0000930413-20-000759.txt : 20200309 0000930413-20-000759.hdr.sgml : 20200309 20200309124516 ACCESSION NUMBER: 0000930413-20-000759 CONFORMED SUBMISSION TYPE: N-CSR PUBLIC DOCUMENT COUNT: 35 CONFORMED PERIOD OF REPORT: 20191231 FILED AS OF DATE: 20200309 DATE AS OF CHANGE: 20200309 EFFECTIVENESS DATE: 20200309 FILER: COMPANY DATA: COMPANY CONFORMED NAME: VanEck Vectors ETF Trust CENTRAL INDEX KEY: 0001137360 IRS NUMBER: 000000000 FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: N-CSR SEC ACT: 1940 Act SEC FILE NUMBER: 811-10325 FILM NUMBER: 20697241 BUSINESS ADDRESS: STREET 1: 666 THIRD AVENUE, 9TH FLOOR CITY: NEW YORK STATE: NY ZIP: 10017 BUSINESS PHONE: 212-293-2000 MAIL ADDRESS: STREET 1: 666 THIRD AVENUE, 9TH FLOOR CITY: NEW YORK STATE: NY ZIP: 10017 FORMER COMPANY: FORMER CONFORMED NAME: MARKET VECTORS ETF TRUST DATE OF NAME CHANGE: 20070312 FORMER COMPANY: FORMER CONFORMED NAME: MARKET VECTORS TRUST DATE OF NAME CHANGE: 20050516 FORMER COMPANY: FORMER CONFORMED NAME: VAN ECK ALTERNATIVES INDEX FUND DATE OF NAME CHANGE: 20030327 0001137360 S000009191 VanEck Vectors Gold Miners ETF C000024980 VanEck Vectors Gold Miners ETF GDX 0001137360 S000013721 VanEck Vectors Steel ETF C000037682 VanEck Vectors Steel ETF SLX 0001137360 S000016884 VanEck Vectors Low Carbon Energy ETF C000047031 VanEck Vectors Low Carbon Energy ETF SMOG 0001137360 S000016885 VanEck Vectors Russia ETF C000047032 VanEck Vectors Russia ETF RSX 0001137360 S000018474 VanEck Vectors Agribusiness ETF C000051120 VanEck Vectors Agribusiness ETF MOO 0001137360 S000018475 VanEck Vectors Uranium+Nuclear Energy ETF C000051121 VanEck Vectors Uranium+Nuclear Energy ETF NLR 0001137360 S000020424 VanEck Vectors Coal ETF C000057273 VanEck Vectors Coal ETF KOL 0001137360 S000022364 VanEck Vectors Natural Resources ETF C000064328 VanEck Vectors Natural Resources ETF HAP 0001137360 S000022901 VanEck Vectors Africa Index ETF C000066393 VanEck Vectors Africa Index ETF AFK 0001137360 S000022905 VanEck Vectors Vietnam ETF C000066397 VanEck Vectors Vietnam ETF VNM 0001137360 S000024065 VanEck Vectors Indonesia Index ETF C000070695 VanEck Vectors Indonesia Index ETF IDX 0001137360 S000024936 VanEck Vectors Egypt Index ETF C000074143 VanEck Vectors Egypt Index ETF EGPT 0001137360 S000025533 VanEck Vectors Brazil Small-Cap ETF C000076451 VanEck Vectors Brazil Small-Cap ETF BRF 0001137360 S000025865 VanEck Vectors ChinaAMC CSI 300 ETF C000077335 VanEck Vectors ChinaAMC CSI 300 ETF PEK 0001137360 S000026955 VanEck Vectors Junior Gold Miners ETF C000081187 VanEck Vectors Junior Gold Miners ETF GDXJ 0001137360 S000027314 VanEck Vectors India Small-Cap Index ETF C000082390 VanEck Vectors India Small-Cap Index ETF SCIF 0001137360 S000030045 VanEck Vectors Rare Earth/Strategic Metals ETF C000092114 VanEck Vectors Rare Earth/Strategic Metals ETF REMX 0001137360 S000031766 VanEck Vectors Russia Small-Cap ETF C000098930 VanEck Vectors Russia Small-Cap ETF RSXJ 0001137360 S000034408 VanEck Vectors Oil Services ETF C000105866 VanEck Vectors Oil Services ETF OIH 0001137360 S000034990 VanEck Vectors Unconventional Oil & Gas ETF C000107598 VanEck Vectors Unconventional Oil & Gas ETF FRAK 0001137360 S000041167 VanEck Vectors Israel ETF C000127738 VanEck Vectors Israel ETF ISRA 0001137360 S000044444 VanEck Vectors ChinaAMC SME-ChiNext ETF C000138289 VanEck Vectors ChinaAMC SME-ChiNext ETF CNXT 0001137360 S000050231 VanEck Vectors Oil Refiners ETF C000158570 VanEck Vectors Oil Refiners ETF CRAK N-CSR 1 c95037_ncsr.htm

UNITED STATES

 

SECURITIES AND EXCHANGE COMMISSION

 

Washington, D.C. 20549

 

FORM N-CSR

 

CERTIFIED SHAREHOLDER REPORT OF REGISTERED MANAGEMENT

 

INVESTMENT COMPANIES

 

Investment Company Act file number 811-10325

 

VANECK VECTORS ETF TRUST
(Exact name of registrant as specified in charter)

 

666 Third Avenue, New York, NY 10017
(Address of principal executive offices) (Zip code)

 

Van Eck Associates Corporation
666 Third Avenue, New York, NY 10017
(Name and address of agent for service)

 

Registrant’s telephone number, including area code: (212) 293-2000

 

Date of fiscal year end: DECEMBER 31

 

Date of reporting period: DECEMBER 31, 2019

 
Item 1.REPORT TO SHAREHOLDERS.

 

ANNUAL REPORT
December 31, 2019

 

 

 

 

 

 

 

 

 

 

VANECK VECTORS®  
   
Africa Index ETF AFK®
Brazil Small-Cap ETF BRF®
ChinaAMC CSI 300 ETF PEK®
ChinaAMC SME-ChiNext ETF CNXT®
Egypt Index ETF EGPT®
India Small-Cap Index ETF SCIF®
Indonesia Index ETF IDX®
Israel ETF ISRA®
Russia ETF RSX®
Russia Small-Cap ETF RSXJ®
Vietnam ETF VNM®

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

   
800.826.2333 vaneck.com
 

 

 

President’s Letter   1
Management Discussion   2
Performance Comparison    
Africa Index ETF   6
Brazil Small-Cap ETF   7
ChinaAMC CSI 300 ETF   8
ChinaAMC SME-ChiNext ETF   9
Egypt Index ETF   10
India Small-Cap Index ETF   11
Indonesia Index ETF   12
Israel ETF   13
Russia ETF   14
Russia Small-Cap ETF   15
Vietnam ETF   16
About Fund Performance   17
Explanation of Expenses   18
Schedule of Investments    
Africa Index ETF   20
Brazil Small-Cap ETF   23
ChinaAMC CSI 300 ETF   26
ChinaAMC SME-ChiNext ETF   31
Egypt Index ETF   34
India Small-Cap Index ETF   36
Indonesia Index ETF   40
Israel ETF   42
Russia ETF   46
Russia Small-Cap ETF   48
Vietnam ETF   50
Statements of Assets and Liabilities   52
Statements of Operations   54
Statements of Changes in Net Assets   56
Financial Highlights    
Africa Index ETF   61
Brazil Small-Cap ETF   61
ChinaAMC CSI 300 ETF   62
ChinaAMC SME-ChiNext ETF   62
Egypt Index ETF   63
India Small-Cap Index ETF   63
Indonesia Index ETF   64
Israel ETF   64
Russia ETF   65
Russia Small-Cap ETF   65
Vietnam ETF   66
Notes to Financial Statements   67
Report of Independent Registered Public Accounting Firm   76
Tax Information   77
Board of Trustees and Officers   78

 

 

Certain information contained in this report represents the opinion of the investment adviser which may change at any time. This information is not intended to be a forecast of future events, a guarantee of future results or investment advice. Current market conditions may not continue. The information contained herein regarding each index has been provided by the relevant index provider. Also, unless otherwise specifically noted, any discussion of the Funds’ holdings, the Funds’ performance, and the views of the investment adviser are as of December 31, 2019.

 

VANECK VECTORS ETFs

PRESIDENT’S LETTER

December 31, 2019 (unaudited)

 

Dear Shareholders:

 

The story for 2019 was simple and familiar—slower economic growth was combated by expansive monetary policy.

 

But first a comment on global growth: the two engines of the global economy, the U.S. and China, continue to move forward and we now have the prospect of at least some resolution of the trade dispute between them in the phase-one agreement. The latest economic statistics from China are steady and there are signs of “green shoots.” China’s services sector is expanding robustly and manufacturing is struggling, but not collapsing. My blog, China’s Economic Growth: Continuing Despite Headlines, shows this in two charts.

 

The biggest event in the markets last summer was the surge in bonds in Europe with negative interest rates. At the end of September, nearly $15 trillion worth of debt globally carried a negative yield.1 Despite moves by the European Central Bank to stimulate, not only is the European economy slowing down, but there are also concerns about just how effective central bank actions are. Looking forward, therefore, I think investors should assess their hedge against central bank uncertainty by considering, for example, their gold allocations. While high interest rate environments tend to be tough for gold (it does not pay any yield), against negative interest rates, gold and other hedges against central bank impotence should be strongly considered.

 

We encourage you to stay in touch with us through the videos, email subscriptions and research blogs available on our website, www.vaneck.com. I have started my own email subscription where I share interesting research—you can sign up on www.vaneck.com. Should you have any questions regarding fund performance, please contact us at 800.826.2333 or visit our website.

 

We sincerely thank you for investing in VanEck’s investment strategies. On the following pages, you will find a performance discussion and financial statements for each of the funds for the twelve month period ended December 31, 2019. As always, we value your continued confidence in us and look forward to helping you meet your investment goals in the future.

 

 

Jan F. van Eck
CEO and President
VanEck Vectors ETF Trust

 

January 24, 2020

 

Investing involves substantial risk and high volatility, including possible loss of principal. An investor should consider the investment objective, risks, charges and expenses of the Funds 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.

 

 

1 Financial Times: September was the busiest month ever for corporate debt issuance, September 30, 2019, https://www.ft.com/content/eef8234c-e3c0-11e9-b112-9624ec9edc59
1

VANECK VECTORS ETFs

MANAGEMENT DISCUSSION

December 31, 2019 (unaudited)

 

Africa

 

The materials sector, followed by the financial and communication services sectors, were the three greatest contributors to the performance of VanEck Vectors Africa Index ETF, which returned 8.52% for the 12 month period. The consumer discretionary sector detracted the most from performance. Geographically, companies in Kenya, followed by those in South Africa (with the largest average country weighting during the year), were the two largest contributors to performance. A German domiciled company which derives the majority of its revenues across Africa was the largest detractor, followed by companies in Nigeria and Ghana.

 

Brazil

 

Following the swearing in of President Jair Bolsonaro on January 1, during 2019 the VanEck Vectors Brazil Small-Cap ETF benefited from not only optimism on the political front, but also a more business-friendly legislative agenda. Consequently, its performance was the reverse of that in 2018 and the Fund returned 40.81% over the 12 month period under review.

 

Building on a robust first six months of the year, in the third quarter, the country’s economy expanded at its fastest pace since the start of 2018. With the country appearing “to be leaving behind years of sluggish growth that followed its worst recession on record.”1

 

The utilities and consumer discretionary sectors, with the two largest average sector weightings during the year, were the two largest positive contributors to performance. Only a single sector, communication services, detracted from performance, and then only minimally.

 

China

 

After their negative performances in 2018, the two VanEck Vectors China-focused ETFs reported double digit gains in 2019, with VanEck Vectors ChinaAMC CSI 300 ETF and VanEck Vectors ChinaAMC SME-ChiNext ETF returning 35.40% and 42.80%, respectively. Over the course of the year, despite a slowing economy and the continuing trade war between China and the U.S., Chinese asset prices continued to rise, not least as a result of stimulative monetary policies implemented by the People’s Bank of China to address growth concerns.

 

VanEck Vectors ChinaAMC SME-ChiNext ETF seeks to provide exposure not only to China’s market for innovative, non-government owned companies, but also to the sectors that are increasingly underpinning the growth of China’s “New Economy”. The information technology sector, with the largest average sector weighting during the year, was the greatest contributor to performance. Only the utilities sector, comprising two companies, detracted from performance. While all sectors contributed positively to the performance of VanEck Vectors ChinaAMC CSI 300 ETF, financial companies contributed the most to returns and utilities the least.

 

Egypt

 

VanEck Vectors Egypt Index ETF gained 5.42% in 2019. The World Bank increased slightly its estimate of gross domestic product (GDP) growth for the country in its last fiscal year (which ended June 30, 2019), from 5.3% to 5.6%. Drivers of growth have been the construction, gas, real estate, tourism and wholesale and retail trade sectors.2

 

According to the World Bank: “Egypt is sustaining its robust growth, fiscal outturns are improving, and external accounts are stabilizing at broadly favorable levels. Inflation receded significantly, paving the way for monetary easing.”3 However, according to the preliminary GDP release, economic growth in the first quarter of the new (2020) fiscal year (i.e., third quarter 2019), slowed marginally4 and in November, the HIS Markit Egypt Purchasing Managers’ Index declined, for the fourth consecutive month, to 47.9. This is its lowest since September 2017.5

 

The top three performing sectors were financials, communication services and materials. Only the energy and industrial sectors detracted from performance. Both mid- and large-cap companies contributed positively to returns, while small-cap companies, with the largest average weighting during the period under review, detracted from performance.

2

 

 

India

 

The VanEck Vectors India Small-Cap Index ETF posted a negative total return for the year of 21.65%. Economic growth in India continued to fall throughout 2019. In the second quarter of the country’s new fiscal year (July-September), annual economic growth slowed (for the sixth consecutive quarter) to 4.5%, its weakest pace since 2013.6 This compared to 7% growth in the same quarter of 2018 and 5% in the previous quarter.7

 

With the Sensex index of stocks quoted on the Bombay Stock Exchange trading at “multiples higher than the S&P 500,”8 stocks were proving expensive not only to foreign investors, but also domestically. Other headwinds included both continuing concern about the liquidity of the country’s banking system and the fact that, by December, consumer confidence in India was at its lowest level since 2014.9

 

Two sectors contributed positively to performance: healthcare and information technology. Companies in the financial sector, together with those in the industrial and consumer discretionary sectors, were the greatest detractors from performance.

 

Indonesia

 

The VanEck Vectors Indonesia Index ETF returned 5.97% in 2019. While Indonesia’s economic growth rate in 2018 was 5.17%, at a press conference on December 19, 2019, Indonesia’s vice finance minister, Suahasil Nazara said that the country’s economic growth was seen at 5.05%–5.06% in 2019. This rate would mark the first slowdown in four years.10 The country has, however, been able to avoid much of the fallout from the U.S./China trade war because the majority of its economic growth has been driven by the performance of household consumption.11

 

The greatest positive contributions to returns came from three sectors: financial, materials and communication services. The greatest negative contributions to returns also came from three sectors: consumer discretionary, consumer staples and energy.

 

Israel

 

The VanEck Vectors Israel ETF returned 26.64% for the 12 months period under review, a reversal from its poor performance in 2018. According to the country’s Central Bureau for Statistics, in the third quarter GDP increased at an annual rate of 4.1%, following a second quarter in which it grew at only 0.8%. At 2.1%, GDP per capita also recovered, after falling 0.9% in the previous quarter.

 

Unfortunately, however, the figure of 4.1% for GDP growth rested on a single parameter: new car purchases. If the influence of car purchases is “neutralized,” then ” . . . the picture that remains is not all that favorable.”12 As November came to a close, however, there was some good news to be found in the country’s export figures. With goods and services exports standing at $84 billion over the first nine months of 2019 (a 4.6% increase on the figure for January–September 2018), according to government data, Israeli exports, led by high tech, were expected to hit a record of $114 billion in 2019.13

 

Over the period under review, the performances of three sectors, information technology, financial and real estate, produced the majority of positive contributions to returns. Only two sectors detracted from performance, and then only minimally: communication services and materials. Mid-cap companies, followed by large- then small-cap companies, made the greatest positive contribution to returns.

 

Russia

 

2019 was a good year for the VanEck Vectors Russia Small-Cap ETF and, even more so, for its peer investing in larger-cap Russian stocks, the VanEck Vectors Russia ETF. The former ETF returned 36.17% for the year, while the latter returned 40.40% over the same period.

 

Despite disappointing growth during 2019, unlikely to exceed 1.3%,14 the good news was the fall in inflation, which was, once again, below the central bank’s target of 4%. Estimates are that 2020 will see improved economic growth of 1.6%.15

3

VANECK VECTORS ETFs

MANAGEMENT DISCUSSION (unaudited) (continued)

 

The energy sector was by far the most significant contributor to performance of the VanEck Vectors Russia ETF. The financial and materials sectors also contributed strongly to positive performance. While no sector detracted from performance, the utilities sector contributed the least. For the VanEck Vectors Russia Small-Cap ETF, the utilities and consumer staples sectors were the most significant contributors to positive returns. While no sector provided negative returns, the energy sector contributed the least.

 

Vietnam

 

VanEck Vectors Vietnam ETF gained 8.86% in 2019. Despite the unresolved trade tensions between the U.S. and China during the year, Vietnam’s export and industrial production performance surprised to the upside during the year.16 Many companies continue to look to shift their manufacturing operations to the country not only because of favorable wage levels, but also because of labor availability.17

 

According to the country’s General Statistics office, economic growth over the first nine months of 2019 was driven by manufacturing, followed by services.18 Up 7.31% from 2018, GDP growth in the fourth quarter beat a revised figure of 6.73% in the second quarter. For the first three quarters of the year through September, the growth figure was 6.98%.19

 

Large-cap companies contributed the most to performance over the reporting period, outperforming the positive returns of mid- and small-cap companies. Three sectors contributed the majority of positive returns: information technology, healthcare and real estate. The utilities and consumer staples sectors were the greatest detractors from performance.

 

* Returns based on the funds’ net asset values (NAVs).
   
  The principal risks of investing in VanEck Vectors ETFs include sector, market, economic, political, foreign currency, world event, index tracking and non-diversification risks, as well as fluctuations in net asset value and the risks associated with investing in less developed capital markets. The Funds may loan their securities, which may subject them to additional credit and counterparty risk. Please see the prospectus of each Fund for more complete information regarding each Fund’s specific risks.

