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EMBX Holdings Changes

VanEck Emerging Markets Bond ETF
1W: -1.1% 1M: -3.3% 3M: -4.1% YTD: -2.4%
$49.12
+0.10 (+0.20%)
 
Weekly Expected Move ±0.7%
$48 $49 $49 $49 $50
ETF AMEX · AUM $255.0M
Total Changes (90d)
0
New Holdings
0
Removed Holdings
0
406 changes · Page 1 of 9
Date Holding Name Ticker Change Type Old Value New Value
2026-05-18 POLY POLY Removed 20000000 shares —
2026-05-14 POLY POLY New — 20000000 shares
2026-03-14 USY68856AQ98 USY68856AQ98 Removed 1771000 shares —
2026-03-14 XS2893147681 XS2893147681 Removed 962859 shares —
2026-03-14 USP97475AN08 USP97475AN08 Removed 2485000 shares —
2026-03-14 912797ST5 912797ST5 Removed 1293000 shares —
2026-03-14 -EUR CASH.undefined -EUR CASH.undefined Removed 232 shares —
2026-03-14 CL0002839505 CL0002839505 Removed 3215000000 shares —
2026-03-14 68205LAS2 68205LAS2 Removed 899000 shares —
2026-03-14 -BRL CASH.undefined -BRL CASH.undefined Removed -211 shares —
2026-03-14 CL0002686989 CL0002686989 Removed 285000000 shares —
2026-03-14 TH062303P607 TH062303P607 Removed 50226000 shares —
2026-03-14 XS2407752711 XS2407752711 Removed 1722000 shares —
2026-03-14 XS1945125547 XS1945125547 Removed 998000 shares —
2026-03-14 836205BJ2 836205BJ2 Removed 1294000 shares —
2026-03-14 105756CQ1 105756CQ1 Removed 1216000 shares —
2026-03-14 BRSTNCNTF212 BRSTNCNTF212 Removed 8488000 shares —
2026-03-14 40435WAC4 40435WAC4 Removed 104000 shares —
2026-03-14 65412JAT0 65412JAT0 Removed 964000 shares —
2026-03-14 74409AAE9 74409AAE9 Removed 428000 shares —
2026-03-14 XS2397053757 XS2397053757 Removed 1381000 shares —
2026-03-14 SGXF25686589 SGXF25686589 Removed 382000 shares —
2026-03-14 TH0623038401 TH0623038401 Removed 46576000 shares —
2026-03-14 067070AK8 067070AK8 Removed 125000 shares —
2026-03-14 USP5178RAE82 USP5178RAE82 Removed 127000 shares —
2026-03-14 30216KAC6 30216KAC6 Removed 1519000 shares —
2026-03-14 XS2435611327 XS2435611327 Removed 249000 shares —
2026-03-14 XS2626274463 XS2626274463 Removed 1686000 shares —
2026-03-14 KR103502GDC6 KR103502GDC6 Removed 700000000 shares —
2026-03-14 JP578801A785 JP578801A785 Removed 100000000 shares —
2026-03-14 USP8564LAA54 USP8564LAA54 Removed 40353 shares —
2026-03-14 TH0623A3H605 TH0623A3H605 Removed 2410000 shares —
2026-03-14 -USD CASH.undefined -USD CASH.undefined Removed 5446656 shares —
2026-03-14 USG84393AC49 USG84393AC49 Removed 430950 shares —
2026-03-14 XS3283442625 XS3283442625 Removed 745000 shares —
2026-03-14 501499AF4 501499AF4 Removed 1315000 shares —
2026-03-14 USY5951MAA00 USY5951MAA00 Removed 480000 shares —
2026-03-14 SG3261987691 SG3261987691 Removed 576000 shares —
2026-03-14 25381MAA5 25381MAA5 Removed 76000 shares —
2026-03-14 362420AD3 362420AD3 Removed 458000 shares —
2026-03-14 699149BY5 699149BY5 Removed 215000 shares —
2026-03-14 718286BM8 718286BM8 Removed 233202000 shares —
2026-03-14 035198AB6 035198AB6 Removed 475000 shares —
2026-03-14 XS3000946437 XS3000946437 Removed 1106000 shares —
2026-03-14 KR103503GF38 KR103503GF38 Removed 1036900000 shares —
2026-03-14 COL17CT03995 COL17CT03995 Removed 8614000000 shares —
2026-03-14 08205QAA6 08205QAA6 Removed 39000 shares —
2026-03-14 491798AQ7 491798AQ7 Removed 142000 shares —
2026-03-14 418097AP6 418097AP6 Removed 322000 shares —
2026-03-14 98977LAA4 98977LAA4 Removed 1010000 shares —
1 2 3 ... 9 Next →

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