price 5.33 -12.18 -14.62 1.93 3.17 6.41
MBBB Moody’s Analytics BBB Corporate Bond ETF NAV 2.95 -12.29 -14.97 -- -- -8.67 12/01/2020
Price 3.24 -12.03 -15.00 -- -- -8.58
MIG Moody’s Analytics IG Corporate Bond ETF NAV 2.83 -11.39 -13.90 -- -- -8.35 12/01/2020
Price 3.16 -11.09 -13.88 -- -- -8.23
Equity Income
EINC Energy Income ETF NAV 10.36 21.58 9.10 5.67 3.24 -6.94 03/12/2012
Price 10.61 21.47 8.98 5.60 3.20 -6.97
DURA Morningstar Durable Dividend ETF NAV 3.18 -2.35 0.52 6.04 -- 8.15 10/30/2018
Price 3.11 -2.36 0.53 6.07 -- 8.19
MORT Mortgage REIT Income ETF NAV 14.34 -8.55 -23.06 -7.51 -2.91 4.14 08/16/2011
Price 14.30 -8.72 -23.19 -7.47 -2.85 4.13
PFXF Preferred Securities ex Financials ETF NAV 6.82 -9.71 -10.42 2.43 3.43 4.68 07/16/2012
Price 6.39 -9.99 -10.35 2.40 3.42 4.70
Floating Rate
BIZD BDC Income ETF NAV 8.12 -3.38 -4.57 6.87 5.93 5.79 02/11/2013
Price 8.29 -3.10 -4.73 6.84 5.88 5.79
FLTR Investment Grade Floating Rate ETF NAV 0.28 -1.44 -1.76 0.75 1.53 1.30 04/25/2011
Price 0.42 -1.60 -2.13 0.68 1.41 1.27
CLOI VanEck CLO ETF NAV 0.64 -- -- -- -- 0.08 06/21/2022
Price 0.22 -- -- -- -- 0.44
International Bond
CBON China Bond ETF NAV -0.09 -3.92 -0.04 4.53 4.08 2.30 11/10/2014
Price -0.22 -4.21 0.25 4.48 4.28 2.29
HYEM Emerging Markets High Yield Bond ETF NAV 0.56 -16.96 -20.29 -3.58 -0.58 2.73 05/08/2012
Price 0.62 -18.14 -21.30 -4.05 -0.68 2.66
GRNB Green Bond ETF NAV 2.07 -8.97 -11.90 -2.08 -0.20 0.85 03/03/2017
Price 2.39 -8.98 -12.29 -2.14 -0.30 0.83
IHY International High Yield Bond ETF NAV 2.75 -16.38 -21.90 -3.86 -0.75 2.50 04/02/2012
Price 3.42 -16.28 -22.26 -3.92 -0.77 2.49
EMLC J.P. Morgan EM Local Currency Bond ETF NAV -0.13 -12.84 -18.32 -6.25 -3.11 -0.81 07/22/2010
Price -0.07 -12.69 -18.02 -6.17 -3.07 -0.79
Municipal Bond
XMPT CEF Muni Income ETF NAV 6.12 -15.92 -20.34 -1.23 1.11 4.18 07/12/2011
Price 5.79 -16.23 -20.42 -1.22 1.16 4.21
HYD High Yield Muni ETF NAV 3.32 -10.15 -12.83 -2.04 1.04 5.41 02/04/2009
Price 2.74 -10.08 -12.39 -1.81 1.26 5.47
SMI HIP Sustainable Muni ETF NAV 2.35 -6.63 -- -- -- -8.57 09/08/2021
Price 2.26 -6.66 -- -- -- -8.43
ITM Intermediate Muni ETF NAV 3.17 -7.90 -10.58 -1.03 1.10 3.29 12/04/2007
Price 2.81 -7.76 -10.38 -0.86 1.19 3.31
MLN Long Muni ETF NAV 4.04 -13.19 -16.05 -2.30 0.64 2.87 01/02/2008
Price 4.93 -13.54 -17.33 -2.72 0.43 2.78
MAAX Muni Allocation ETF NAV 3.25 -9.83 -12.84 -2.81 -- -2.38 05/15/2019
Price 3.28 -9.89 -13.02 -2.80 -- -2.39
SHYD Short High Yield Muni ETF NAV 2.20 -6.72 -8.50 -0.49 1.50 1.83 01/13/2014
Price 3.08 -7.00 -9.62 -0.75 1.43 1.75
SMB Short Muni ETF NAV 1.27 -3.09 -4.42 0.02 0.82 1.82 02/22/2008
Price 0.53 -3.57 -4.20 0.23 0.98 1.86

VanEck Monthly ETF Yield Monitor