 

 
1 The Wall Street Journal: Brazil’s Economy Expands at Fastest Pace in Six Quarters, December 3, 2019, https://www.wsj.com/articles/brazils-economy-expands-at-fastest-pace-in-six-quarters-11575377914
   
2 The World Bank: Arab Republic of Egypt, October, 2019, http://pubdocs.worldbank.org/en/471871570664047542/EN-MPO-OCT19-Egypt.pdf
   
3 Ibid.
   
4 Focus Economics: Egypt Economic Outlook, November 26, 2019, https://www.focus-economics.com/countries/egypt
   
5 Reuters: Egypt’s non-oil private sector shrinks to slowest in over two years: PMI, December 3, 2019, https://www.reuters.com/article/us-egypt-economy-pmi/egypts-non-oil-private-sector-shrinks-to-slowest-in-over-two-years-pmi-idUSKBN1Y70F2
   
6 Reuters: India’s economic growth slows, pressure on Modi to speed up reforms, November 29, 2019, https://www.reuters.com/article/us-india-economy-gdp/indias-economic-growth-slows-pressure-on-modi-to-speed-up-reforms-idUSKBN1Y31N1
   
7 Ibid.
   
8 Forbes: For Investors, Modi 2.0 Has Made India Too Expensive, December 9, 2019, https://www.forbes.com/sites/kenrapoza/2019/12/09/for-investors-modi-20-has-made-india-too-expensive/#44524a213b58
   
9 Ibid.
   
10 Reuters: Indonesia on track for budget deficit of 2.2% of GDP in 2019 – finmin, December 19, 2019, https://www.reuters.com/article/indonesia-economy-budget/indonesia-on-track-for-budget-deficit-of-22-of-gdp-in-2019-finmin-idUSL4N28T1EO
   
11 Antara News: Indonesia’s economic growth in 2020 to reach 4.8 percent: Indef, November 26, 2019, https://en.antaranews.com/news/137248/indonesias-economic-growth-in-2020-to-reach-48-percent-indef
   
12 CTECH: The Israeli Economy’s Greatest Growth Generator Is Also its Biggest Enemy, November 18, 2019, https://www.calcalistech.com/ctech/articles/0,7340,L-3773930,00.html
   
13 Reuters: Led by high tech, Israeli exports to hit record of $114 billion in 2019, November 24, 2019, https://www.reuters.com/article/us-israel-economy-exports/led-by-high-tech-israeli-exports-to-hit-record-of-114-billion-in-2019-idUSKBN1XY0IJ
4

 

 

14 Bloomberg: Putin Promised Economic Rebound. Russians Are Still Waiting, December 17, 2019, https://www.bloomberg.com/news/articles/2019-12-18/putin-promised-economic-breakthrough-russians-are-still-waiting
   
15 Ibid.
   
16 GardaWorld: Vietnam Country Report, November 27, 2019, https://www.garda.com/crisis24/country-reports/vietnam
   
17 Ibid.
   
18 Bangkok Post: Vietnam economy expands 7.3% in Q3, September 28, 2019, https://www.bangkokpost.com/world/1760444/vietnam-economy-expands-7-3-in-q3
   
19 Ibid.
5

VANECK VECTORS AFRICA INDEX ETF

PERFORMANCE COMPARISON

December 31, 2019 (unaudited)

 

   Average Annual Total Returns  Cumulative Total Returns  
         
   Share Price  NAV  MVAFKTR1  Share Price  NAV  MVAFKTR1  
One Year  9.76%  8.52%  8.76%  9.76%  8.52%  8.76%  
Five Year  (1.95)%  (1.97)%  (0.86)%  (9.37)%  (9.48)%  (4.22)%  
Ten Year  (0.52)%  (0.35)%  0.78%  (5.11)%  (3.42)%  8.09%  
1 MVIS® GDP Africa (MVAFKTR) Index is a rules-based, modified-capitalization-weighted, float-adjusted index and is intended to give investors a means of tracking the overall performance of the publicly traded companies in Africa.
   
Index data prior to June 21, 2013 reflects that of the Dow Jones Africa Titans 50 IndexSM. From June 21, 2013, forward, the index data reflects that of the MVIS® GDP Africa Index (MVAFKTR). All Index history reflects a blend of the performance of the aforementioned Indexes.

 

    Hypothetical Growth of $10,000
     
This chart shows the value of a hypothetical $10,000 investment in the Fund at NAV and at Share Price over the past 10 years. The result is compared with the Fund’s benchmark.  

 

Past performance is no guarantee of future results. Performance results do not reflect the deduction of taxes that a shareholder would pay on fund distributions or on the redemption or sale of fund shares.

 

See “About Fund Performance” on page 17 for more information.

6

VANECK VECTORS BRAZIL SMALL-CAP ETF

PERFORMANCE COMPARISON

December 31, 2019 (unaudited)

 

   Average Annual Total Returns  Cumulative Total Returns  
                     
   Share Price  NAV  MVBRFTR1  Share Price  NAV  MVBRFTR1  
One Year  40.95%  40.81%  41.43%  40.95%  40.81%  41.43%  
Five Year  9.25%  9.16%  9.80%  55.63%  54.98%  59.59%  
Ten Year  (1.41)%  (1.17)%  (0.48)%  (13.23)%  (11.11)%  (4.69)%  
1 MVIS® Brazil Small-Cap Index (MVBRFTR) is a rules based, modified capitalization weighted, float adjusted index intended to give investors a means of tracking the overall performance of publicly traded small-capitalization companies that are incorporated in Brazil or that are incorporated outside of Brazil but have at least 50% of their revenues/related assets in Brazil.

 

    Hypothetical Growth of $10,000
     
This chart shows the value of a hypothetical $10,000 investment in the Fund at NAV and at Share Price over the past 10 years. The result is compared with the Fund’s benchmark.  

 

Past performance is no guarantee of future results. Performance results do not reflect the deduction of taxes that a shareholder would pay on fund distributions or on the redemption or sale of fund shares.

 

See “About Fund Performance” on page 17 for more information.

7

VANECK VECTORS CHINAAMC CSI 300 ETF

PERFORMANCE COMPARISON

December 31, 2019 (unaudited)

 

   Average Annual Total Returns  Cumulative Total Returns  
         
   Share Price  NAV  CSIH07491  Share Price  NAV  CSIH07491  
One Year  34.86%  35.40%  37.20%  34.86%  35.40%  37.20%  
Five Year  1.22%  1.33%  2.76%  6.23%  6.84%  14.58%  
Life*  2.51%  2.64%  4.28%  25.68%  27.11%  47.09%  
* Commencement of Fund: 10/13/10; First Day of Secondary Market Trading: 10/14/10
1 CSI 300 Index (CSIH0749) is a modified free-float market capitalization weighted index comprised of the largest and most liquid stocks in the Chinese A-share market. Constituent stocks for the CSI 300 Index must have been listed for more than three months (unless the stock’s average daily A-share market capitalization since its initial listing ranks among the top 30 of all A-shares) and must not be experiencing what the index provider believes to be obvious abnormal fluctuations or market manipulation.
   
  Index data as of October 31, 2018 for all periods presented reflect the CSIH0749 stream of the Index which is denominated in USD and converted by the index provider using the “offshore” Renminbi (CNH) exchange rate.

 

    Hypothetical Growth of $10,000 (Since Inception)
     
This chart shows the value of a hypothetical $10,000 investment in the Fund at NAV and at Share Price since inception. The result is compared with the Fund’s benchmark.  

 

Past performance is no guarantee of future results. Performance results do not reflect the deduction of taxes that a shareholder would pay on fund distributions or on the redemption or sale of fund shares.

 

See “About Fund Performance” on page 17 for more information.

8

VANECK VECTORS CHINAAMC SME-CHINEXT ETF

PERFORMANCE COMPARISON

December 31, 2019 (unaudited)

 

   Average Annual Total Returns  Cumulative Total Returns  
         
   Share Price  NAV  CNI61091  Share Price  NAV  CNI61091  
One Year  42.68%  42.80%  44.18%  42.68%  42.80%  44.18%  
Five Year  0.77%  0.96%  3.41%  3.90%  4.90%  18.23%  
Life*  3.61%  3.65%  6.12%  21.29%  21.56%  38.14%  
* Commencement of Fund: 7/23/14; First Day of Secondary Market Trading: 7/24/14
1 The SME-ChiNext Index (CNI6109) is a modified, free-float adjusted index intended to track the performance of the 100 largest and most liquid stocks listed and trading on the Small and Medium Enterprise (“SME”) Board and the ChiNext Board of the Shenzhen Stock Exchange. The SME-ChiNext Index is comprised of A-shares.
   
  Index data as of October 1, 2015 for all periods presented reflect the CNI6109 stream of the Index which is denominated in USD and converted by the index provider using the “offshore” Renminbi (CNH) exchange rate.

 

    Hypothetical Growth of $10,000 (Since Inception)
     
This chart shows the value of a hypothetical $10,000 investment in the Fund at NAV and at Share Price since inception. The result is compared with the Fund’s benchmark.  

 

Past performance is no guarantee of future results. Performance results do not reflect the deduction of taxes that a shareholder would pay on fund distributions or on the redemption or sale of fund shares.

 

See “About Fund Performance” on page 17 for more information.

9

VANECK VECTORS EGYPT INDEX ETF

PERFORMANCE COMPARISON

December 31, 2019 (unaudited)

 

   Average Annual Total Returns  Cumulative Total Returns  
         
   Share Price  NAV  MVEGPTTR1  Share Price  NAV  MVEGPTTR1  
One Year  6.82%  5.42%  7.26%  6.82%  5.42%  7.26%  
Five Year  (11.99)%  (12.33)%  (8.33)%  (47.18)%  (48.22)%  (35.26)%  
Life*  (7.87)%  (7.81)%  (5.69)%  (55.50)%  (55.21)%  (43.89)%  
* Commencement of Fund: 2/16/10; First Day of Secondary Market Trading: 2/18/10
1 MVIS® Egypt Index (MVEGPTTR) is a rules based, modified capitalization weighted, float adjusted index intended to give investors a means of tracking the overall performance of publicly traded companies that are incorporated in Egypt or that are incorporated outside of Egypt but have at least 50% of their revenues/related assets in Egypt.

 

    Hypothetical Growth of $10,000 (Since Inception)
     
This chart shows the value of a hypothetical $10,000 investment in the Fund at NAV and at Share Price since inception. The result is compared with the Fund’s benchmark.  

 

Past performance is no guarantee of future results. Performance results do not reflect the deduction of taxes that a shareholder would pay on fund distributions or on the redemption or sale of fund shares.

 

See “About Fund Performance” on page 17 for more information.

10

VANECK VECTORS INDIA SMALL-CAP INDEX ETF

PERFORMANCE COMPARISON

December 31, 2019 (unaudited)

 

   Average Annual Total Returns  Cumulative Total Returns  
         
   Share Price  NAV  MVSCIFTR1  Share Price  NAV  MVSCIFTR1  
One Year  (21.60)%  (21.65)%  (22.19)%  (21.60)%  (21.65)%  (22.19)%  
Five Year  (4.86)%  (4.83)%  (4.96)%  (22.05)%  (21.92)%  (22.46)%  
Life*  (8.02)%  (8.04)%  (7.92)%  (54.25)%  (54.34)%  (53.76)%  
* Commencement of Fund: 8/24/10; First Day of Secondary Market Trading: 8/25/10
1 MVIS® India Small-Cap Index (MVSCIFTR) is a rules based, modified capitalization weighted, float adjusted index intended to give investors a means of tracking the overall performance of publicly traded small-capitalization companies that are incorporated in India or that are incorporated outside of India but have at least 50% of their revenues/related assets in India.

 

    Hypothetical Growth of $10,000 (Since Inception)
     
This chart shows the value of a hypothetical $10,000 investment in the Fund at NAV and at Share Price since inception. The result is compared with the Fund’s benchmark.  

 

Past performance is no guarantee of future results. Performance results do not reflect the deduction of taxes that a shareholder would pay on fund distributions or on the redemption or sale of fund shares.

 

See “About Fund Performance” on page 17 for more information.

11

VANECK VECTORS INDONESIA INDEX ETF

PERFORMANCE COMPARISON

December 31, 2019 (unaudited)

 

   Average Annual Total Returns  Cumulative Total Returns  
         
   Share Price  NAV  MVIDXTR1  Share Price  NAV  MVIDXTR1  
One Year  6.13%  5.97%  6.36%  6.13%  5.97%  6.36%  
Five Year  0.52%  0.55%  1.09%  2.62%  2.77%  5.55%  
Ten Year  2.86%  2.91%  3.50%  32.58%  33.22%  41.00%  
1 MVIS® Indonesia Index (MVIDXTR) is a rules based, modified capitalization weighted, float adjusted index intended to give investors a means of tracking the overall performance of publicly traded companies that are incorporated in Indonesia or that are incorporated outside of Indonesia but have at least 50% of their revenues/related assets in Indonesia.

 

    Hypothetical Growth of $10,000
     
This chart shows the value of a hypothetical $10,000 investment in the Fund at NAV and at Share Price over the past 10 years. The result is compared with the Fund’s benchmark.  

 

Past performance is no guarantee of future results. Performance results do not reflect the deduction of taxes that a shareholder would pay on fund distributions or on the redemption or sale of fund shares.

 

See “About Fund Performance” on page 17 for more information.

12

VANECK VECTORS ISRAEL ETF

PERFORMANCE COMPARISON

December 31, 2019 (unaudited)

 

   Average Annual Total Returns  Cumulative Total Returns  
         
   Share Price  NAV  BLSNTR1  Share Price  NAV  BLSNTR1  
One Year  26.75%  26.64%  27.26%  26.75%  26.64%  27.26%  
Five Year  4.83%  4.83%  5.23%  26.60%  26.61%  29.03%  
Life*  6.69%  6.69%  7.16%  52.51%  52.48%  56.98%  
* Commencement of Fund: 6/25/13; First Day of Secondary Market Trading: 6/26/13
1 Bluestar Israel Global Index® (BLSNTR) is a rules based, modified capitalization, float adjusted weighted index comprised of equity securities, which may include depositary receipts, of publicly traded companies that are generally considered by the index provider to be Israeli companies.

 

    Hypothetical Growth of $10,000 (Since Inception)
     
This chart shows the value of a hypothetical $10,000 investment in the Fund at NAV and at Share Price since inception. The result is compared with the Fund’s benchmark.  

 

Past performance is no guarantee of future results. Performance results do not reflect the deduction of taxes that a shareholder would pay on fund distributions or on the redemption or sale of fund shares.

 

See “About Fund Performance” on page 17 for more information.

13

VANECK VECTORS RUSSIA ETF

PERFORMANCE COMPARISON

December 31, 2019 (unaudited)

 

   Average Annual Total Returns  Cumulative Total Returns  
         
   Share Price  NAV  MVRSXTR1  Share Price  NAV  MVRSXTR1  
One Year  40.76%  40.40%  40.95%  40.76%  40.40%  40.95%  
Five Year  15.87%  15.01%  15.60%  108.85%  101.23%  106.45%  
Ten Year  0.99%  1.01%  1.14%  10.35%  10.54%  11.99%  
1 MVIS® Russia Index (MVRSXTR) is a rules based, modified capitalization weighted, float adjusted index intended to give investors a means of tracking the overall performance of publicly traded companies that are incorporated in Russia or that are incorporated outside of Russia but have at least 50% of their revenues/related assets in Russia.

 

    Hypothetical Growth of $10,000
     
This chart shows the value of a hypothetical $10,000 investment in the Fund at NAV and at Share Price over the past 10 years. The result is compared with the Fund’s benchmark.  

 

Past performance is no guarantee of future results. Performance results do not reflect the deduction of taxes that a shareholder would pay on fund distributions or on the redemption or sale of fund shares.

 

See “About Fund Performance” on page 17 for more information.

14

VANECK VECTORS RUSSIA SMALL-CAP ETF

PERFORMANCE COMPARISON

December 31, 2019 (unaudited)

 

   Average Annual Total Returns  Cumulative Total Returns  
         
   Share Price  NAV  MVRSXJTR1  Share Price  NAV  MVRSXJTR1  
One Year  38.05%  36.17%  36.68%  38.05%  36.17%  36.68%  
Five Year  16.50%  16.71%  17.56%  114.64%  116.57%  124.50%  
Life*  (5.48)%  (5.52)%  (5.13)%  (38.79)%  (39.03)%  (36.84)%  
* Commencement of Fund: 4/13/11; First Day of Secondary Market Trading: 4/14/11
1 MVIS® Russia Small-Cap Index (MVRSXJTR) is a rules based, modified capitalization weighted, float adjusted index intended to give investors a means of tracking the overall performance of publicly traded small-capitalization companies that are incorporated in Russia or that are incorporated outside of Russia but have at least 50% of their revenues/related assets in Russia.

 

    Hypothetical Growth of $10,000 (Since Inception)
     
This chart shows the value of a hypothetical $10,000 investment in the Fund at NAV and at Share Price since inception. The result is compared with the Fund’s benchmark.  

 

Past performance is no guarantee of future results. Performance results do not reflect the deduction of taxes that a shareholder would pay on fund distributions or on the redemption or sale of fund shares.

 

See “About Fund Performance” on page 17 for more information.

15

VANECK VECTORS VIETNAM ETF

PERFORMANCE COMPARISON

December 31, 2019 (unaudited)

 

   Average Annual Total Returns  Cumulative Total Returns  
         
   Share Price  NAV  MVVNMTR1  Share Price  NAV  MVVNMTR1  
                     
One Year  9.12%  8.86%  9.74%  9.12%  8.86%  9.74%  
Five Year  (1.93)%  (1.47)%  (0.52)%  (9.30)%  (7.13)%  (2.58)%  
Ten Year  (2.73)%  (2.53)%  (1.93)%  (24.17)%  (22.62)%  (17.70)%  
1 MVIS® Vietnam Index (MVVNMTR) is a rules based, modified capitalization weighted, float adjusted index intended to give investors a means of tracking the overall performance of publicly traded companies that are incorporated in Vietnam or that are incorporated outside of Vietnam but have at least 50% of their revenues/related assets in Vietnam.

 

    Hypothetical Growth of $10,000
     
This chart shows the value of a hypothetical $10,000 investment in the Fund at NAV and at Share Price over the past 10 years. The result is compared with the Fund’s benchmark.  

 

Past performance is no guarantee of future results. Performance results do not reflect the deduction of taxes that a shareholder would pay on fund distributions or on the redemption or sale of fund shares.

 

See “About Fund Performance” on page 17 for more information.

16

VANECK VECTORS ETF TRUST

ABOUT FUND PERFORMANCE

(unaudited)

 

The price used to calculate market return (Share Price) is determined by using the closing price listed on its primary listing exchange. Since the shares of each Fund did not trade in the secondary market until after each Fund’s commencement, for the period from commencement to the first day of secondary market trading in shares of each Fund, the NAV of each Fund is used as a proxy for the secondary market trading price to calculate market returns.

 

The performance data quoted represents past performance. Past performance is not a guarantee of future results. Performance information for each Fund may reflect temporary waivers of expenses and/or fees. Had each Fund incurred all expenses, investment returns would have been reduced. These returns do not reflect the deduction of taxes that a shareholder would pay on Fund dividends and distributions or the sale of Fund shares.

