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ANGL Holdings

VanEck Fallen Angel High Yield Bond ETF
1W: -2.1% 1M: -4.2% 3M: -5.5% YTD: -5.3% 1Y: -6.0% 3Y: +17.0% 5Y: +4.4%
$27.57
-0.04 (-0.14%)
 
Weekly Expected Move ±0.7%
$27 $27 $28 $28 $28
ETF NASDAQ · AUM $3.0B
ETF-Level Metrics
AUM$3.0B
Holdings—
Top 10 Wt—%
Beta0.80
% Profitable—%
Coverage—%
Portfolio Valuation
P/E—
P/B—
P/S—
EV/EBITDA—
P/FCF—
PEG—
Profitability & Returns
Gross Margin—%
Net Margin—%
ROE—%
ROA—%
ROIC—%
Div Yield—%
Leverage & Liquidity
Debt/Equity—
Debt/Assets—
Net Debt/EBITDA—x
Interest Cov—x
Current Ratio—
Quick Ratio—
Growth (YoY)
Revenue—%
Net Income—%
EPS—%
FCF—%
EBITDA—%
Rev CAGR 3Y—%
Quality Scores
Piotroski F—
Altman Z—
IS Quality—
IS Overall—
IS Value—
Median P/E—

Sector Breakdown

1 sectors
Sector # Holdings Total Weight % Avg P/E
Other 131 100.0% —

Smart Money Overlap

0 holdings with signals
No holdings with active convergence signals
Showing 50 of 131 holdings · Page 1 of 3
# Name Ticker Weight % ▼ Mkt Value Shares P/E Mkt Cap Sector
1 Nissan Motor Co Ltd Private — 3.48% $106.9M 109,015,000 — — —
2 Vodafone Group Plc Private — 3.46% $106.1M 101,762,000 — — —
3 Nissan Motor Co Ltd Private — 3.22% $98.8M 109,119,000 — — —
4 Entegris Inc Private — 2.62% $80.5M 81,400,000 — — —
5 Dresdner Funding Trust I Private — 1.78% $54.7M 50,873,000 — — —
6 Celanese Us Holdings Llc Private — 1.76% $54.1M 50,875,000 — — —
7 Celanese Us Holdings Llc Private — 1.75% $53.8M 50,880,000 — — —
8 Celanese Us Holdings Llc Private — 1.71% $52.5M 50,875,000 — — —
9 Resorts World Las Vegas Llc / Rwlv Capi Private — 1.51% $46.2M 51,284,000 — — —
10 Coty Inc/Hfc Prestige Products Inc/Hfc Private — 1.43% $43.9M 45,975,000 — — —
11 Pacificorp Private — 1.38% $42.3M 43,250,000 — — —
12 Celanese Us Holdings Llc Private — 1.30% $39.8M 37,966,000 — — —
13 Celanese Us Holdings Llc Private — 1.29% $39.5M 38,175,000 — — —
14 Huntsman International Llc Private — 1.19% $36.5M 38,166,000 — — —
15 Perrigo Finance Unlimited Co Private — 1.19% $36.5M 38,175,000 — — —
16 Fs Kkr Capital Corp Private — 1.18% $36.1M 38,173,000 — — —
17 Paramount Global Private — 1.16% $35.5M 40,225,000 — — —
18 Methanex Corp Private — 1.15% $35.1M 35,632,000 — — —
19 Vf Corp Private — 1.12% $34.3M 38,156,000 — — —
20 Fs Kkr Capital Corp Private — 1.12% $34.3M 35,615,000 — — —
21 Nordstrom Inc Private — 1.11% $34.0M 49,132,000 — — —
22 Whirlpool Corp Private — 1.07% $32.9M 35,625,000 — — —
23 Electronic Arts Inc Private — 1.03% $31.6M 34,700,000 — — —
24 Newell Brands Inc Private — 1.02% $31.4M 33,900,000 — — —
25 Nissan Motor Acceptance Co Llc Private — 1.00% $30.8M 30,590,000 — — —
26 Electronic Arts Inc Private — 1.00% $30.8M 37,800,000 — — —
27 Paramount Global Private — 1.00% $30.7M 34,750,000 — — —
28 Fs Kkr Capital Corp Private — 0.99% $30.3M 30,525,000 — — —
29 Transocean International Ltd Private — 0.93% $28.6M 31,015,000 — — —
30 Telecom Italia Capital Sa Private — 0.92% $28.1M 25,450,000 — — —
31 Bombardier Inc Private — 0.91% $28.0M 25,952,000 — — —
32 Rockies Express Pipeline Llc Private — 0.89% $27.2M 27,990,000 — — —
33 Paramount Global Private — 0.88% $26.9M 46,550,000 — — —
34 Paramount Global Private — 0.88% $26.9M 26,600,000 — — —
35 Paramount Global Private — 0.87% $26.8M 40,225,000 — — —
36 Telecom Italia Capital Sa Private — 0.87% $26.8M 25,450,000 — — —
37 Paramount Global Private — 0.86% $26.4M 32,183,000 — — —
38 Telecom Italia Capital Sa Private — 0.84% $25.8M 25,400,000 — — —
39 Aptiv Swiss Holdings Ltd Private — 0.84% $25.7M 25,445,000 — — —
40 Rockies Express Pipeline Llc Private — 0.82% $25.3M 25,440,000 — — —
41 Navient Corp Private — 0.82% $25.1M 30,240,000 — — —
42 Fluor Corp Private — 0.81% $24.9M 25,493,000 — — —
43 Diversified Healthcare Trust Private — 0.81% $24.8M 25,450,000 — — —
44 Nissan Motor Acceptance Co Llc Private — 0.81% $24.8M 26,162,000 — — —
45 Telecom Italia Capital Sa Private — 0.81% $24.8M 25,450,000 — — —
46 Nordstrom Inc Private — 0.79% $24.1M 25,450,000 — — —
47 Hudson Pacific Properties Lp Private — 0.78% $24.0M 25,433,000 — — —
48 Advance Auto Parts Inc Private — 0.77% $23.7M 25,448,000 — — —
49 Fmc Corp Private — 0.77% $23.6M 25,450,000 — — —
50 Fmc Corp Private — 0.75% $23.0M 25,454,000 — — —

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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms