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ANGL | VanEck Fallen Angel High Yield Bond ETF Holdings

(Stock Exchange: NASDAQ)
Symbol Name Market Cap Weight Valuation Profitability Growth Health 200SMA Price Change IV IV Rank
KHC The Kraft Heinz Company 36.36B 5.07%
30.43 0.63% 29.14% 64.00%
OXY Occidental Petroleum Corporation 46.39B 4.44%
49.36 1.09% 29.14% 46.58%
RCL Royal Caribbean Cruises Ltd. 55.29B 4.30%
205.44 -1.03% 53.11% 92.05%
VOD Vodafone Group Public Limited Company 23.40B 3.77%
9.37 -0.85% 23.37% 20.89%
FCX Freeport-McMoRan Inc. 54.41B 3.56%
37.86 -1.46% 47.64% 89.61%
NWL Newell Brands Inc. 2.58B 3.49%
6.20 -2.97% 67.76% 97.18%
EDF.PA Electricité de France S.A. 3.46%
IES.DE Intesa Sanpaolo S.p.A. 3.42%
FE FirstEnergy Corp. 23.31B 3.25%
40.42 0.90% 18.77% 62.94%
F Ford Motor Company 39.04B 2.69%
10.03 3.19% 48.29% 84.30%
GS The Goldman Sachs Group, Inc. 169.78B 2.55%
546.29 0.58% 41.86% 89.67%
DB Deutsche Bank AG 45.25B 2.52%
23.83 -0.54% 35.10% 82.94%
APA APA Corporation 7.65B 2.17%
21.02 0.48% 42.17% 65.64%
TIT.BR Telecom Italia S.p.A. 2.10%
EQT EQT Corporation 31.92B 2.06%
53.43 0.79% 42.22% 63.57%
WES Western Midstream Partners, LP 15.62B 2.06%
40.96 -1.23% 24.16% 69.03%
CLR Continental Resources, Inc. 1.68%
EMKR EMCORE Corporation 1.64%
XRX Xerox Holdings Corporation 605.11M 1.64%
4.83 -5.85% 54.26% 112.71%
RR..L Rolls-Royce Holdings PLC 1.61%
STAN.L Standard Chartered PLC 1.61%
OVV Ovintiv Inc. 11.14B 1.54%
42.80 1.37% 33.36% 62.67%
MT.AS ArcelorMittal 1.50%
SWN Southwestern Energy Company 1.50%
CF CF Industries Holdings, Inc. 13.01B 1.43%
78.15 0.98% 33.87% 49.83%
DAL Delta Air Lines, Inc. 28.16B 1.40%
43.60 -0.55% 55.16% 75.02%
SVC Service Properties Trust 434.92M 1.29%
2.6100 -0.76% 157.76% 42.06%
HWM Howmet Aerospace Inc. 52.54B 1.19%
129.73 0.03% 45.19% 98.24%
ENLC EnLink Midstream, LLC 1.15%
MEOH Methanex Corporation 2.36B 1.15%
35.09 -0.65% 37.56% 67.35%
SPR Spirit AeroSystems Holdings, Inc. 4.04B 1.08%
34.46 -0.75% 77.95% 41.07%
USO United States Oil Fund, LP 1.08% 77.33 3.42% 24.59% 23.58%
NOKIA.PA Nokia Corporation 1.05%
BBBY Bed Bath & Beyond Inc. 0.98%
FLR Fluor Corporation 6.02B 0.98%
35.82 -1.02% 61.44% 81.44%
UAA Under Armour, Inc. 2.63B 0.98%
6.25 -0.79% 61.74% 56.20%
LYG Lloyds Banking Group plc 57.68B 0.94%
3.82 -0.52% 157.84% 59.31%
NAVI Navient Corporation 1.29B 0.91%
12.63 -1.48% 49.84% 72.86%
SEE Sealed Air Corporation 4.21B 0.91%
28.90 -0.34% 26.47% 64.45%
ATI ATI Inc. 7.40B 0.87%
52.03 2.10% 43.88% 49.12%
CDK CDK Global, Inc. 0.87%
DCP DCP Midstream, LP 0.80%
DHC Diversified Healthcare Trust 578.97M 0.80%
2.4000 -2.83% 127.13% 48.01%
M Macy's, Inc. 3.49B 0.80%
12.56 -1.95% 38.62% 50.88%
PTEN Patterson-UTI Energy, Inc. 3.18B 0.80%
8.22 0.37% 51.59% 81.84%
DELL Dell Technologies Inc. 63.61B 0.77%
91.15 -1.24% 58.85% 44.59%
EPR EPR Properties 4.00B 0.77%
52.61 1.76% 25.34% 72.16%
OII Oceaneering International, Inc. 2.20B 0.77%
21.81 0.97% 56.57% 50.48%
WPG Washington Prime Group Inc. 0.73%
HI Hillenbrand, Inc. 1.70B 0.70%
24.14 -3.29% 109.17% 51.39%
TNL Travel + Leisure Co. 3.09B 0.70%
46.29 -0.32% 34.06% 73.63%
HXL Hexcel Corporation 4.40B 0.66%
54.76 -2.75% 32.61% 63.98%
NLOK NortonLifeLock Inc. 0.66%
TAC TransAlta Corporation 2.79B 0.66%
9.35 -1.27% 72.70% 32.01%
THC Tenet Healthcare Corporation 12.79B 0.66%
134.50 1.02% 47.27% 54.19%
TRN Trinity Industries, Inc. 2.30B 0.66%
28.06 -1.37% 40.13% 75.57%
LB LandBridge Company LLC 5.49B 0.63%
71.94 3.23% 70.57% 55.73%
MGLN Magellan Health, Inc. 0.63%
YUM Yum! Brands, Inc. 43.92B 0.63%
157.36 1.03% 23.53% 45.27%
HCA HCA Healthcare, Inc. 85.08B 0.59%
345.55 0.99% 26.09% 62.47%
CRS Carpenter Technology Corporation 9.05B 0.52%
181.18 -0.06% 53.50% 76.86%
FUL H.B. Fuller Company 3.04B 0.52%
56.12 2.46% 42.70% 48.83%
MAT Mattel, Inc. 6.27B 0.52%
19.43 0.67% 37.80% 62.27%
MUR Murphy Oil Corporation 4.14B 0.52%
28.40 0.11% 39.66% 77.85%
CLI Mack-Cali Realty Corporation 0.45%
CTBB Qwest Corp. NT 0.45% 16.54 -2.59% N/A N/A
PBI Pitney Bowes Inc. 1.65B 0.45%
9.05 -2.69% 50.84% 23.90%
BBD-B.TO Bombardier Inc. 0.42%
CLF Cleveland-Cliffs Inc. 4.06B 0.42%
8.22 -3.52% 80.59% 92.31%
RAD Rite Aid Corporation 0.38%
Total holdings: 70 Recognized Stocks: 48 Recognized ETFs: 2 Others: 20
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