 

Investment return and value of the shares of each Fund will fluctuate so that an investor’s shares, when sold, may be worth more or less than their original cost. Performance may be lower or higher than performance data quoted. Fund returns reflect reinvestment of dividends and capital gains distributions. Performance current to the most recent month-end is available by calling 800.826.2333 or by visiting vaneck.com.

 

Fund shares are not individually redeemable and will be issued and redeemed at their NAV only through certain authorized broker-dealers in large, specified blocks of shares called “creation units” and otherwise can be bought and sold only through exchange trading. Shares may trade at a premium or discount to their NAV in the secondary market.

 

The net asset value (NAV) of each VanEck Vectors exchange-traded fund (ETF) is determined at the close of each business day, and represents the dollar value of one share of each fund; it is calculated by taking the total assets of each fund, subtracting total liabilities, and dividing by the total number of shares outstanding. The NAVs are not necessarily the same as each ETF’s intraday trading value. VanEck Vectors ETF investors should not expect to buy or sell fund shares at NAV.

 

Index returns assume the reinvestment of all income and do not reflect any management fees or brokerage expenses associated with Fund returns. Certain indices may take into account withholding taxes. Investors cannot invest directly in the Index. Returns for actual Fund investors may differ from what is shown because of differences in timing, the amount invested and fees and expenses.

 

The Africa Index, Brazil Small-Cap Index, Egypt Index, India Small-Cap Index, Indonesia Index, Russia Index, Russia Small-Cap Index, and Vietnam Index are published by MV Index Solutions GmbH (MVIS®), which is a wholly owned subsidiary of the Adviser, Van Eck Associates Corporation. The CSI 300 Index is published by China Securities Index Co., Ltd. (China Securities) and the SME-ChiNext Index is published by the Shenzhen Securities Information Co., Ltd. (Shenzhen Securities), which is a subsidiary of the Shenzhen Stock Exchange. The Israel Index is published by BlueStar Global Investors, LLC (BlueStar).

 

BlueStar, China Securities, MVIS, and Shenzhen Securities are “Index Providers.” The Index Providers do not sponsor, endorse, or promote the Funds and bear no liability with respect to the Funds or any security.

 

Premium/discount information regarding how often the closing trading price of the Shares of each Fund were above (i.e., at a premium) or below (i.e., at a discount) the NAV of the Fund for each of the four previous calendar quarters and the immediately preceding five years (if applicable) can be found at vaneck.com.

17

VANECK VECTORS ETF TRUST

EXPLANATION OF EXPENSES

(unaudited)

 

Hypothetical $1,000 investment at beginning of period

As a shareholder of a Fund, you incur operating expenses, including management fees and other Fund expenses. This disclosure is intended to help you understand the ongoing costs (in dollars) of investing in your Fund and to compare these costs with the ongoing costs of investing in other mutual funds.

 

The disclosure is based on an investment of $1,000 invested at the beginning of the period and held for the entire period, July 1, 2019 to December 31, 2019.

 

Actual Expenses

The first line in the table below provides information about account values and actual expenses. You may use the information in this line, together with the amount you invested, to estimate the expenses that you paid over the period. Simply divide your account value by $1,000 (for example, an $8,600 account value divided by $1,000 = 8.6), then multiply the result by the number in the first line under the heading entitled “Expenses Paid During the Period.”

 

Hypothetical Example for Comparison Purposes

The second line in the table below provides information about hypothetical account values and hypothetical expenses based on the Fund’s actual expense ratio and an assumed rate of return of 5% per year before expenses, which is not the Fund’s actual return. The hypothetical account values and expenses may not be used to estimate the actual ending account balance or expenses you paid for the period. You may use this information to compare the ongoing costs of investing in your Fund and other funds. To do so, compare this 5% hypothetical example with the 5% hypothetical examples that appear in the shareholder reports of other funds.

 

Please note that the expenses shown in the table are meant to highlight your ongoing costs only and do not reflect any transactional costs, such as brokerage commissions paid on purchases and sales. Therefore, the second line of the table is useful in comparing ongoing costs only, and will not help you determine the relative costs of owning different funds. In addition, if these transactional costs were included, your costs would have been higher.

18

 

 

   Beginning
Account
Value
July 1, 2019
         Ending
Account
Value
December 31, 2019
         Annualized
Expense
Ratio
During Period
         Expenses Paid
During the Period*
July 1, 2019 —
December 31, 2019
Africa Index ETF                                        
Actual  $1,000.00   $975.80    0.79%            $3.93        
Hypothetical**  $1,000.00   $1,021.22    0.79%  $4.02 
Brazil Small-Cap ETF                    
Actual  $1,000.00   $1,177.40    0.60%  $3.29 
Hypothetical**  $1,000.00   $1,022.18    0.60%  $3.06 
ChinaAMC CSI 300 ETF                    
Actual  $1,000.00   $1,059.10    0.60%  $3.11 
Hypothetical**  $1,000.00   $1,022.18    0.60%  $3.06 
ChinaAMC SME-ChiNext ETF                    
Actual  $1,000.00   $1,156.50    0.65%  $3.53 
Hypothetical**  $1,000.00   $1,021.93    0.65%  $3.31 
Egypt Index ETF                    
Actual  $1,000.00   $948.60    1.02%  $5.01 
Hypothetical**  $1,000.00   $1,020.06    1.02%  $5.19 
India Small-Cap Index ETF                    
Actual  $1,000.00   $871.10    0.88%  $4.15 
Hypothetical**  $1,000.00   $1,020.77    0.88%  $4.88 
Indonesia Index ETF                    
Actual  $1,000.00   $1,001.10    0.57%  $2.88 
Hypothetical**  $1,000.00   $1,022.33    0.57%  $2.91 
Israel ETF                    
Actual  $1,000.00   $1,096.40    0.62%  $3.28 
Hypothetical**  $1,000.00   $1,022.08    0.62%  $3.16 
Russia ETF                    
Actual  $1,000.00   $1,111.20    0.62%  $3.30 
Hypothetical**  $1,000.00   $1,022.08    0.62%  $3.16 
Russia Small-Cap ETF                    
Actual  $1,000.00   $1,088.10    0.75%  $3.95 
Hypothetical**  $1,000.00   $1,021.42    0.75%  $3.82 
Vietnam ETF                    
Actual  $1,000.00   $1,002.10    0.68%  $3.43 
Hypothetical**  $1,000.00   $1,021.78    0.68%  $3.47 

 

  * Expenses are equal to the Fund’s annualized expense ratio (for the six months ended December 31, 2019) multiplied by the average account value over the period, multiplied by the number of days in the most recent fiscal half year divided by the number of days in the fiscal year (to reflect the one-half year period).
     
  ** Assumes annual return of 5% before expenses
19

VANECK VECTORS AFRICA INDEX ETF

SCHEDULE OF INVESTMENTS

December 31, 2019

 

Number
of Shares
           Value
           
COMMON STOCKS: 101.4%     
Canada: 11.5%     
 43,329   B2Gold Corp. (USD)  $173,749 
 90,115   Barrick Gold Corp. (USD)   1,675,238 
 114,487   First Quantum Minerals Ltd.   1,162,748 
 338,532   IAMGOLD Corp. (USD) *   1,262,724 
 453,852   Ivanhoe Mines Ltd. *   1,487,466 
         5,761,925 
China / Hong Kong: 2.6%     
 2,997,000   China Molybdenum Co. Ltd. † #   1,285,982 
Egypt: 4.3%     
 423,549   Commercial International Bank Egypt SAE Reg S (GDR)   2,160,100 
India: 1.3%     
 29,354   MakeMyTrip Ltd. (USD) *   672,207 
Kenya: 9.8%     
 362,000   East African Breweries Ltd. #   708,531 
 2,868,100   Equity Group Holdings Plc   1,513,995 
 8,650,700   Safaricom Plc   2,688,673 
         4,911,199 
Morocco: 16.8%     
 57,110   Attijariwafa Bank   2,980,951 
 66,834   Banque Centrale Populaire #   1,939,691 
 46,609   Banque Marocaine du Commerce Exterieur   936,080 
 35,815   Cosumar #   820,460 
 111,071   Maroc Telecom   1,777,601 
         8,454,783 
Nigeria: 10.7%     
 22,923,121   Guaranty Trust Bank Plc   1,875,941 
 5,339,306   MTN Nigeria Communications Plc   1,544,768 
 209,908   Nestle Nigeria Plc   850,170 
 21,763,926   Zenith Bank Ltd.   1,115,422 
         5,386,301 
Singapore: 1.5%     
 4,408,200   Golden Agri-Resources Ltd. #   771,173 
South Africa: 32.1%     
 41,913   Absa Group Ltd. #   447,850 
 3,881   Anglo American Platinum Ltd.   362,838 
 16,114   AngloGold Ashanti Ltd. (ADR)   359,987 
 21,710   Aspen Pharmacare Holdings Ltd. * #   185,447 
 16,584   AVI Ltd. #   105,568 
 6,256   Barloworld Ltd.   50,434 
 15,953   Bid Corp. Ltd. #   376,801 
 14,264   Bidvest Group Ltd. #   208,861 
 3,980   Capitec Bank Holdings Ltd. #   411,553 
 11,481   Clicks Group Ltd. #   210,848 
 17,294   Coronation Fund Managers Ltd. #   49,496 
 24,307   Discovery Ltd. #   209,846 
 11,898   Exxaro Resources Ltd. #   111,400 
 200,104   FirstRand Ltd. #   899,307 
 60,320   Fortress REIT Ltd.   83,081 
 11,705   Foschini Group Ltd. † #   125,228 
Number
of Shares
           Value
         
South Africa: (continued)     
 34,745   Gold Fields Ltd. (USD)  $229,317 
 164,567   Growthpoint Properties Ltd. #   260,386 
 29,187   Harmony Gold Mining Co. Ltd. (USD) *   105,949 
 12,812   Hyprop Investments Ltd.   51,354 
 43,505   Impala Platinum Holdings Ltd. * † #   445,221 
 15,368   Investec Ltd. #   91,267 
 31,365   Investec Plc (GBP) #   184,346 
 6,448   Liberty Holdings Ltd.   51,022 
 65,200   Life Healthcare Group Holdings Ltd.   114,934 
 22,608   Mediclinic International Plc (GBP)   123,274 
 55,293   Momentum Metropolitan Holdings   86,359 
 12,869   Mr Price Group Ltd. #   168,283 
 77,829   MTN Group Ltd. #   459,551 
 26,091   MultiChoice Group Ltd. * #   217,721 
 24,211   Naspers Ltd. #   3,968,430 
 23,641   Nedbank Group Ltd. #   362,568 
 86,318   Netcare Ltd. †   120,124 
 215,113   Old Mutual Ltd. #   302,384 
 19,455   Pick n Pay Stores Ltd.   88,889 
 7,914   Pioneer Foods Ltd. #   62,099 
 11,188   PSG Group Ltd. #   187,526 
 39,305   Rand Merchant Investment Holdings Ltd.   86,685 
 282,793   Redefine Properties Ltd.   152,888 
 25,834   Remgro Ltd. #   360,817 
 16,277   Resilient REIT Ltd.   79,200 
 39,757   RMB Holdings Ltd. #   229,039 
 102,657   Sanlam Ltd. #   580,933 
 20,236   Sappi Ltd. #   63,123 
 27,031   Sasol Ltd. (ADR) †   584,140 
 26,276   Shoprite Holdings Ltd. #   236,708 
 28,407   Sibanye Gold Ltd. (USD) *   282,081 
 9,884   Spar Group Ltd. #   139,856 
 68,929   Standard Bank Group Ltd. #   830,409 
 15,035   Telkom SA SOC Ltd. #   37,490 
 8,910   Tiger Brands Ltd. † #   134,334 
 23,282   Truworths International Ltd. #   82,065 
 21,830   Vodacom Group Ltd. #   180,120 
 51,184   Woolworths Holdings Ltd. #   178,148 
         16,117,585 
United Kingdom: 7.9%     
 65,463   Anglo American Plc #   1,880,830 
 222,181   Centamin Plc #   372,697 
 1,988,535   Tullow Oil Plc #   1,691,590 
         3,945,117 
United States: 2.9%     
 189,213   Kosmos Energy Ltd.   1,078,514 
 2,682   Royal Caribbean Cruises Ltd.   358,074 
         1,436,588 
Zimbabwe: 0.0%     
 32,900   Cassava Smartech Zimbabwe Ltd. *   1,788 
 15,980   Delta Corp. Ltd.   2,080 
         3,868 
Total Common Stocks
(Cost: $43,645,648)
   50,906,828 


 

See Notes to Financial Statements

20

 

 

Number
of Shares
           Value
           
SHORT-TERM INVESTMENT HELD AS COLLATERAL FOR SECURITIES ON LOAN: 1.8%
(Cost: $916,922)
     
Money Market Fund: 1.8%     
 916,922   State Street Navigator Securities Lending Government Money Market Portfolio  $916,922 
Total Investments: 103.2%
(Cost: $44,562,570)
   51,823,750 
Liabilities in excess of other assets: (3.2)%   (1,600,185)
NET ASSETS: 100.0%  $50,223,565 


 

 

Definitions:
ADR American Depositary Receipt
GBP British Pound
GDR Global Depositary Receipt
USD United States Dollar

 

Footnotes:

* Non-income producing
Security fully or partially on loan. Total market value of securities on loan is $1,588,160.
# Security has been valued in good faith pursuant to guidelines established by the Board of Trustees. The aggregate value of fair valued securities is $22,575,983 which represents 45.0% of net assets.
Reg S Security was purchased pursuant to Regulation S under the Securities Act of 1933, which exempts from registration securities offered and sold outside of the United States. Such a security cannot be sold in the United States without either an effective registration statement filed pursuant to the Securities Act of 1933, or pursuant to an exemption from registration.

 

Summary of Investments by Sector
Excluding Collateral for Securities Loaned
  % of Investments  Value 
Communication Services     13.6%           $6,905,924 
Consumer Discretionary   10.9    5,552,435 
Consumer Staples   8.9    4,507,517 
Energy   5.7    2,881,504 
Financials   35.1    17,895,375 
Health Care   1.1    543,779 
Industrials   0.5    259,295 
Materials   23.0    11,734,090 
Real Estate   1.2    626,909 
    100.0%  $50,906,828 

 

See Notes to Financial Statements

21

VANECK VECTORS AFRICA INDEX ETF

SCHEDULE OF INVESTMENTS

(continued)

 

The summary of inputs used to value the Fund’s investments as of December 31, 2019 is as follows:

 

   Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
  Value 
Common Stocks                         
Canada  $5,761,925   $        $      $5,761,925 
China / Hong Kong       1,285,982          1,285,982 
Egypt   2,160,100              2,160,100 
India   672,207              672,207 
Kenya   4,202,668    708,531          4,911,199 
Morocco   5,694,632    2,760,151          8,454,783 
Nigeria   5,386,301              5,386,301 
Singapore       771,173          771,173 
South Africa   3,012,556    13,105,029          16,117,585 
United Kingdom       3,945,117          3,945,117 
United States   1,436,588              1,436,588 
Zimbabwe   3,868              3,868 
Money Market Fund   916,922              916,922 
Total  $29,247,767   $22,575,983     $   $51,823,750 

 

See Notes to Financial Statements

22

VANECK VECTORS BRAZIL SMALL-CAP ETF

SCHEDULE OF INVESTMENTS

December 31, 2019

 

Number
of Shares
           Value
           
COMMON STOCKS: 92.7%     
Automobiles & Components: 1.2%     
 65,800   Mahle-Metal Leve SA Industria e Comercio #  $471,887 
 113,300   Tupy SA #   714,243 
         1,186,130 
Capital Goods: 0.9%     
 147,052   Iochpe Maxion SA #   858,014 
Consumer Durables & Apparel: 16.0%     
 68,350   Arezzo Industria e Comercio SA #   1,089,555 
 193,900   Cia Hering SA #   1,645,222 
 115,900   Construtora Tenda SA #   873,008 
 484,950   Cyrela Brazil Realty SA Empreendimentos e Participacoes #   3,605,934 
 196,500   Even Construtora e Incorporadora SA * #   764,342 
 259,902   EZ Tec Empreendimentos e Participacoes SA #  3,375,028 
 370,000   Grendene SA #   1,132,717 
 145,050   Guararapes Confeccoes SA #   875,411 
 425,000   MRV Engenharia e Participacoes SA #   2,285,685 
         15,646,902 
Consumer Services: 5.9%     
 38,596   Afya Ltd. (USD) * †   1,046,724 
 16,428   Arco Platform Ltd. (USD) *   726,118 
 233,900   BK Brasil Operacao E Assessoria #   1,037,089 
 229,250   CVC Brasil Operadora e Agencia de Viagens SA #   2,505,245 
 70,425   Ser Educacional SA Reg S 144A #   488,184 
         5,803,360 
Energy: 2.3%     
 136,250   Enauta Participacoes SA #   544,703 
 33,700   Modec, Inc. #   813,227 
 112,500   Petro Rio SA * #   931,146 
         2,289,076 
Food, Beverage & Tobacco: 5.3%     
 90,334   Adecoagro SA (USD) *   756,096 
 189,700   Camil Alimentos SA #   425,588 
 329,050   Marfrig Alimentos SA * #   816,441 
 245,500   Minerva SA * #   785,077 
 278,250   Sao Martinho SA #   1,643,845 
 120,500   SLC Agricola SA #   745,030 
         5,172,077 
Health Care Equipment & Services: 8.8%     
 78,800   Centro de Imagem Diagnosticos SA #   356,356 
 378,800   Fleury SA #   2,886,286 
 55,950   Instituto Hermes Pardini SA #   379,963 
 408,500   Odontoprev SA #   1,718,573 
 349,400   Qualicorp SA #   3,234,247 
         8,575,425 
Insurance: 0.4%     
 112,050   Wiz Solucoes e Corretagem de Seguros SA #   393,965 
Number
of Shares
           Value
           
Materials: 7.6%     
 520,125   Duratex SA #  $2,169,682 
 102,352   ERO Copper Corp. * †   1,860,945 
 418,072   Largo Resources Ltd. *   318,733 
 59,539   Rhi Magnesita NV (GBP) #   3,041,124 
         7,390,484 
Media & Entertainment: 1.0%      
 99,700   Smiles Fidelidade SA #   975,789 
Real Estate: 6.5%      
 213,388   Aliansce Sonae Shopping Centers SA #   2,666,209 
 251,950   BR Properties SA * #   910,546 
 28,250   FII BTG Pactual Corporate Office Fund #   827,111 
 147,900   Iguatemi Empresa de Shopping Centers SA #   1,952,554 
         6,356,420 
Retailing: 0.9%     
 104,100   Grupo SBF SA * #   914,370 
Semiconductor: 0.7%      
 18,665   SMART Global Holdings, Inc. *   708,150 
Software & Services: 6.9%      
 239,491   Linx SA (ADR) * †   2,097,941 
 729,289   Sonda SA #   629,095 
 250,150   Totvs SA #   4,021,699 
         6,748,735 
Technology Hardware & Equipment: 0.6%      
 22,061   Ituran Location and Control Ltd. (USD)   554,393 
Telecommunication Services: 1.2%      
 1,247,933   Oi SA (ADR) * †   1,162,574 
Transportation: 6.3%      
 397,800   Cia de Locacao das Americas #   2,253,349 
 295,890   EcoRodovias Infraestrutura e Logistica SA #   1,203,827 
 229,850   Movida Participacoes SA #   1,098,675 
 763,800   Santos Brasil Participacoes SA #   1,556,673 
         6,112,524 
Utilities: 20.2%     
 354,640   AES Tiete Energia SA #   1,419,921 
 345,137   Alupar Investimento SA #   2,369,939 
 108,296   Cia de Saneamento de Minas Gerais SA #   1,836,896 
 153,200   Cia de Saneamento do Parana #   3,876,391 
 237,200   Eneva SA * #   2,582,802 
 368,700   Light SA #   2,186,106 
 93,000   Omega Geracao SA * #   846,060 
 588,650   Transmissora Alianca de Energia Eletrica SA #   4,574,300 
         19,692,415 
Total Common Stocks
(Cost: $64,179,564)
   90,540,803 
PREFERRED STOCKS: 7.2%      
Banks: 0.7%     
 130,250   Banco ABC Brasil SA, 5.42% #   655,514 


