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Average Annual Total Returns* (%) Month End as of 02/29/2024
  1 MO 3 MO YTD 1 YR 3 YR 5 YR 10 YR
Class A: NAV (Inception 07/09/12) 0.07 2.88 -0.96 7.63 -0.60 2.86 1.57
Class A: Maximum 5.75% load -5.69 -3.03 -6.66 1.44 -2.54 1.65 0.97
Class I: NAV (Inception 07/09/12) 0.06 2.99 -0.78 8.09 -0.26 3.18 1.88
Class Y: NAV (Inception 07/09/12) 0.25 2.99 -0.78 7.95 -0.33 3.12 1.81
50% GBI-EM/50% EMBI 0.20 2.86 -1.07 9.72 -2.45 0.28 1.52

Average Annual Total Returns* (%) Month End as of 12/31/2023
  1 MO 3 MO YTD 1 YR 3 YR 5 YR 10 YR
Class A: NAV (Inception 07/09/12) 3.88 8.36 10.91 10.91 -0.79 4.14 1.80
Class A: Maximum 5.75% load -2.09 2.13 4.53 4.53 -2.73 2.92 1.20
Class I: NAV (Inception 07/09/12) 3.81 8.43 10.97 10.97 -0.49 4.46 2.10
Class Y: NAV (Inception 07/09/12) 3.80 8.40 11.03 11.03 -0.57 4.39 2.03
50% GBI-EM/50% EMBI 3.97 8.63 11.95 11.95 -3.31 1.46 1.71

*Returns less than one year are not annualized.

Expenses: Class A: Gross 2.55%, Net 1.22%; Class I: Gross 2.51%, Net 0.87%; Class Y: Gross 2.91%, Net 0.97%. Expenses are capped contractually until 05/01/24 at 1.25% for Class A, 0.95% for Class I, 1.00% for Class Y. Caps excluding acquired fund fees and expenses, interest, trading, dividends, and interest payments of securities sold short, taxes, and extraordinary expenses.

The performance data quoted represents past performance. Past performance is not a guarantee of future results. Investment return and principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance may be lower or higher than performance data quoted. Please call 800.826.2333 or visit vaneck.com for performance current to the most recent month ended.

The “Net Asset Value” (NAV) of a Fund 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. Investors should not expect to buy or sell shares at NAV.

30-Day SEC Yield (%)

Class A 6.72%

Class I 7.48%

Class Y 7.37%

30-Day SEC Yield is a standard calculation developed by the Securities and Exchange Commission that allows for fairer comparisons among bond funds. It is based on the most recent 30-day period. This yield figure reflects the interest earned during the period after deducting the fund’s expenses for the period. Some statistics do not take into account fees and expenses associated with investments or the Fund. In the absence of temporary fee waivers, the 30-Day SEC Yield for 02/29/24 would have been 6.19% for Class A, 7.10% for Class I and 7.09% for Class Y of the Fund.

You can lose money by investing in the Fund. Any investment in the Fund should be part of an overall investment program, not a complete program. The Fund is subject to risks which may include, but are not limited to, risks associated with active management, credit, credit-linked notes, currency management strategies, derivatives, emerging market issuers, energy sector, ESG investing strategy, foreign currency, foreign securities, hedging, high portfolio turnover, high yield securities, interest rate, LIBOR replacement, market, non-diversified, operational, restricted securities, investing in other funds, sovereign bond, and special risk considerations of investing in Latin American issuers, all of which may adversely affect the Fund. Emerging market issuers and foreign securities may be subject to securities markets, political and economic, investment and repatriation restrictions, different rules and regulations, less publicly available financial information, foreign currency and exchange rates, operational and settlement, and corporate and securities laws risks. Derivatives may involve certain costs and risks such as liquidity, interest rate, and the risk that a position could not be closed when most advantageous.

Investing involves substantial risk and high volatility, including possible loss of principal. An investor should consider the investment objective, risks, charges and expenses of a Fund carefully before investing. To obtain a prospectus and summary prospectus, which contain this and other information, call 800.826.2333 or visit vaneck.com. Please read the prospectus and summary prospectus carefully before investing.

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