 

See Notes to Financial Statements

23

VANECK VECTORS BRAZIL SMALL-CAP ETF

SCHEDULE OF INVESTMENTS

(continued)

 

Number
of Shares
           Value
            
Capital Goods: 1.9%      
 806,709   Marcopolo SA, 1.33% #  $905,059 
 274,200   Randon Implementos e Participacoes SA, 2.68% #   916,666 
         1,821,725 
Materials: 3.3%     
 1,122,850   Metalurgica Gerdau SA, 1.62% #   2,604,020 
 76,127   Unipar Carbocloro SA, 0.73% #   678,163 
         3,282,183 
Utilities: 1.3%     
 155,000   Cia Energetica de Sao Paulo, 2.78% #   1,234,147 
Total Preferred Stocks
(Cost: $3,254,251)
   6,993,569 
Total Investments Before Collateral for Securities Loaned: 99.9%
(Cost: $67,433,815)
   97,534,372 
Number
of Shares
           Value
  
SHORT-TERM INVESTMENT HELD AS COLLATERAL FOR SECURITIES ON LOAN: 1.3%
(Cost: $1,306,142)
    
Money Market Fund: 1.3%      
 1,306,142   State Street Navigator Securities Lending Government Money Market Portfolio  $1,306,142 
Total Investments: 101.2%
(Cost: $68,739,957)
   98,840,514 
Liabilities in excess of other assets: (1.2)%    (1,216,481)
NET ASSETS: 100.0%   $97,624,033 


 

 

Definitions:

ADR American Depositary Receipt
GBP British Pound
USD United States Dollar

 

Footnotes:

* Non-income producing
Security fully or partially on loan. Total market value of securities on loan is $1,811,608.
# Security has been valued in good faith pursuant to guidelines established by the Board of Trustees. The aggregate value of fair valued securities is $88,302,698 which represents 90.5% of net assets.
Reg S Security was purchased pursuant to Regulation S under the Securities Act of 1933, which exempts from registration securities offered and sold outside of the United States. Such a security cannot be sold in the United States without either an effective registration statement filed pursuant to the Securities Act of 1933, or pursuant to an exemption from registration.
144A Security exempt from registration under Rule 144A of the Securities Act of 1933, as amended, or otherwise restricted. These securities may be resold in transactions exempt from registration, unless otherwise noted, and the value amounted to $488,184, or 0.5% of net assets.

 

 

Summary of Investments by Sector
Excluding Collateral for Securities Loaned
  % of Investments  Value 
Communication Services        2.2%         $2,138,363 
Consumer Discretionary   24.1    23,550,762 
Consumer Staples   5.3    5,172,077 
Energy   2.4    2,289,076 
Financials   1.9    1,876,590 
Health Care   8.8    8,575,425 
Industrials   9.0    8,792,263 
Information Technology   8.2    8,011,278 
Materials   10.9    10,672,667 
Real Estate   5.7    5,529,309 
Utilities   21.5    20,926,562 
    100.0%  $97,534,372 

 

See Notes to Financial Statements

24

 

 

The summary of inputs used to value the Fund’s investments as of December 31, 2019 is as follows:

 

   Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
  Value 
Common Stocks                      
Automobiles & Components  $   $1,186,130          $         $1,186,130 
Capital Goods       858,014          858,014 
Consumer Durables & Apparel       15,646,902          15,646,902 
Consumer Services   1,772,842    4,030,518          5,803,360 
Energy       2,289,076          2,289,076 
Food, Beverage & Tobacco   756,096    4,415,981          5,172,077 
Health Care Equipment & Services       8,575,425          8,575,425 
Insurance       393,965          393,965 
Materials   2,179,678    5,210,806          7,390,484 
Media & Entertainment       975,789          975,789 
Real Estate       6,356,420          6,356,420 
Retailing       914,370          914,370 
Semiconductor   708,150              708,150 
Software & Services   2,097,941    4,650,794          6,748,735 
Technology Hardware & Equipment   554,393              554,393 
Telecommunication Services   1,162,574              1,162,574 
Transportation       6,112,524          6,112,524 
Utilities       19,692,415          19,692,415 
Preferred Stock*       6,993,569          6,993,569 
Money Market Fund   1,306,142              1,306,142 
Total  $10,537,816   $88,302,698     $   $98,840,514 

 

*See Schedule of Investments for industry sector breakouts.

 

See Notes to Financial Statements

25

VANECK VECTORS CHINAAMC CSI 300 ETF

SCHEDULE OF INVESTMENTS

December 31, 2019

 

Number
of Shares
           Value
         
COMMON STOCKS: 100.0%     
Automobiles & Components: 2.1%     
 47,500   BAIC BluePark New Energy Technology Co. Ltd. * #  $39,789 
 30,781   Byd Co. Ltd. #   210,866 
 23,009   China Shipbuilding Industry Group Power Co. Ltd. * #   66,145 
 66,285   Chongqing Changan Automobile Co. Ltd. #   95,514 
 47,700   Fuyao Glass Industry Group Co. Ltd. #   164,362 
 40,974   Great Wall Motor Co. Ltd. #   52,153 
 31,580   Guangzhou Automobile Group Co. Ltd. #   53,046 
 53,573   Huayu Automotive Systems Co. Ltd. #   200,082 
 119,163   SAIC Motor Corp. Ltd. #   408,379 
 80,980   Zhejiang Century Huatong Group Co. Ltd. #   133,078 
         1,423,414 
Banks: 16.3%     
 1,302,200   Agricultural Bank of China Ltd. #   690,239 
 503,015   Bank of Beijing Co. Ltd. #   410,551 
 34,900   Bank of Changsha Co. Ltd. #   45,510 
 61,400   Bank of Chengdu Co. Ltd. #   80,076 
 716,400   Bank of China Ltd. #   379,771 
 933,916   Bank of Communications Co. Ltd. #   755,460 
 87,460   Bank of Guiyang Co. Ltd. #   120,176 
 69,760   Bank of Hangzhou Co. Ltd. #   91,829 
 313,900   Bank of Jiangsu Co. Ltd. #   326,695 
 201,771   Bank of Nanjing Co. Ltd. #   254,330 
 95,635   Bank of Ningbo Co. Ltd. #   387,228 
 241,454   Bank of Shanghai Co. Ltd. #   329,376 
 16,600   Bank of Xi’an Co. Ltd.   18,548 
 104,200   China CITIC Bank Corp. Ltd. #   92,374 
 228,300   China Construction Bank Corp. #   237,207 
 541,300   China Everbright Bank Co. Ltd. #   343,019 
 350,589   China Merchants Bank Co. Ltd. #   1,894,873 
 843,717   China Minsheng Banking Corp. Ltd. #   764,842 
 209,256   Huaxia Bank Co. Ltd. #   230,565 
 733,104   Industrial & Commercial Bank of China Ltd. #   619,410 
 494,291   Industrial Bank Co. Ltd. #   1,406,236 
 329,809   Ping An Bank Co. Ltd. #   780,415 
 20,800   Qingdao Rural Commercial Bank Corp.   19,318 
 399,118   Shanghai Pudong Development Bank Co. Ltd. #   709,464 
         10,987,512 
Capital Goods: 8.3%     
 47,100   AVIC Aircraft Co. Ltd. #   110,903 
 30,600   AVIC Aviation Engine Corp. Plc #   95,376 
 10,000   AVIC Helicopter Co. Ltd. #   68,563 
 14,300   AVIC Shenyang Aircraft Co. Ltd. * #   64,932 
 28,700   Beijing New Building Materials Plc #   104,923 
 17,899   China Avionics Systems Co. Ltd. #   36,625 
 79,824   China Communications Construction Co. Ltd. #   105,124 
 93,900   China Gezhouba Group Co. Ltd. #   90,096 
Number
of Shares
           Value
         
Capital Goods: (continued)     
 83,800   China National Chemical Engineering Co. Ltd. #  $77,552 
 156,400   China Railway Construction Corp. Ltd. #   227,879 
 276,908   China Railway Group Ltd. #   236,436 
 311,100   China Shipbuilding Industry Co. Ltd. #   234,383 
 20,100   China Spacesat Co. Ltd. #   61,728 
 713,408   China State Construction Engineering Corp. Ltd. #   576,149 
 330,815   CRRC Corp. Ltd. #   339,578 
 55,458   Fangda Carbon New Material Co. Ltd. * #   96,993 
 29,000   Han’s Laser Technology Co. Ltd. #   166,948 
 83,400   Jiangsu Zhongtian Technology Co. Ltd. #   99,575 
 242,700   Metallurgical Corp. of China Ltd. #   97,663 
 78,511   NARI Technology Co. Ltd. #   239,063 
 260,000   Power Construction Corp. of China Ltd. #   162,193 
 200,400   Sany Heavy Industry Co. Ltd. #   491,711 
 151,348   Shanghai Construction Group Co. Ltd. #   76,982 
 124,200   Shanghai Electric Group Co. Ltd. #   88,933 
 35,349   Shenzhen Inovance Technology Co. Ltd. #   155,752 
 37,089   Siasun Robot & Automation Co. Ltd. * #   74,658 
 54,561   Suzhou Gold Mantis Construction Decoration Co. Ltd. #   69,139 
 126,207   TBEA Co. Ltd. #   120,649 
 162,900   Weichai Power Co. Ltd. #   372,170 
 159,800   XCMG Construction Machinery Co. Ltd. #   125,780 
 48,200   Xiamen C & D, Inc. #   62,319 
 93,900   Xinjiang Goldwind Science and Technology Co. Ltd. #   161,282 
 36,600   Zhejiang Chint Electrics Co. Ltd. #   140,975 
 46,982   Zhejiang Sanhua Intelligent Controls Co. Ltd. #   117,056 
 45,153   Zhengzhou Yutong Bus Co. Ltd. #   92,478 
 176,200   Zoomlion Heavy Industry Science and Technology Co. Ltd. #   169,357 
         5,611,923 
Commercial & Professional Services: 0.3%     
 64,541   Beijing Originwater Technology Co. Ltd. #   70,548 
 12,500   Shanghai M&G Stationery, Inc. #   87,571 
 52,800   Shanghai Yuyuan Tourist Mart Group Co. Ltd.   59,432 
         217,551 
Consumer Durables & Apparel: 5.6%     
 163,628   Gree Electric Appliances, Inc. #   1,543,256 
 16,172   Hangzhou Robam Appliances Co. Ltd. #   78,641 
 165,095   Midea Group Co. Ltd. #   1,384,302 
 4,300   Oppein Home Group, Inc. #   72,242 
 125,300   Qingdao Haier Co. Ltd. #   351,401 


 

See Notes to Financial Statements

26

 

 

Number
of Shares
           Value
         
Consumer Durables & Apparel: (continued)     
 459,800   TCL Corp. #  $295,636 
 5,600   Zhejiang Supor Co. Ltd. #   61,835 
         3,787,313 
Consumer Services: 1.2%     
 33,200   China International Travel Service Corp. Ltd. #   424,612 
 45,094   Heilan Home Co. Ltd. #   49,766 
 23,100   Offcn Education Technology Co. Ltd. #   59,406 
 139,420   Shenzhen Overseas Chinese Town Co. Ltd. #   156,127 
 29,600   Songcheng Performance Development Co. Ltd. #   131,510 
         821,421 
Diversified Financials: 6.9%     
 74,336   Anxin Trust Co. Ltd. * #   47,436 
 183,086   AVIC Capital Co. Ltd. #   127,697 
 63,100   Bohai Capital Holding Co. Ltd. * #   34,494 
 85,400   Caitong Securities Co. Ltd. #   139,473 
 43,800   China Galaxy Securities Co. Ltd. #   73,215 
 11,600   China Great Wall Securities Co. Ltd. #   23,148 
 97,200   China Merchants Securities Co. Ltd. #   255,803 
 9,200   Chinalin Securities Co. Ltd. #   19,787 
 267,500   CITIC Securities Co. Ltd. #   973,755 
 15,200   CSC Financial Co. Ltd. #   66,702 
 46,900   Dongxing Securities Co. Ltd. #   88,704 
 182,620   East Money Information Co. Ltd. #   414,392 
 66,371   Everbright Securities Co. Ltd. #   125,166 
 139,950   Founder Securities Co. Ltd. #   174,579 
 153,250   Guotai Junan Securities Co. Ltd. #   407,664 
 83,630   Guoyuan Securities Co. Ltd. #   151,092 
 275,036   Haitong Securities Co. Ltd. #   611,953 
 7,300   Hithink RoyalFlush Information Network Co. Ltd. #   114,857 
 13,600   Hongta Securities Co. Ltd. *   32,745 
 16,860   Minmetals Capital Co. Ltd. #   20,052 
 121,700   Orient Securities Co. Ltd. #   188,445 
 57,500   SDIC Capital Co. Ltd. #   125,386 
 306,438   Shenwan Hongyuan Group Co. Ltd. #   225,595 
 82,200   Sinolink Securities Co. Ltd. #   110,032 
 17,600   Tianfeng Securities Co. Ltd. #   18,623 
 45,300   Zheshang Securities Co. Ltd. #   72,598 
         4,643,393 
Energy: 2.1%     
 62,200   China Coal Energy Co. Ltd. #   44,871 
 20,100   China Oilfield Services Ltd. #   55,556 
 454,700   China Petroleum and Chemical Corp. #   334,327 
 112,110   China Shenhua Energy Co. Ltd. #   294,030 
 69,100   CNOOC Energy Technology & Services Ltd. *   29,110 
 75,180   Offshore Oil Engineering Co. Ltd. #   79,798 
 330,200   PetroChina Co. Ltd. #   276,734 
 136,007   Shaanxi Coal Industry Co. Ltd. #   175,749 
 41,800   Shanxi Meijin Energy Co. Ltd. * #   56,854 
 30,200   Yanzhou Coal Mining Co. Ltd. #   45,823 
         1,392,852 
Number
of Shares
           Value
         
Financials: 2.0%     
 131,600   Changjiang Securities Co. Ltd. #  $135,158 
 100,556   GF Securities Co. Ltd. #   219,406 
 68,650   Guoyuan Securities Co. Ltd. #   91,511 
 150,004   Huatai Securities Co. Ltd. #   438,165 
 159,350   Industrial Securities Co. Ltd. #   162,357 
 81,600   SooChow Securities Co. Ltd. #   117,378 
 95,928   Southwest Securities Co. Ltd. #   71,586 
 59,514   Western Securities Co. Ltd. #   83,977 
         1,319,538 
Food, Beverage & Tobacco: 12.1%     
 3,900   Anhui Gujing Distillery Co. Ltd. #   76,149 
 27,500   Foshan Haitian Flavouring and Food Co. Ltd. #   425,212 
 26,900   Guangdong Haid Group Co. Ltd. #   139,130 
 14,325   Hebei Yangyuan Zhihui Beverage Co. Ltd. #   59,778 
 33,867   Henan Shuanghui Investment and Development Co. Ltd. #   141,254 
 207,244   Inner Mongolia Yili Industrial Group Co. Ltd. #   922,076 
 20,499   Jiangsu Yanghe Brewery Joint-Stock Co. Ltd. #   325,852 
 17,126   Kweichow Moutai Co. Ltd. #   2,914,686 
 24,893   Luzhou Laojiao Co. Ltd. #   310,347 
 29,400   Muyuan Foodstuff Co. Ltd. #   374,799 
 71,700   New Hope Liuhe Co. Ltd. #   205,700 
 8,860   Shanxi Xinghuacun Fen Wine Factory Co. Ltd. #   114,217 
 66,000   Tongwei Co. Ltd. #   124,489 
 126,385   Wens Foodstuffs Group Co. Ltd. #   610,071 
 66,000   Wuliangye Yibin Co. Ltd. #   1,263,173 
 130,156   Yonghui Superstores Co. Ltd. #   141,029 
         8,147,962 
Health Care Equipment & Services: 1.5%     
 42,162   Aier Eye Hospital Group Co. Ltd. #   239,847 
 17,800   Hangzhou Tigermed Consulting Co. Ltd. #   161,582 
 29,781   Huadong Medicine Co. Ltd. #   104,425 
 19,100   Jointown Pharmaceutical Group Co. Ltd. #   38,838 
 36,300   Lepu Medical Technology Beijing Co. Ltd. #   172,716 
 93,274   Meinian Onehealth Healthcare Holdings Co. Ltd. #   199,636 
 39,173   Shanghai Pharmaceuticals Holding Co. Ltd. #   103,406 
         1,020,450 
Insurance: 8.5%     
 56,611   China Life Insurance Co. Ltd. #   284,084 
 106,817   China Pacific Insurance Group Co. Ltd. #   581,338 
 67,200   Hubei Biocause Pharmaceutical Co. Ltd. #   67,971 
 28,376   New China Life Insurance Co. Ltd. #   200,667 


 

See Notes to Financial Statements

27

VANECK VECTORS CHINAAMC CSI 300 ETF

SCHEDULE OF INVESTMENTS

(continued)

 

Number
of Shares
           Value
         
Insurance: (continued)     
 36,200   People’s Insurance Co. Group of China Ltd. #  $39,527 
 368,220   Ping An Insurance Group Co. of China Ltd. #   4,525,424 
         5,699,011 
Materials: 6.2%     
 222,300   Aluminum Corporation of China Ltd. * #   113,140 
 81,530   Angang Steel Co. Ltd. #   39,258 
 68,000   Anhui Conch Cement Co. Ltd. #   535,439 
 50,300   Baiyin Nonferrous Group Co. Ltd. * #   26,553 
 302,828   Baoshan Iron and Steel Co. Ltd. #   249,873 
 113,400   BBMG Corp. #   60,778 
 30,352   Beijing Oriental Yuhong Waterproof Technology Co. Ltd. #   114,754 
 10,000   Bluestar Adisseo Co. #   15,907 
 71,400   China Jushi Co. Ltd. #   111,864 
 240,200   China Molybdenum Co. Ltd. #   150,688 
 74,070   China Northern Rare Earth Group High-Tech Co. Ltd. #   114,993 
 144,400   Hebei Iron & Steel Co. Ltd. #   53,533 
 71,740   Hengli Petrochemical Co. Ltd. #   166,000 
 38,600   Hengyi Petrochemical Co. Ltd. #   77,339 
 4,780   Hoshine Silicon Industry Co. Ltd. #   20,230 
 114,716   Inner Mongolia Junzheng Energy and Chemical Industry Co. Ltd. * #   51,628 
 774,760   Inner Mongolian Baotou Steel Union Co. Ltd. #   146,992 
 35,300   Jiangxi Copper Co. Ltd. #   85,934 
 26,000   Jiangxi Ganfeng Lithium Co. Ltd. #   130,378 
 34,500   Lomon Billions Group Co. Ltd. #   76,340 
 27,400   Ningxia Baofeng Energy Group Co. Ltd.   37,457 
 146,000   Pangang Group Vanadium Titanium & Resources Co. Ltd. * #   61,274 
 64,200   Rongsheng Petro Chemical Co. Ltd. #   114,363 
 35,300   Shandong Gold Mining Co. Ltd. #   163,940 
 243,740   Shandong Nanshan Aluminum Co. Ltd. #   78,482 
 30,634   Tianqi Lithium Industries, Inc. #   132,975 
 214,700   Tongling Nonferrous Metals Group Co. Ltd. #   71,906 
 44,300   Transfar Zhilian Co. Ltd. #   44,470 
 53,370   Wanhua Chemical Group Co. Ltd. #   431,639 
 20,836   YanAn Bicon Pharmaceutical Listed Co. * #   46,762 
 22,033   Zhejiang Huayou Cobalt Co. Ltd. #   124,113 
 88,500   Zhejiang Longsheng Group Co. Ltd. #   184,201 
 58,646   Zhongjin Gold Corp. Ltd. #   71,029 
 467,300   Zijin Mining Group Co. Ltd. #   306,888 
         4,211,120 
Media & Entertainment: 1.4%     
 25,429   China Film Co. Ltd. #   55,655 
 13,600   China Satellite Communications Co. Ltd. *   22,124 
 349,212   Focus Media Information Technology Co. Ltd. #   314,439 
 20,600   Giant Network Group Co. Ltd. #   53,462 
 18,160   Mango Excellent Media Co. Ltd. * #   91,136 
Number
of Shares
           Value
         
Media & Entertainment: (continued)     
 17,600   Perfect World Co. Ltd. #  $111,810 
 69,967   Shanghai Oriental Pearl Media Co. Ltd. #   94,146 
 28,300   Wanda Film Holding Co. Ltd. * #   73,869 
 35,900   Wuhu Shunrong Sanqi Interactive Entertainment Network Technology Co. Ltd. #   139,002 
         955,643 
Pharmaceuticals / Biotechnology: 5.6%     
 18,600   Beijing Tongrentang Co. Ltd. #   75,300 
 4,800   Changchun High & New Technology Industry Group, Inc. #   308,351 
 8,945   Chengdu Kanghong Pharmaceutical Group Co. Ltd. #   47,446 
 16,300   Chongqing Zhifei Biological Products Co. Ltd. #   116,349 
 19,161   Guangzhou Baiyunshan Pharmaceutical Holdings Co. Ltd. #   98,130 
 28,640   Hualan Biological Engineering, Inc. #   144,765 
 11,100   Hubei Jumpcan Pharmaceutical Co. Ltd. #   38,592 
 105,249   Jiangsu Hengrui Medicine Co. Ltd. #   1,324,213 
 15,600   Shandong Dong-E E-Jiao Co. Ltd. #   79,276 
 34,200   Shanghai Fosun Pharmaceutical Group Co. Ltd. #   130,906 
 67,660   Shanghai RAAS Blood Products Co. Ltd. * #   72,180 
 14,186   Shenzhen Salubris Pharmaceuticals Co. Ltd. #   40,636 
 29,391   Sichuan Kelun Pharmaceutical Co. Ltd. #   99,175 
 30,870   Tasly Pharmaceutical Group Co. Ltd. #   68,382 
 48,439   Tonghua Dongbao Pharmaceutical Co. Ltd. #   88,111 
 41,800   Walvax Biotechnology Co. Ltd. #   194,842 
 24,920   WuXi AppTec Co. Ltd. #   329,842 
 17,401   Yunnan Baiyao Group Co. Ltd. #   223,783 
 10,291   Zhangzhou Pientzehuang Pharmaceutical Co. Ltd. #   162,564 
 43,800   Zhejiang NHU Co. Ltd. #   146,429 
         3,789,272 
Real Estate: 4.6%     
 40,974   China Fortune Land Development Co. Ltd. #   169,082 
 107,559   China Merchants Shekou Industrial Zone Co. Ltd. #   306,969 
 198,367   China Vanke Co. Ltd. #   918,105 
 76,701   Gemdale Corp. #   159,754 
 124,100   Greenland Holdings Corp. Ltd. #   123,863 
 63,000   Jiangsu Zhongnan Construction Group Co. Ltd. #   95,616 
 72,600   Jinke Properties Group Co. Ltd. #   80,039 
 243,304   Poly Real Estate Group Co. Ltd. #   565,664 
 13,700   Red Star Macalline Group Corp. Ltd. #   22,291 
 59,100   RiseSun Real Estate Development Co. Ltd. #   83,487 


 

See Notes to Financial Statements

28

 

 

Number
of Shares
           Value
         
Real Estate: (continued)     
 30,700   Seazen Holdings Co. Ltd. #  $170,654 
 13,600   Shanghai Lingang Holdings Corp. Ltd. #   47,927 
 29,917   Shanghai Lujiazui Finance and Trade Zone Development Co. Ltd. #   58,075 
 55,100   Sunshine City Group Co. Ltd. #   67,360 
 146,181   Xinhu Zhongbao Co. Ltd. #   79,455 
 119,323   Youngor Group Co. Ltd. #   119,528 
         3,067,869 
Retailing: 0.3%     
 110,920   China Grand Automotive Services Co. Ltd. #   51,938 
 126,600   Suning Commerce Group Co. Ltd. #   183,959 
         235,897 
Semiconductor: 1.5%     
 6,567   Gigadevice Semiconductor Beijing, Inc. #   193,073 
 89,778   LONGi Green Energy Technology Co. Ltd. #   320,432 
 83,223   Sanan Optoelectronics Co. Ltd. #   219,673 
 4,600   Shenzhen Goodix Technology Co. Ltd. #   136,473 
 5,900   Will Semiconductor Ltd. #   121,853 
         991,504 
Software & Services: 1.7%     
 13,800   360 Security Technology, Inc. #   46,659 
 38,000   Aisino Co. Ltd. #   126,569 
 52,330   Anhui USTC iFlytek Co. Ltd. #   259,635 
 10,906   Beijing Shiji Information Technology Co. Ltd. #   61,175 
 23,000   Glodon Co. Ltd. #   112,368 
 21,790   Hundsun Technologies, Inc. #   243,760 
 66,131   Wangsu Science and Technology Co. Ltd. #   90,703 
 42,515   Yonyou Network Technology Co. Ltd. #   173,816 
         1,114,685 
Technology Hardware & Equipment: 6.1%     
 8,600   Avary Holding Shenzhen Co. Ltd. #   55,575 
 18,173   AVIC Jonhon OptronicTechnology Co. Ltd. #   101,960 
 805,733   BOE Technology Group Co. Ltd. #   526,648 
 35,600   Chaozhou Three-Circle Group Co. Ltd. #   113,976 
 21,400   Dawning Information Industry Co. Ltd. #   106,459 
 149,000   Dongxu Optoelectronic Technology Co. Ltd. #   71,980 
 23,922   Fiberhome Telecommunication Technologies Co. Ltd. #   94,428 
 60,700   Foxconn Industrial Internet Co. Ltd. #   159,794 
 77,200   GoerTek, Inc. #   221,454 
 2,500   Guangzhou Shiyuan Electronic Technology Co. Ltd. #   30,786 
 127,064   Hangzhou Hikvision Digital Technology Co. Ltd. #   599,030 
 45,280   Hengtong Optic-electric Co. Ltd. #   105,944 
Number
of Shares
           Value
         
Technology Hardware & Equipment: (continued)     
 26,649   Lens Technology Co. Ltd. #  $53,012 
 109,062   Luxshare Precision Industry Co. Ltd. #   573,252 
 64,550   OFILM Group Co. Ltd. * #   144,891 
 38,700   Shengyi Technology Co. Ltd. #   116,409 
 3,500   Shennan Circuits Co. Ltd. #   71,471 
 26,300   Shenzhen Sunway Communication Co. Ltd. * #   171,564 
 80,600   Tsinghua Tongfang Co. Ltd. * #   101,617 
 27,800   Tsinghua Unisplendour Co. Ltd. #   126,281 
 61,395   Zhejiang Dahua Technology Co. Ltd. #   175,779 
 80,820   ZTE Corp. * #   411,831 
         4,134,141 
Telecommunication Services: 0.4%     
 316,478   China United Network Communications Ltd. #   268,032 
Transportation: 2.9%     
 101,600   Air China Ltd. #   141,646 
 131,600   China COSCO Holdings Co. Ltd. * #   99,739 
 152,300   China Eastern Airlines Corp. Ltd. * #   127,300 
 146,200   China Southern Airlines Co. Ltd. #   151,041 
 202,091   Daqin Railway Co. Ltd. #   238,337 
 35,200   Guangzhou Baiyun International Airport Co. Ltd. #   88,389 
 391,100   Hainan Airlines Co. Ltd. * #   97,191 
 134,367   Ningbo Port Co. Ltd. #   73,403 
 16,500   Qingdao Port International Co. Ltd. #   16,309 
 30,000   SF Holding Co. Ltd. #   160,379 
 32,700   Shanghai International Airport Co. Ltd. #   370,474 
 157,500   Shanghai International Port Group Co. Ltd. #   130,818 
 12,500   Spring Airlines Co. Ltd. #   78,882 
 10,400   STO Express Co. Ltd. #   29,131 
 19,300   YTO Express Group Co. Ltd. #   35,118 
 22,740   Yunda Holding Co. Ltd. #   108,952 
         1,947,109 
Utilities: 2.4%     
 211,599   China National Nuclear Power Co. Ltd. #   152,021 
 299,100   China Yangtze Power Co. Ltd. #   790,004 
 400,800   GD Power Development Co. Ltd. #   134,762 
 110,800   Huadian Power International Corp. Ltd. #   58,411 
 61,200   Huaneng Lancang River Hydropower, Inc. #   37,123 
 149,557   Huaneng Power International, Inc. #   119,917 
 115,300   SDIC Power Holdings Co. Ltd. #   152,031 
 59,900   Sichuan Chuantou Energy Co. Ltd. #   84,715 
 138,710   Zhejiang Zheneng Electric Power Co. Ltd. #   78,926 
         1,607,910 
Total Common Stocks
(Cost: $49,818,798)
   67,395,522 
Other assets less liabilities: 0.0%   25,305 
NET ASSETS: 100.0%  $67,420,827 


 

See Notes to Financial Statements

29

VANECK VECTORS CHINAAMC CSI 300 ETF

SCHEDULE OF INVESTMENTS

(continued)

 

Footnotes:

* Non-income producing
# Security has been valued in good faith pursuant to guidelines established by the Board of Trustees. The aggregate value of fair valued securities is $67,176,788 which represents 99.6% of net assets.

 

Summary of Investments by Sector  % of Investments  Value 
Communication Services   1.8%  $1,223,675 
Consumer Discretionary   9.4    6,327,477 
Consumer Staples   12.1    8,147,962 
Energy   2.1    1,392,852 
Financials   33.6    22,649,454 
Health Care   7.1    4,809,722 
Industrials   11.4    7,717,151 
Information Technology   9.3    6,240,330 
Materials   6.2    4,211,120 
Real Estate   4.6    3,067,869 
Utilities           2.4        1,607,910 
    100.0%  $67,395,522 

 

The summary of inputs used to value the Fund’s investments as of December 31, 2019 is as follows:

 

   Level 1
Quoted
Prices
  Level 2
Significant
Observable
Inputs
  Level 3
Significant
Unobservable
Inputs
  Value 
Common Stocks                                   
Automobiles & Components    $     $1,423,414     $   $1,423,414 
Banks           10,987,512          10,987,512 
Capital Goods           5,611,923          5,611,923 
Commercial & Professional Services     59,432      158,119          217,551 
Consumer Durables & Apparel           3,787,313          3,787,313 
Consumer Services           821,421          821,421 
Diversified Financials     32,745      4,610,648          4,643,393 
Energy           1,392,852          1,392,852 
Financials           1,319,538          1,319,538 
Food, Beverage & Tobacco           8,147,962          8,147,962 
Health Care Equipment & Services           1,020,450          1,020,450 
Insurance           5,699,011          5,699,011 
Materials           4,211,120          4,211,120 
Media & Entertainment           955,643          955,643 
Pharmaceuticals / Biotechnology           3,789,272          3,789,272 
Real Estate           3,067,869          3,067,869 
Retailing           235,897          235,897 
Semiconductor           991,504          991,504 
Software & Services           1,114,685          1,114,685 
Technology Hardware & Equipment           4,134,141          4,134,141 
Telecommunication Services           268,032          268,032 
Transportation           1,947,109          1,947,109 
Utilities           1,607,910          1,607,910 
Total    $92,177     $67,303,345     $   $67,395,522 

 

See Notes to Financial Statements

30

VANECK VECTORS CHINAAMC SME-CHINEXT ETF

SCHEDULE OF INVESTMENTS

December 31, 2019

 

Number
of Shares
           Value
         
COMMON STOCKS: 100.0%     
Automobiles & Components: 2.0%     
 62,622   Byd Co. Ltd. #  $428,993 
 95,500   Zhejiang Century Huatong Group Co. Ltd. #   156,939 
         585,932 
Banks: 2.9%     
 203,532   Bank of Ningbo Co. Ltd. #   824,106 
 45,300   Qingdao Rural Commercial Bank Corp. #   42,184 
         866,290 
Capital Goods: 10.0%     
 136,100   AVIC Electromechanical Systems Co. Ltd. #   135,742 
 62,200   Contemporary Amperex Technology Co. Ltd. * #   951,483 
 39,205   Eve Energy Co. Ltd. * #   283,136 
 65,800   Han’s Laser Technology Co. Ltd. #   378,799 
 83,290   Shenzhen Inovance Technology Co. Ltd. #   366,985 
 91,222   Siasun Robot & Automation Co. Ltd. * #   183,625 
 105,449   Suzhou Gold Mantis Construction Decoration Co. Ltd. #   133,623 
 192,330   Xinjiang Goldwind Science and Technology Co. Ltd. #   330,345 
 90,426   Zhejiang Sanhua Intelligent Controls Co. Ltd. #   225,296 
         2,989,034 
Commercial & Professional Services: 0.5%     
 132,663   Beijing Originwater Technology Co. Ltd. #   145,010 
Consumer Durables & Apparel: 2.0%     
 35,980   Hangzhou Robam Appliances Co. Ltd. #   174,962 
 98,176   NavInfo Co. Ltd. #   227,295 
 44,500   Zhejiang Semir Garment Co. Ltd. #   63,118 
 12,223   Zhejiang Supor Co. Ltd. #   134,966 
         600,341 
Consumer Services: 1.2%     
 41,900   Offcn Education Technology Co. Ltd. #   107,754 
 54,821   Songcheng Performance Development Co. Ltd. #   243,565 
         351,319 
Diversified Financials: 7.0%     
 72,300   China Great Wall Securities Co. Ltd. #   144,316 
 384,575   East Money Information Co. Ltd. #   872,658 
 177,880   First Capital Securities Co. Ltd. #   212,145 
 164,143   Guoyuan Securities Co. Ltd. #   296,553 
 15,300   Hithink RoyalFlush Information Network Co. Ltd. #   240,727 
 120,700   Shanxi Securities Co. Ltd. #   143,958 
 136,054   Western Securities Co. Ltd. #   191,979 
         2,102,336 
Food, Beverage & Tobacco: 11.6%     
 28,800   Fujian Sunner Development Co. Ltd. #   99,637 
 52,400   Guangdong Haid Group Co. Ltd. #   271,019 
 311,400   Guangdong Wens Foodstuffs Group Co. Ltd. #   1,503,154 
Number
of Shares
           Value
         
Food, Beverage & Tobacco: (continued)     
 41,938   Jiangsu Yanghe Brewery Joint-Stock Co. Ltd. #  $666,646 
 98,100   Jiangxi Zhengbang Technology Co. Ltd.   228,167 
 54,900   Muyuan Foodstuff Co. Ltd. #   699,880 
         3,468,503 
Health Care Equipment & Services: 8.4%     
 98,255   Aier Eye Hospital Group Co. Ltd. #   558,952 
 45,320   Jiangsu Yuyue Medical Equipment & Supply Co. Ltd. #   132,327 
 86,598   Lepu Medical Technology Beijing Co. Ltd. #   412,034 
 192,916   Meinian Onehealth Healthcare Holdings Co. Ltd. #   412,902 
 30,400   Shenzhen Mindray Bio-Medical Electronics Co. Ltd. #   794,876 
 95,551   Winning Health Technology Group Co. Ltd. #   206,033 
         2,517,124 
Household & Personal Products: 0.4%     
 57,400   By-health Co. Ltd. #   134,546 
Materials: 4.9%     
 63,269   Beijing Oriental Yuhong Waterproof Technology Co. Ltd. #   239,207 
 57,700   Jiangxi Ganfeng Lithium Co. Ltd. #   289,339 
 77,600   Lomon Billions Group Co. Ltd. #   171,709 
 126,000   Rongsheng Petrochemical Co. Ltd. #   224,450 
 87,750   Sansteel Minguang Co. Ltd., Fujian #   118,069 
 71,136   Tianqi Lithium Industries, Inc. #   308,785 
 95,200   Zhejiang Transfar Co. Ltd. #   95,566 
         1,447,125 
Media & Entertainment: 6.5%     
 71,610   Beijing Enlight Media Co. Ltd. #   121,488 
 833,760   Focus Media Information Technology Co. Ltd. #   750,738 
 34,180   Giant Network Group Co. Ltd. #   88,706 
 42,670   Mango Excellent Media Co. Ltd. * #   214,139 
 42,600   Perfect World Co. Ltd. #   270,631 
 56,150   Wanda Film Holding Co. Ltd. * #   146,564 
 88,400   Wuhu Shunrong Sanqi Interactive Entertainment Network Technology Co. Ltd. #   342,278 
         1,934,544 
Pharmaceuticals / Biotechnology: 8.9%     
 12,900   BGI Genomics Co. Ltd. #   127,418 
 20,600   Chengdu Kanghong Pharmaceutical Group Co. Ltd. #   109,266 
 38,600   Chongqing Zhifei Biological Products Co. Ltd. #   275,526 
 38,600   Hangzhou Tigermed Consulting Co. Ltd. #   350,396 
 60,790   Hualan Biological Engineering, Inc. #   307,271 
 146,463   Shanghai RAAS Blood Products Co. Ltd. * #   156,247 
 21,300   Shenzhen Kangtai Biological Products Co. Ltd. #   268,724 


 

See Notes to Financial Statements

31

VANECK VECTORS CHINAAMC SME-CHINEXT ETF

SCHEDULE OF INVESTMENTS

(continued)

 

Number
of Shares
           Value
         
Pharmaceuticals / Biotechnology: (continued)     
 27,340   Shenzhen Salubris Pharmaceuticals Co. Ltd. #  $78,316 
 71,598   Sichuan Kelun Pharmaceutical Co. Ltd. #   241,596 
 95,500   Walvax Biotechnology Co. Ltd. * #   445,153 
 87,870   Zhejiang NHU Co. Ltd. #   293,760 
         2,653,673 
Real Estate: 0.6%     
 130,700   RiseSun Real Estate Development Co. Ltd. #   184,633 
Retailing: 1.3%     
 259,338   Suning Commerce Group Co. Ltd. #   376,836 
Semiconductor: 0.8%     
 135,720   Tianjin Zhonghuan Semiconductor Joint-Stock Co. Ltd. #   230,213 
Software & Services: 7.5%     
 118,850   Anhui USTC iFlytek Co. Ltd. #   589,673 
 24,490   Beijing Shiji Information Technology Co. Ltd. #   137,371 
 80,700   Beijing Sinnet Technology Co. Ltd. #   232,769 
 146,358   DHC Software Co. Ltd. #   217,079 
 55,575   Glodon Software Co. Ltd. #   271,515 
 11,700   Sangfor Technologies, Inc.   192,151 
 340,163   Shanghai 2345 Network Holding Group Co. Ltd. #   157,974 
 46,800   Venustech Group, Inc. #   227,389 
 143,650   Wangsu Science and Technology Co. Ltd. #   197,026 
         2,222,947 
Technology Hardware & Equipment: 21.0%     
 18,800   Avary Holding Shenzhen Co. Ltd. #   121,450 
 42,161   AVIC Jonhon Optronic Technology Co. Ltd. #   236,545 
 80,900   Chaozhou Three-Circle Group Co. Ltd. #   259,007 
 165,616   GoerTek, Inc. #   475,081 
 134,500   Guangdong LY Intelligent Manufacturing Co. Ltd. * #   210,465 
Number
of Shares
           Value
         
Technology Hardware & Equipment: (continued)     
 127,400   Guangzhou Haige Communications Group, Inc. Co. #  $198,324 
 5,700   Guangzhou Shiyuan Electronic Technology Co. Ltd. #   70,193 
 266,295   Hangzhou Hikvision Digital Technology Co. Ltd. #   1,255,420 
 62,268   Lens Technology Co. Ltd. #   123,868 
 238,877   Luxshare Precision Industry Co. Ltd. #   1,255,587 
 16,500   NAURA Technology Group Co. Ltd. #   208,753 
 148,962   OFILM Group Co. Ltd. * #   334,365 
 8,000   Shennan Circuits Co. Ltd. #   163,326 
 62,101   Shenzhen Sunway Communication Co. Ltd. * #   405,105 
 30,400   Unigroup Guoxin Microelectronics Co. Ltd. #   222,096 
 90,500   WUS Printed Circuit Kunshan Co. Ltd. #   288,833 
 8,100   Yealink Network Technology Corp. Ltd. #   84,325 
 122,405   Zhejiang Dahua Technology Co. Ltd. #   350,456 
         6,263,199 
Transportation: 2.0%     
 69,900   SF Holding Co. Ltd. #   373,684 
 20,100   STO Express Co. Ltd. #   56,302 
 36,088   Yunda Holding Co. Ltd. #   172,905 
         602,891 
Utilities: 0.5%     
 166,800   CGN Power Co. Ltd. * #   85,740 
 49,500   Jiangsu Guoxin Corp. Ltd. * #   54,881 
         140,621 
Total Common Stocks
(Cost: $21,526,891)
   29,817,117 
Liabilities in excess of other assets: 0.0%   (10,782)
NET ASSETS: 100.0%  $29,806,335 


 

 

Footnotes:

* Non-income producing
# Security has been valued in good faith pursuant to guidelines established by the Board of Trustees. The aggregate value of fair valued securities is $29,396,779 which represents 98.6% of net assets.

 

See Notes to Financial Statements

32

 

 

Summary of Investments by Sector  % of Investments  Value 
Communication Services   6.5%  $1,934,544 
Consumer Discretionary   6.4    1,914,428 
Consumer Staples           12.1     3,603,049 
Financials   10.0    2,968,626 
Health Care   17.3    5,170,797 
Industrials   12.5    3,736,935 
Information Technology   29.2    8,716,359 
Materials   4.9    1,447,125 
Real Estate   0.6    184,633 
Utilities   0.5    140,621 
    100.0%  $29,817,117 

 

The summary of inputs used to value the Fund’s investments as of December 31, 2019 is as follows:

 

   Level 1
Quoted
Prices
  Level 2
Significant
Observable
Inputs
  Level 3
Significant
Unobservable
Inputs
  Value 
Common Stocks                                   
Automobiles & Components    $     $585,932     $   $585,932 
Banks           866,290          866,290 
Capital Goods           2,989,034          2,989,034 
Commercial & Professional Services           145,010          145,010 
Consumer Durables & Apparel           600,341          600,341 
Consumer Services           351,319          351,319 
Diversified Financials           2,102,336          2,102,336 
Food, Beverage & Tobacco     228,167      3,240,336          3,468,503 
Health Care Equipment & Services           2,517,124          2,517,124 
Household & Personal Products           134,546          134,546 
Materials           1,447,125          1,447,125 
Media & Entertainment           1,934,544          1,934,544 
Pharmaceuticals / Biotechnology           2,653,673          2,653,673 
Real Estate           184,633          184,633 
Retailing           376,836          376,836 
Semiconductor           230,213          230,213 
Software & Services     192,151      2,030,796          2,222,947 
Technology Hardware & Equipment           6,263,199          6,263,199 
Transportation           602,891          602,891 
Utilities           140,621          140,621 
Total    $420,318     $29,396,779     $   $29,817,117 

 

See Notes to Financial Statements

33

VANECK VECTORS EGYPT INDEX ETF

SCHEDULE OF INVESTMENTS

December 31, 2019

 

Number
of Shares
           Value
         
COMMON STOCKS: 97.8%     
Banks: 8.4%     
 515,556   Commercial International Bank Egypt SAE Reg S (GDR)  $2,629,336 
Capital Goods: 5.4%     
 2,361,122   El Sewedy Electric Co.   1,691,770 
Consumer Durables & Apparel: 2.8%     
 1,319,716   Oriental Weavers   868,299 
Consumer Services: 1.7%     
 628,167   Cairo Investment & Real Estate Development Co. SAE   543,237 
Diversified Financials: 13.6%     
 3,158,573   CI Capital Holding for Financial Investments *   905,261 
 476,232   Egyptian Financial Group-Hermes Holding Co. Reg S (GDR)   1,047,710 
 905,899   Egyptian Financial Group-Hermes Holding SAE #   957,733 
 2,429,749   Pioneers Holding *   793,264 
 3,839,727   Qalaa Holdings SAE *   583,734 
         4,287,702 
Food, Beverage & Tobacco: 11.1%     
 2,301,665   Eastern Co. SAE   2,234,264 
 2,336,318   Juhayna Food Industries   1,256,226 
         3,490,490 
Health Care Equipment & Services: 10.4%     
 4,806,419   Cleopatra Hospital *   1,805,776 
 2,395,381   Ibnsina Pharma SAE #   1,459,412 
         3,265,188 
Materials: 17.5%     
 2,185,338   Alexandria Mineral Oils Co. #   494,712 
 851,809   Centamin Plc #   1,428,864 
 1,836,253   Egyptian Kuwaiti Holding Co. (USD)   2,425,690 
 1,041,822   Ezz Steel Co. SAE *   675,724 
 829,125   Sidi Kerir Petrochemcials Co.   463,897 
         5,488,887 
Number
of Shares
           Value
         
Real Estate: 21.5%     
 3,321,092   Emaar Misr for Development SAE * #  $604,923 
 702,827   Heliopolis Housing #   1,035,673 
 4,629,565   Medinet Nasr Housing *   1,390,312 
 8,440,427   Palm Hills Developments SAE *   919,244 
 1,161,991   Six of October Development & Investment Co. #   959,620 
 3,591,609   Talaat Moustafa Group   1,828,252 
         6,738,024 
Telecommunication Services: 5.4%     
 14,201,909   Orascom Telecom Media and Technology Holding SAE * #   482,781 
 1,925,682   Telecom Egypt #   1,206,510 
         1,689,291 
Total Common Stocks
(Cost: $28,413,440)
   30,692,224 
Other assets less liabilities: 2.2%   701,889 
NET ASSETS: 100.0%  $31,394,113 


 

 

Definitions:

GDR Global Depositary Receipt
USD United States Dollar

 

Footnotes:

* Non-income producing
# Security has been valued in good faith pursuant to guidelines established by the Board of Trustees. The aggregate value of fair valued securities is $8,630,228 which represents 27.5% of net assets.
Reg S Security was purchased pursuant to Regulation S under the Securities Act of 1933, which exempts from registration securities offered and sold outside of the United States. Such a security cannot be sold in the United States without either an effective registration statement filed pursuant to the Securities Act of 1933, or pursuant to an exemption from registration.

 

See Notes to Financial Statements

34

 

 

Summary of Investments by Sector  % of Investments  Value 
Communication Services          5.5%  $1,689,291 
Consumer Discretionary   4.6    1,411,536 
Consumer Staples   11.4    3,490,490 
Financials   22.5    6,917,038 
Health Care   10.6    3,265,188 
Industrials   5.5    1,691,770 
Materials   17.9    5,488,887 
Real Estate   22.0    6,738,024 
    100.0%  $30,692,224 

 

The summary of inputs used to value the Fund’s investments as of December 31, 2019 is as follows:

 

   Level 1
Quoted
Prices
  Level 2
Significant
Observable
Inputs
  Level 3
Significant
Unobservable
Inputs
  Value 
Common Stock                                   
Banks    $2,629,336     $     $    $2,629,336 
Capital Goods     1,691,770                1,691,770 
Consumer Durables & Apparel     868,299                868,299 
Consumer Services     543,237                543,237 
Diversified Financials     3,329,969      957,733          4,287,702 
Food, Beverage & Tobacco     3,490,490                3,490,490 
Health Care Equipment & Services     1,805,776      1,459,412          3,265,188 
Materials     3,565,311      1,923,576          5,488,887 
Real Estate     4,137,808      2,600,216          6,738,024 
Telecommunication Services           1,689,291          1,689,291 
Total    $22,061,996     $8,630,228     $   $30,692,224 

 

See Notes to Financial Statements

35

VANECK VECTORS INDIA SMALL-CAP INDEX ETF

SCHEDULE OF INVESTMENTS (a)

December 31, 2019

 

Number
of Shares
           Value
      
COMMON STOCKS: 99.9%     
Automobiles & Components: 1.3%     
 69,046   Ceat Ltd. #  $956,653 
 466,396   Jamna Auto Industries Ltd. #   304,819 
 288,210   JK Tyre & Industries Ltd. #   302,547 
         1,564,019 
Banks: 6.6%     
 1,746,649   Andhra Bank *   408,655 
 155,854   Can Fin Homes Ltd. #   858,877 
 771,487   Development Credit Bank Ltd. #   1,858,214 
 918,313   Dewan Housing Finance Corp. Ltd. *   216,140 
 63,032   GIC Housing Finance Ltd. #   138,106 
 1,086,324   Jammu & Kashmir Bank Ltd. * #   454,494 
 675,359   Karnataka Bank Ltd. #   682,158 
 1,559,024   Karur Vysya Bank Ltd. #   1,316,507 
 328,432   Lakshmi Vilas Bank Ltd. *   79,372 
 801,905   Oriental Bank of Commerce * #   585,096 
 4,324,765   South Indian Bank Ltd. #   612,291 
 2,094,172   Syndicate Bank * #   816,157 
         8,026,067 
Capital Goods: 17.2%      
 48,744   BEML Ltd. #   672,400 
 160,087   Dilip Buildcon Ltd. Reg S 144A #   903,604 
 739,642   Engineers India Ltd. #   1,026,048 
 304,883   Escorts Ltd. #   2,691,833 
 228,684   Graphite India Ltd. #   972,432 
 285,840   Greaves Cotton Ltd. #   536,317 
 58,465   HEG Ltd. #   874,042 
 3,615,744   Hindustan Construction Co. Ltd. *   509,095 
 33,851   IndiaMart InterMesh Ltd. Reg S 144A * #   978,921 
 719,892   IRB Infrastructure Developers Ltd. * #   751,648 
 1,452,472   Jain Irrigation Systems Ltd.   161,774 
 310,082   Kajaria Ceramics Ltd. #   2,282,380 
 300,918   KEC International Ltd. #   1,274,010 
 186,117   KEI Industries Ltd.   1,194,877 
 731,553   MMTC Ltd. #   192,297 
 1,816,206   Nagarjuna Construction Co. Ltd. #   1,425,466 
 429,707   Nava Bharat Ventures Ltd. #   448,987 
 2,106,872   NBCC India Ltd. #   1,028,895 
 40,500   Nissei ASB Machine Co. Ltd. #   1,758,125 
 214,112   Praj Industries Ltd. #   307,868 
 1,220,242   Rail Vikas Nigam Ltd. Reg S #   392,398 
 12,712,876   Suzlon Energy Ltd. * #   330,107 
 263,194   Texmaco Rail & Engineering Ltd. #   122,388 
 173,329   Welspun Enterprises Ltd.   185,281 
         21,021,193 
Commercial & Professional Services: 1.7%      
 208,442   Quess Corp. Ltd. Reg S 144A *   1,415,299 
 158,503   RITES Ltd. #   643,669 
         2,058,968 
Consumer Durables & Apparel: 6.5%      
 36,808   Amber Enterprises India Ltd. #   576,352 
 618,386   Arvind Ltd. #   346,224 
 119,924   Bajaj Electricals Ltd. #   601,783 
 241,746   Bombay Dyeing & Manufacturing Co. Ltd. #   268,861 
 13,537   Dixon Technologies India Ltd. Reg S #   720,874 
           
Number
of Shares
           Value
           
Consumer Durables & Apparel: (continued)    
 115,243   Himatsingka Seide Ltd.  $200,365 
 234,706   Jindal Worldwide Ltd.   208,143 
 29,558   LUX Industries Ltd.   531,979 
 71,846   Raymond Ltd. #   673,570 
 285,899   Swan Energy Ltd. #   433,468 
 71,948   TCNS Clothing Co. Ltd. Reg S 144A *   625,857 
 5,716,208   Trident Ltd.   536,559 
 14,873   TTK Prestige Ltd.   1,190,423 
 165,410   VIP Industries Ltd. #   1,000,836 
         7,915,294 
Consumer Services: 1.5%    
 1,298,085   Chennai Super Kings Cricket Ltd. * # ø   164,038 
 317,129   Delta Corp. Ltd.   879,925 
 927,313   Lemon Tree Hotels Ltd. Reg S 144A *   831,459 
         1,875,422 
Diversified Financials: 5.4%    
 52,700   BSE Ltd. #   370,286 
 170,827   Capri Global Capital Ltd. #   485,402 
 99,141   Care Ratings Ltd. #   887,805 
 122,316   Central Depository Services India Ltd. Reg S #   381,663 
 3,737,027   IDFC Ltd.   2,054,947 
 3,639,413   IFCI Ltd. * #   336,524 
 84,564   Multi Commodity Exchange of India Ltd. #   1,384,655 
 614,621   Reliance Capital Ltd. *   127,009 
 115,943   Repco Home Finance Ltd. #   515,620 
         6,543,911 
Energy: 0.4%    
 174,298   Chennai Petroleum Corp. Ltd. * #   301,557 
 154,789   Hindustan Oil Exploration Co. Ltd. * #   196,922 
         498,479 
Food, Beverage & Tobacco: 6.7%    
 159,474   Avanti Feeds Ltd. #   1,305,591 
 633,037   Balrampur Chini Mills Ltd. #   1,627,515 
 81,667   Bombay Burmah Trading Co. #   1,189,105 
 50,715   Godfrey Phillips India Ltd. #   904,208 
 138,547   Kaveri Seed Co. Ltd. #   987,622 
 164,092   Parag Milk Foods Ltd. Reg S 144A #   308,044 
 260,256   Radico Khaitan Ltd. #   1,143,688 
 290,216   Triveni Engineering & Industries Ltd.   289,288 
 16,489   Venky’s India Ltd. #   406,971 
         8,162,032 
Health Care Equipment & Services: 0.9%    
 314,469   Max India Ltd. *   359,944 
 173,155   Take Solutions Ltd. #   242,005 
 61,800   Thyrocare Technologies Ltd. Reg S 144A   475,460 
         1,077,409 
Materials: 15.4%    
 130,716   Advanced Enzyme Technologies Ltd. Reg S   303,083 
 34,719   Atul Ltd.   1,970,347 
 194,190   Bhansali Engineering Polymers Ltd.   141,470 
 260,050   Century Plyboards India Ltd.   585,109 


See Notes to Financial Statements

36

 

 

Number
of Shares
           Value
           
Materials: (continued)    
 487,163   Chambal Fertilizers & Chemicals Ltd. # $   1,039,586 
 182,528   DCM Shriram Ltd. #   1,009,471 
 207,170   EID Parry India Ltd. #   585,014 
 114,958   GHCL Ltd. #   296,915 
 181,915   Gujarat Narmada Valley Fertilizers Co. Ltd. #   417,408 
 490,086   Himadri Speciality Chemical Ltd.   416,426 
 541,477   Hindustan Copper Ltd. #   297,867 
 604,550   India Cements Ltd. #   604,644 
 46,550   International Paper APPM Ltd. * #   187,400 
 234,981   Jai Corp. Ltd. #   300,141 
 576,995   Jindal Saw Ltd. #   590,883 
 276,158   Jindal Stainless Hisar Ltd. * #   292,945 
 137,731   JK Lakshmi Cement Ltd. #   540,287 
 208,631   JK Paper Ltd. #   363,140 
 39,353   Kiri Industries Ltd. #   221,430 
 297,671   Meghmani Organics Ltd. #   238,662 
 173,596   Mishra Dhatu Nigam Ltd. Reg S 144A   380,374 
 301,527   MOIL Ltd.   618,869 
 2,183,677   National Aluminium Co. Ltd. #   1,336,154 
 334,958   National Fertilizers Ltd. #   122,210 
 17,467   Nilkamal Ltd.   319,078 
 193,829   NOCIL Ltd. #   275,679 
 201,718   Phillips Carbon Black Ltd. #   334,773 
 589,171   Prism Johnson Ltd. #   518,733 
 393,687   Rain Industries Ltd. #   544,338 
 227,623   Rallis India Ltd.   536,385 
 645,742   Rashtriya Chemicals & Fertilizers Ltd.   422,484 
 151,629   SH Kelkar & Co. Ltd. Reg S 144A * #   234,336 
 81,029   Sudarshan Chemical Industries #   462,424 
 63,685   Surya Roshni Ltd. #   141,676 
 81,010   Tamil Nadu Newsprint & Papers Ltd. #   191,336 
 32,873   Tata Metaliks Ltd.   282,062 
 122,512   Tinplate Co. of India Ltd. #   244,721 
 84,522   Uflex Ltd.   239,256 
 559,797   Welspun Corp. Ltd. #   1,131,969 
         18,739,085 
Media & Entertainment: 5.7%     
 116,372   DEN Networks Ltd. *   78,909 
 2,155,159   Dish TV India Ltd. * #   395,809 
 407,228   Eros International Plc (USD) *   1,380,503 
 113,897   Just Dial Ltd. *   911,694 
 125,074   PVR Ltd. #   3,328,275 
 69,833   TV Today Network Ltd. #   236,166 
 2,173,852   TV18 Broadcast Ltd. * #   644,887 
         6,976,243 
Pharmaceuticals / Biotechnology: 10.3%     
 120,732   Bliss Gvs Pharma Ltd. #   254,842 
 607,586   Granules India Ltd.   1,047,853 
 215,678   Ipca Laboratories Ltd. #   3,434,396 
 93,916   JB Chemicals & Pharmaceuticals Ltd.   560,050 
 349,568   Jubilant Life Sciences Ltd.   2,629,909 
 19,430   Procter & Gamble Health Ltd.   1,188,669 
 200,905   Strides Pharma Science Ltd. #   1,019,538 
 408,929   Sun Pharma Advanced Research Co. Ltd. * #   895,966 
 248,304   Suven Life Sciences Ltd. #   1,068,818 
Number
of Shares
           Value
           
Pharmaceuticals / Biotechnology: (continued)
 140,404   Wockhardt Ltd. * #  $460,856 
         12,560,897 
Real Estate: 3.1%     
 532,501   Anant Raj Industries Ltd.   253,650 
 1,552,183   Indiabulls Real Estate Ltd. *   1,421,095 
 214,082   OMAXE Ltd. #   465,120 
 111,016   Sobha Developers Ltd. #   624,540 
 171,295   Sunteck Realty Ltd. #   999,105 
         3,763,510 
Retailing: 0.9%     
 776,845   Infibeam Avenues Ltd. #   598,284 
 943,954   PC Jeweller Ltd. * #   322,259 
 61,950   Yatra Online, Inc. (USD) *   195,143 
         1,115,686 
Software & Services: 11.2%     
 796,089   Birlasoft Ltd.   788,526 
 811,567   Firstsource Solutions Ltd. #   467,457 
 154,794   Intellect Design Arena Ltd. * #   300,137 
 33,394   Majesco Ltd. #   178,059 
 57,623   Mastek Ltd.   337,690 
 81,449   Newgen Software Technologies Ltd.   222,456 
 402,213   NIIT Ltd.   528,277 
 91,312   NIIT Technologies Ltd. #   2,033,916 
 182,636   Persistent Systems Ltd.   1,724,954 
 153,859   Sonata Software Ltd.   666,495 
 72,839   Tata Elxsi Ltd. #   843,217 
 2,531,704   Vakrangee Software Ltd. #   1,694,397 
 85,874   Virtusa Corp. *   3,892,668 
         13,678,249 
Technology Hardware & Equipment: 1.8%     
 872,876   Redington India Ltd.   1,440,564 
 472,736   Sterlite Technologies Ltd. #   785,957 
         2,226,521 
Telecommunication Services: 0.6%     
 3,069,327   Himachal Futuristic Communications Ltd.   754,666 
Transportation: 1.5%     
 32,773   Dredging Corp. of India Ltd. #   152,978 
 212,108   Gateway Distriparks Ltd.   363,279 
 83,671   Mahindra Logistics Ltd. Reg S 144A #   471,503 
 545,211   Shipping Corp. of India Ltd. * #   473,671 
 105,746   VRL Logistics Ltd. #   407,333 
         1,868,764 
Utilities: 1.2%     
 866,183   PTC India Ltd. #   686,420 
 626,833   Reliance Infrastructure Ltd. *   258,187 
 3,283,358   Reliance Power Ltd. *   160,998 
 130,696   VA Tech Wabag Ltd. *   334,164 
         1,439,769 
Total Common Stocks
(Cost: $129,945,612)
   121,866,184 
Other assets less liabilities: 0.1%   171,331 
NET ASSETS: 100.0%  $122,037,515 


 

See Notes to Financial Statements

37

VANECK VECTORS INDIA SMALL-CAP INDEX ETF

SCHEDULE OF INVESTMENTS (a)

(continued)

 

Definitions:

USD United States Dollar

 

Footnotes:

(a) Represents Consolidated Schedule of Investments.
* Non-income producing
# Security has been valued in good faith pursuant to guidelines established by the Board of Trustees. The aggregate value of fair valued securities is $82,028,991 which represents 67.2% of net assets.
ø Restricted Security – the aggregate value of restricted securities is $164,038, or 0.1% of net assets
Security is valued using significant unobservable inputs and is classified as Level 3 in the fair value hierarchy.
Reg S Security was purchased pursuant to Regulation S under the Securities Act of 1933, which exempts from registration securities offered and sold outside of the United States. Such a security cannot be sold in the United States without either an effective registration statement filed pursuant to the Securities Act of 1933, or pursuant to an exemption from registration.
144A Security exempt from registration under Rule 144A of the Securities Act of 1933, as amended, or otherwise restricted. These securities may be resold in transactions exempt from registration, unless otherwise noted, and the value amounted to $6,624,857, or 5.4% of net assets.

 

Restricted securities held by the Fund as of December 31, 2019 are as follows:

 

Security  Acquisition
Date
  Number
of Shares
  Acquisition
Cost
    Value      % of
Net Assets
 
Chennai Super Kings Cricket Ltd.  10/08/15  1,298,085         $35,108      $164,038      0.1%   

 

Summary of Investments by Sector
Excluding Collateral for Securities Loaned
  % of Investments  Value 
Communication Services        6.3%        $7,730,909 
Consumer Discretionary   10.2    12,470,421 
Consumer Staples   6.7    8,162,032 
Energy   0.4    498,479 
Financials   12.0    14,569,978 
Health Care   11.2    13,638,306 
Industrials   20.5    24,948,925 
Information Technology   13.0    15,904,770 
Materials   15.4    18,739,085 
Real Estate   3.1    3,763,510 
Utilities   1.2    1,439,769 
    100.0%  $121,866,184 

 

See Notes to Financial Statements

38

 

 

The summary of inputs used to value the Fund’s investments as of December 31, 2019 is as follows:

 

   Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
  Value 
Common Stocks                                  
Automobiles & Components  $   $1,564,019     $       $1,564,019 
Banks   704,167    7,321,900          8,026,067 
Capital Goods   2,051,027    18,970,166          21,021,193 
Commercial & Professional Services   1,415,299    643,669          2,058,968 
Consumer Durables & Apparel   3,293,326    4,621,968          7,915,294 
Consumer Services   1,711,384          164,038    1,875,422 
Diversified Financials   2,181,956    4,361,955          6,543,911 
Energy       498,479          498,479 
Food, Beverage & Tobacco   289,288    7,872,744          8,162,032 
Health Care Equipment & Services   835,404    242,005          1,077,409 
Materials   6,214,943    12,524,142          18,739,085 
Media & Entertainment   2,371,106    4,605,137          6,976,243 
Pharmaceuticals / Biotechnology   5,426,481    7,134,416          12,560,897 
Real Estate   1,674,745    2,088,765          3,763,510 
Retailing   195,143    920,543          1,115,686 
Software & Services   8,161,066    5,517,183          13,678,249 
Technology Hardware & Equipment   1,440,564    785,957          2,226,521 
Telecommunication Services   754,666              754,666 
Transportation   363,279    1,505,485          1,868,764 
Utilities   753,349    686,420          1,439,769 
Total  $39,837,193   $81,864,953     $164,038   $121,866,184 

 

See Notes to Financial Statements

39

VANECK VECTORS INDONESIA INDEX ETF

SCHEDULE OF INVESTMENTS

December 31, 2019

 

Number
of Shares
           Value
           
COMMON STOCKS: 100.0%     
Automobiles & Components: 6.2%     
 5,101,800   Astra International Tbk PT #  $2,541,169 
Banks: 28.9%     
 1,396,700   Bank Central Asia Tbk PT #   3,359,072 
 4,925,302   Bank Mandiri Persero Tbk PT #   2,721,542 
 3,627,132   Bank Negara Indonesia Persero Tbk PT #   2,047,575 
 10,583,200   Bank Rakyat Indonesia Tbk PT #   3,349,856 
 2,059,700   Bank Tabungan Negara Tbk PT #   314,008 
         11,792,053 
Capital Goods: 0.6%     
 2,244,088   Waskita Karya Persero Tbk PT #   239,536 
Diversified Financials: 1.2%     
 909,250   First Pacific Company Ltd. #   309,163 
 5,577,900   Kresna Graha Investama Tbk PT * #   200,819 
         509,982 
Energy: 7.9%     
 7,776,500   Adaro Energy Tbk PT #   869,034 
 2,171,397   Banpu PCL (NVDR) #   861,334 
 1,904,600   Tambang Batubara Bukit Asam Tbk PT #   364,295 
 725,469   United Tractors Tbk PT #   1,123,243 
         3,217,906 
Food, Beverage & Tobacco: 12.1%     
 3,508,300   Charoen Pokphand Indonesia Tbk PT #   1,640,741 
 1,981,500   Golden Agri-Resources Ltd. #   346,645 
 224,500   Gudang Garam Tbk PT #   856,388 
 1,077,400   Indofood Cbp Sukses Makmur Tbk PT #   865,180 
 2,134,700   Indofood Sukses Makmur Tbk PT #   1,217,173 
         4,926,127 
Health Care Equipment & Services: 1.3%     
 2,701,597   Mitra Keluarga Karyasehat Tbk PT Reg S #   519,182 
Household & Personal Products: 4.1%     
 556,500   Unilever Indonesia Tbk PT #   1,682,257 
Number
of Shares
           Value
           
Materials: 14.1%     
 12,551,900   Barito Pacific Tbk PT #  $1,363,752 
 1,127,300   Chandra Asri Petrochemical Tbk PT #   841,485 
 1,250,300   Indah Kiat Pulp and Paper Corp. Tbk PT #   691,959 
 877,100   Indocement Tunggal Prakarsa Tbk PT #   1,199,634 
 605,500   Pabrik Kertas Tjiwi Kimia Tbk PT #   447,502 
 1,413,200   Semen Gresik Persero Tbk PT #   1,218,661 
         5,762,993 
Media & Entertainment: 0.7%     
 2,800,700   Surya Citra Media Tbk PT #   284,151 
Pharmaceuticals / Biotechnology: 2.8%     
 9,800,900   Kalbe Farma Tbk PT #   1,142,703 
Real Estate: 4.2%     
 4,492,100   Bumi Serpong Damai Tbk PT * #   404,844 
 4,783,195   Ciputra Development Tbk PT #   357,696 
 18,960,600   Lippo Karawaci Tbk PT * #   330,222 
 7,961,900   Pakuwon Jati Tbk PT #   325,903 
 3,928,400   Summarecon Agung Tbk PT #   283,756 
         1,702,421 
Retailing: 4.2%     
 3,335,600   Ace Hardware Indonesia Tbk PT #   359,221 
 48,088   Jardine Cycle & Carriage Ltd. #   1,075,620 
 913,800   Matahari Department Store Tbk PT #   277,123 
         1,711,964 
Telecommunication Services: 8.8%     
 96,989   Telekomunikasi Indonesia Persero Tbk PT (ADR)   2,764,186 
 4,957,600   Tower Bersama Infrastructure Tbk PT #   438,915 
 1,766,975   XL Axiata Tbk PT * #   400,558 
         3,603,659 
Transportation: 1.0%     
 1,058,750   Jasa Marga Persero Tbk PT #   394,141 
Utilities: 1.9%     
 5,068,500   Perusahaan Gas Negara Tbk PT #   790,283 
Total Common Stocks
(Cost: $48,670,937)
   40,820,527 
Other assets less liabilities: 0.0%   5,215 
NET ASSETS: 100.0%  $40,825,742 


 

 

Definitions:

ADR American Depositary Receipt
NVDR Non-Voting Depositary Receipt

 

Footnotes:

* Non-income producing
# Security has been valued in good faith pursuant to guidelines established by the Board of Trustees. The aggregate value of fair valued securities is $38,056,341 which represents 93.2% of net assets.
Reg S Security was purchased pursuant to Regulation S under the Securities Act of 1933, which exempts from registration securities offered and sold outside of the United States. Such a security cannot be sold in the United States without either an effective registration statement filed pursuant to the Securities Act of 1933, or pursuant to an exemption from registration.

 

See Notes to Financial Statements

40

 

 

Summary of Investments by Sector
Excluding Collateral for Securities Loaned
  % of Investments  Value 
Communication Services        9.5%        $3,887,810 
Consumer Discretionary   10.4    4,253,133 
Consumer Staples   16.2    6,608,384 
Energy   7.9    3,217,906 
Financials   30.1    12,302,035 
Health Care   4.1    1,661,885 
Industrials   1.6    633,677 
Materials   14.1    5,762,993 
Real Estate   4.2    1,702,421 
Utilities   1.9    790,283 
    100.0%  $40,820,527 

 

The summary of inputs used to value the Fund’s investments as of December 31, 2019 is as follows:

 

   Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
  Value 
Common Stocks                               
Automobiles & Components  $   $2,541,169     $   $2,541,169 
Banks       11,792,053          11,792,053 
Capital Goods       239,536          239,536 
Diversified Financials       509,982          509,982 
Energy       3,217,906          3,217,906 
Food, Beverage & Tobacco       4,926,127          4,926,127 
Health Care Equipment & Services       519,182          519,182 
Household & Personal Products       1,682,257          1,682,257 
Materials       5,762,993          5,762,993 
Media & Entertainment       284,151          284,151 
Pharmaceuticals / Biotechnology       1,142,703          1,142,703 
Real Estate       1,702,421          1,702,421 
Retailing       1,711,964          1,711,964 
Telecommunication Services   2,764,186    839,473          3,603,659 
Transportation       394,141          394,141 
Utilities       790,283          790,283 
Total  $2,764,186   $38,056,341     $   $40,820,527 

 

See Notes to Financial Statements

41

VANECK VECTORS ISRAEL ETF

SCHEDULE OF INVESTMENTS

December 31, 2019

 

Number
of Shares
           Value
           
COMMON STOCKS: 99.9%     
Banks: 16.9%     
 364,126   Bank Hapoalim BM #  $3,023,375 
 464,970   Bank Leumi Le-Israel BM #   3,390,306 
 16,645   First International Bank of Israel Ltd. #   481,994 
 376,539   Israel Discount Bank Ltd. #   1,748,373 
 41,717   Mizrahi Tefahot Bank Ltd. #   1,112,554 
 5,729   Union Bank of Israel * #   37,998 
         9,794,600 
Capital Goods: 5.5%     
 7,865   Ashtrom Group Ltd. #   117,820 
 1,595   Bet Shemesh Engines Holdings 1997 Ltd. #   62,602 
 7,427   Caesarstone Ltd. (USD)   111,925 
 7,989   Elbit Systems Ltd. #   1,244,541 
 2,965   Elco Holdings Ltd. #   105,959 
 540   Electra Ltd. #   240,153 
 1,710   Ham-Let Israel-Canada Ltd. * #   32,940 
 35,316   Inrom Construction Industries Ltd. #   153,350 
 13,274   Kornit Digital Ltd. (USD) *   454,369 
 918   Plasson Industries Ltd. #   41,099 
 10,165   RADA Electronic Industries Ltd. (USD) * †   52,756 
 1,932   Scope Metals Group Ltd. #   44,211 
 37,204   Shapir Engineering and Industry Ltd. #   227,566 
 64,896   Shikun & Binui Ltd. #   298,723 
         3,188,014 
Commercial & Professional Services: 0.3%     
 1,553   Danel Adir Yeoshua Ltd. #   144,622 
Consumer Durables & Apparel: 0.6%     
 2,970   Delta-Galil Industries Ltd. #   81,025 
 3,141   Electra Consumer Products Ltd. #   58,116 
 2,255   Fox Wizel Ltd. #   102,775 
 13,422   Maytronics Ltd. #   112,317 
         354,233 
Consumer Services: 0.8%     
 110,086   888 Holdings Plc   240,630 
 1,314   Fattal Holdings Ltd. #   214,182 
         454,812 
Diversified Financials: 1.3%     
 15,647   Altshuler Shaham Provident Funds & Pension Ltd.   48,427 
 43,153   Isracard Ltd. * #   161,416 
 6,794   Nawi Brothers Ltd. * #   49,014 
 31,638   Plus500 Ltd. (GBP)   371,344 
 32,242   Tel Aviv Stock Exchange Ltd. * #   109,546 
         739,747 
Energy: 2.4%     
 1,414   Delek Group Ltd. #   215,325 
 26,112   Energean Oil & Gas Plc *   321,705 
 11,435   Naphtha Israel Petroleum Corp. Ltd. #   68,422 
 533,182   Oil Refineries Ltd. #   268,035 
 3,210   Paz Oil Co. Ltd. #   455,129 
 21,817   Tamar Petroleum Ltd. Reg S 144A #   50,632 
         1,379,248 
Number
of Shares
           Value
           
Food & Staples Retailing: 0.9%     
 2,396   Rami Levi Chain Stores Hashikma Marketing Ltd. #  $137,834 
 56,966   Shufersal Ltd. #   363,071 
         500,905 
Food, Beverage & Tobacco: 0.9%     
 1   Mehadrin Ltd. * #   27 
 606   Neto ME Holdings Ltd. #   37,454 
 15,990   Strauss Group Ltd. #   490,812 
         528,293 
Health Care Equipment & Services: 4.4%     
 5,323   Brainsway Ltd. * #   25,920 
 3,799   Inmode Ltd. (USD) * †   148,921 
 14,260   Intercure Ltd. * #   15,471 
 27,984   Mediterranean Towers Ltd. #   81,332 
 26,920   Novocure Ltd. (USD) *   2,268,548 
         2,540,192 
Insurance: 1.8%     
 13,342   Clal Insurance Enterprises Holdings Ltd. * #   200,757 
 35,175   Harel Insurance Investments & Financial Services Ltd. #   274,987 
 2,383   IDI Insurance Co. Ltd. #   86,948 
 7,165   Menorah Mivtachim Holdings Ltd. #   104,827 
 108,962   Migdal Insurance & Financial Holdings Ltd. #   103,026 
 46,450   Phoenix Holdings Ltd. #   281,020 
         1,051,565 
Materials: 2.3%     
 756   Hadera Paper Ltd. #   30,213 
 222,964   Israel Chemicals Ltd. #   1,052,737 
 1,176   Israel Corp. Ltd. * #   244,824 
         1,327,774 
Media & Entertainment: 0.1%     
 26,001   Taptica international Ltd. (GBP) *   55,112 
 53,700   XLMedia Plc   31,301 
         86,413 
Pharmaceuticals / Biotechnology: 7.6%     
 20,351   Compugen Ltd. (USD) * †   121,292 
 19,760   Foamix Pharmaceuticals Ltd. (USD) * †   65,801 
 4,264   Galmed Pharmaceuticals Ltd. (USD) *   24,646 
 9,303   Intec Pharma Ltd. (USD) *   4,651 
 7,608   Kamada Ltd. * #   52,296 
 4,638   Pluristem Therapeutics, Inc. (USD) *   18,320 
 10,667   Redhill Biopharma Ltd. (ADR) * †   64,749 
 2,956   Taro Pharmaceutical Industries Ltd. (USD) *   259,921 
 367,208   Teva Pharmaceutical Industries Ltd. * #   3,579,085 
 5,616   UroGen Pharma Ltd. * †   187,406 
         4,378,167 
Real Estate: 8.1%     
 5,881   Africa Israel Properties Ltd. * #   244,470 
 23,285   Airport City Ltd. * #   437,590 
 36,642   Alony Hetz Properties & Investments Ltd. #   579,749 


 

See Notes to Financial Statements

42

 

 

Number
of Shares
           Value
           
Real Estate: (continued)     
 1,716   Alrov Properties and Lodgings Ltd.  $78,497 
 53,305   Amot Investments Ltd. #   387,202 
 10,581   Ashtrom Properties Ltd. #   67,642 
 11,918   Azrieli Group Ltd. #   872,844 
 325   Bayside Land Corp. #   249,935 
 1,892   Big Shopping Centers Ltd. #   183,905 
 1,575   Blue Square Real Estate Ltd. #   111,437 
 1,573   Brack Capital Properties NV (ILS) *   161,217 
 24,191   Gazit-Globe Ltd. #   268,083 
 83,862   Industrial Buildings Corp. * #   229,109 
 531   Isras Investment Co. Ltd. #   116,896 
 6,497   Mega Or Holdings Ltd. #   160,424 
 5,196   Melisron Ltd. #   332,100 
 695   Property & Building Corp.   74,027 
 10,237   Summit Real Estate Holdings Ltd. #   136,793 
         4,691,920 
Retailing: 0.3%     
 11,749   Delek Automotive Systems Ltd. #   75,551 
 3,244   Fiverr International Ltd. (USD) *   76,234 
         151,785 
Semiconductor: 8.5%     
 7,048   Camtek Ltd.   76,330 
 6,957   Ceva, Inc. *   187,561 
 6,999   DSP Group, Inc. (USD) *   110,164 
 17,032   Mellanox Technologies Ltd. (USD) *   1,995,810 
 7,963   Nova Measuring Instruments Ltd. * #   303,567 
 15,651   SolarEdge Technologies, Inc. (USD) *   1,488,254 
 30,686   Tower Semiconductor Ltd. (USD) *   738,305 
         4,899,991 
Software & Services: 30.5%     
 10,336   Allot Communications Ltd. (USD) *   87,856 
 44,024   Amdocs Ltd. (USD)   3,178,093 
 38,988   Check Point Software Technologies Ltd. (USD) *   4,326,108 
 12,090   CyberArk Software Ltd. (USD) *   1,409,452 
 11,893   ForeScout Technologies, Inc. *   390,090 
 2,257   Formula Systems Ltd. #   153,620 
 4,664   Hilan Ltd. #   187,948 
 19,498   LivePerson, Inc. * †   721,426 
 7,704   Magic Software Enterprises Ltd. (USD)   75,037 
 10,082   Matrix IT Ltd. #   203,153 
 18,638   NICE Systems Ltd. * #   2,889,409 
 8,176   Sapiens International Corp. NV (USD)   188,048 
 61,514   Splitit Payments Ltd. * #   28,606 
 4,077   Tufin Software Technologies Ltd. (USD) * †   71,714 
 9,458   Varonis Systems, Inc. * †   734,981 
 19,773   Verint Systems, Inc. *   1,094,633 
 15,355   Wix.com Ltd. (USD) *   1,879,145 
         17,619,319 
Number
of Shares
           Value
           
Technology Hardware & Equipment: 2.2%     
 6,903   AudioCodes Ltd. (USD) †  $177,338 
 108,895   BATM Advanced Communications (GBP) * #   53,875 
 19,703   Ceragon Networks Ltd. (USD) * †   41,376 
 8,451   Gilat Satellite Networks Ltd. #   66,862 
 6,378   Ituran Location and Control Ltd. (USD)   160,279 
 9,156   Powerfleet, Inc. *   59,606 
 13,088   Radware Ltd. (USD) *   337,409 
 2,025   Silicom Ltd. (USD) *   67,351 
 16,524   Stratasys Ltd. *   334,198 
         1,298,294 
Telecommunication Services: 1.4%     
 651,710   Bezeq The Israeli Telecommunication Corp. Ltd. * #   524,756 
 19,647   Cellcom Israel Ltd. * #   62,596 
 46,871   Partner Communications Co. Ltd. * #   208,964 
         796,316 
Transportation: 0.0%     
 90,804   El Al Israel Airlines * #   25,357 
Utilities: 3.1%     
 51,610   Energix-Renewable Energies Ltd. * #   154,321 
 201,467   Enlight Renewable Energy Ltd. * #   253,582 
 8,980   Kenon Holdings Ltd. (ILS) #   191,971 
 13,248   OPC Energy Ltd. #   112,732 
 14,788   Ormat Technologies, Inc.   1,102,002 
         1,814,608 
Total Common Stocks
(Cost: $44,942,647)
   57,766,175 
SHORT-TERM INVESTMENT HELD AS COLLATERAL FOR SECURITIES ON LOAN: 0.5%
(Cost: $282,011)
     
Money Market Fund: 0.5%     
 282,011   State Street Navigator Securities Lending Government Money Market Portfolio   282,011 
Total Investments: 100.4%
(Cost: $45,224,658)
   58,048,186 
Liabilities in excess of other assets: (0.4)%   (240,450)
NET ASSETS: 100.0%  $57,807,736 


 

See Notes to Financial Statements

43

VANECK VECTORS ISRAEL ETF

SCHEDULE OF INVESTMENTS

(continued)

 

Definitions:

ADR American Depositary Receipt
GBP British Pound
ILS New Israeli Shekel
USD United States Dollar

 

Footnotes:

* Non-income producing
Security fully or partially on loan. Total market value of securities on loan is $2,013,664.
# Security has been valued in good faith pursuant to guidelines established by the Board of Trustees. The aggregate value of fair valued securities is $31,491,810 which represents 54.5% of net assets.
Reg S Security was purchased pursuant to Regulation S under the Securities Act of 1933, which exempts from registration securities offered and sold outside of the United States. Such a security cannot be sold in the United States without either an effective registration statement filed pursuant to the Securities Act of 1933, or pursuant to an exemption from registration.
144A Security exempt from registration under Rule 144A of the Securities Act of 1933, as amended, or otherwise restricted. These securities may be resold in transactions exempt from registration, unless otherwise noted, and the value amounted to $50,632, or 0.1% of net assets.

 

Summary of Investments by Sector
Excluding Collateral for Securities Loaned
  % of Investments  Value 
Communication Services        1.5%        $882,729 
Consumer Discretionary   1.7    960,830 
Consumer Staples   1.8    1,029,198 
Energy   2.4    1,379,248 
Financials   20.1    11,585,912 
Health Care   12.0    6,918,359 
Industrials   5.8    3,357,993 
Information Technology   41.2    23,817,604 
Materials   2.3    1,327,774 
Real Estate   8.1    4,691,920 
Utilities   3.1    1,814,608 
    100.0%  $57,766,175 

 

See Notes to Financial Statements

44

 

 

The summary of inputs used to value the Fund’s investments as of December 31, 2019 is as follows:

 

   Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
  Value 
Common Stocks                               
Banks  $   $9,794,600      $   $9,794,600 
Capital Goods   619,050    2,568,964          3,188,014 
Commercial & Professional Services       144,622          144,622 
Consumer Durables & Apparel       354,233          354,233 
Consumer Services   240,630    214,182          454,812 
Diversified Financials   419,771    319,976          739,747 
Energy   321,705    1,057,543          1,379,248 
Food & Staples Retailing       500,905          500,905 
Food, Beverage & Tobacco       528,293          528,293 
Health Care Equipment & Services   2,417,469    122,723          2,540,192 
Insurance       1,051,565          1,051,565 
Materials       1,327,774          1,327,774 
Media & Entertainment   86,413              86,413 
Pharmaceuticals / Biotechnology   746,786    3,631,381          4,378,167 
Real Estate   313,741    4,378,179          4,691,920 
Retailing   76,234    75,551          151,785 
Semiconductor   4,596,424    303,567          4,899,991 
Software & Services   14,156,583    3,462,736          17,619,319 
Technology Hardware & Equipment   1,177,557    120,737          1,298,294 
Telecommunication Services       796,316          796,316 
Transportation       25,357          25,357 
Utilities   1,102,002    712,606          1,814,608 
Money Market Fund   282,011              282,011 
Total  $26,556,376   $31,491,810     $   $58,048,186 

 

See Notes to Financial Statements

45

VANECK VECTORS RUSSIA ETF

SCHEDULE OF INVESTMENTS

December 31, 2019

 

Number
of Shares
           Value
           
COMMON STOCKS: 95.8% 
Banks: 9.2% 
 5,552,167   Sberbank of Russia PJSC (ADR) #  $91,468,942 
 18,386,281   VTB Bank PJSC Reg S (GDR) #   26,921,395 
         118,390,337 
Diversified Financials: 2.1% 
 15,877,801   Moscow Exchange MICEX-RTS PJSC #   27,546,502 
Energy: 37.4% 
 12,611,655   Gazprom PJSC (ADR) # †   104,090,585 
 1,011,893   Lukoil PJSC (ADR) #   100,791,194 
 338,113   Novatek PJSC Reg S (GDR)   68,636,939 
 8,607,223   Rosneft Oil Co. PJSC Reg S (GDR) #   62,487,613 
 7,782,597   Surgutneftegas PJSC (ADR) # †   63,000,636 
 1,094,399   Tatneft PJSC (ADR)   80,832,310 
         479,839,277 
Food & Staples Retailing: 7.3% 
 3,975,465   Magnit OJSC Reg S (GDR) #   47,990,410 
 1,316,315   X5 Retail Group NV Reg S (GDR) #   45,430,986 
         93,421,396 
Materials: 23.7% 
 29,603,227   Alrosa PJSC   40,188,277 
 6,179,178   Evraz Plc (GBP) #   33,092,143 
 2,466,417   MMC Norilsk Nickel PJSC (ADR) #   75,426,120 
 1,132,405   Novolipetsk Steel PJSC Reg S (GDR) #   26,104,099 
 1,423,918   PhosAgro PJSC Reg S (GDR)   18,083,759 
 2,501,323   Polymetal International Plc (GBP) #   39,563,102 
 663,164   Polyus PJSC Reg S (GDR) #   37,568,272 
 2,277,802   Severstal PJSC Reg S (GDR) #   34,471,333 
         304,497,105 
Media & Entertainment: 6.6% 
 1,232,923   Mail.ru Group Ltd. Reg S (GDR) *   27,494,183 
 1,313,539   Yandex NV (USD) *   57,125,811 
         84,619,994 
Telecommunication Services: 6.8% 
 5,197,458   Mobile TeleSystems PJSC (ADR)   52,754,199 
 2,080,111   Rostelecom PJSC (ADR) #   15,716,740 
 7,268,804   VEON Ltd. (ADR)   18,390,074 
         86,861,013 
Number
of Shares
           Value
           
Utilities: 2.7% 
 419,632,410   Inter Rao Ues PJSC #  $34,105,679 
 7,410,870   Irkutsk Electronetwork Co. JSC (USD) * # ∞   58,642 
         34,164,321 
Total Common Stocks
(Cost: $1,232,075,087)
   1,229,339,945 
           
PREFERRED STOCK: 4.1%
(Cost: $51,057,935)
   
Energy: 4.1%     
 18,378   AK Transneft OAO, 6.06%   52,298,279 
Total Investments Before Collateral for Securities Loaned: 99.9%
(Cost: $1,283,133,022)
   1,281,638,224 
SHORT-TERM INVESTMENT HELD AS COLLATERAL
FOR SECURITIES ON LOAN: 0.0%

(Cost: $27,004)
 
Money Market Fund: 0.0%     
 27,004   State Street Navigator Securities Lending Government Money Market Portfolio   27,004 
Total Investments: 99.9%
(Cost: $1,283,160,026)
   1,281,665,228 
Other assets less liabilities: 0.1%   261,514 
NET ASSETS: 100.0%  $1,281,926,742 


 

 

Definitions:

ADR American Depositary Receipt
GBP British Pound
GDR Global Depositary Receipt
USD United States Dollar
   

Footnotes:

* Non-income producing
Security fully or partially on loan. Total market value of securities on loan is $2,136,185.
# Security has been valued in good faith pursuant to guidelines established by the Board of Trustees. The aggregate value of fair valued securities is $865,834,393 which represents 67.5% of net assets.
Security is valued using significant unobservable inputs and is classified as Level 3 in the fair value hierarchy.
Reg S Security was purchased pursuant to Regulation S under the Securities Act of 1933, which exempts from registration securities offered and sold outside of the United States. Such a security cannot be sold in the United States without either an effective registration statement filed pursuant to the Securities Act of 1933, or pursuant to an exemption from registration.

 

See Notes to Financial Statements

46

 

 

Summary of Investments by Sector
Excluding Collateral for Securities Loaned
% of Investments  Value 
Communication Services        13.4%      $171,481,007 
Consumer Staples   7.3    93,421,396 
Energy   41.5    532,137,556 
Financials   11.4    145,936,839 
Materials   23.7    304,497,105 
Utilities   2.7    34,164,321 
    100.0%  $1,281,638,224 

 

The summary of inputs used to value the Fund’s investments as of December 31, 2019 is as follows:

 

   Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
  Value 
Common Stocks                                   
Banks  $   $118,390,337     $   $118,390,337 
Diversified Financials       27,546,502          27,546,502 
Energy   149,469,249    330,370,028          479,839,277 
Food & Staples Retailing       93,421,396          93,421,396 
Materials   58,272,036    246,225,069          304,497,105 
Media & Entertainment   84,619,994              84,619,994 
Telecommunication Services   71,144,273    15,716,740          86,861,013 
Utilities       34,105,679      58,642    34,164,321 
Preferred Stock*   52,298,279              52,298,279 
Money Market Fund   27,004              27,004 
Total  $415,830,835   $865,775,751     $58,642   $1,281,665,228 

 

* See Schedule of Investments for industry sector breakouts.

 

See Notes to Financial Statements

47

VANECK VECTORS RUSSIA SMALL-CAP ETF

SCHEDULE OF INVESTMENTS

December 31, 2019

 

Number
of Shares
           Value
           
COMMON STOCKS: 98.6%     
Banks: 6.9%     
 25,596,100   Credit Bank of Moscow PJSC #  $2,422,179 
Capital Goods: 1.2%     
 82,826   United Wagon Co. PJSC *   417,789 
Commercial & Professional Services: 3.7%     
 60,867   HeadHunter Group Plc (ADR) †   1,305,597 
Diversified Financials: 5.4%     
 162,006   Safmar Financial Investment   1,340,676 
 82,327   Vostok New Ventures Ltd. (SDR) #   553,949 
         1,894,625 
Energy: 3.0%     
 1,143,352   TMK PJSC   1,067,672 
Food & Staples Retailing: 3.1%     
 377,988   Lenta Ltd. Reg S (GDR) * #   1,107,335 
Materials: 12.1%     
 645,301   Highland Gold Mining Ltd. (GBP) #   1,667,864 
 752,442   Mechel PJSC * #   765,003 
 6,716,138   Petropavlovsk Plc (GBP) * †   1,133,504 
 415,092   Raspadskaya OJSC #   712,739 
         4,279,110 
Media & Entertainment: 5.2%     
 1,364,136   ITE Group Plc (GBP)   1,843,283 
Real Estate: 10.3%     
 696,372   Etalon Group Plc Reg S (GDR)   1,213,080 
 966,633   LSR Group Reg S (GDR)   2,411,749 
         3,624,829 
Retailing: 7.4%     
 926,882   Detsky Mir PJSC Reg S 144A   1,492,293 
 132,631   M.Video PJSC #   1,106,232 
         2,598,525 
Software & Services: 4.2%     
 75,964   QIWI Plc (ADR) †   1,470,663 
Telecommunication Services: 8.0%     
 582,989   Sistema PJSFC Reg S (GDR)   2,841,488 
Transportation: 12.5%     
 1,680,747   Aeroflot PJSC #   2,803,001 
 183,160   Globaltrans Investment Plc Reg S (GDR)   1,620,966 
         4,423,967 
Number
of Shares
           Value
           
Utilities: 15.6%     
 29,326,800   Mosenergo PJSC #  $1,069,458 
 110,000,600   OGK-2 PJSC #   997,468 
 80,681,000   Rosseti PJSC #   1,796,800 
 37,213,000   Unipro PJSC #   1,667,681 
         5,531,407 
Total Common Stocks
(Cost: $36,386,950)
   34,828,469 
           
PREFERRED STOCK: 1.4%
(Cost: $525,338)
     
Utilities: 1.4%     
 261,475   Lenenergo PJSC, 9.11%   514,857 
Total Investments Before Collateral for Securities Loaned: 100.0%
(Cost: $36,912,288)
   35,343,326 
SHORT-TERM INVESTMENT HELD AS COLLATERAL
FOR SECURITIES ON LOAN: 3.4%

(Cost: $1,210,410)
 
Money Market Fund: 3.4%     
 1,210,410   State Street Navigator Securities Lending Government Money Market Portfolio   1,210,410 
Total Investments: 103.4%
(Cost: $38,122,698)
   36,553,736 
Liabilities in excess of other assets: (3.4)%   (1,217,522)
NET ASSETS: 100.0%  $35,336,214 


 

See Notes to Financial Statements

48

 

 

Definitions:

ADR American Depositary Receipt
GBP British Pound
GDR Global Depositary Receipt
SDR Swedish Depositary Receipt

 

Footnotes:

* Non-income producing
Security fully or partially on loan. Total market value of securities on loan is $2,942,477.
# Security has been valued in good faith pursuant to guidelines established by the Board of Trustees. The aggregate value of fair valued securities is $16,669,709 which represents 47.2% of net assets.
Reg S Security was purchased pursuant to Regulation S under the Securities Act of 1933, which exempts from registration securities offered and sold outside of the United States. Such a security cannot be sold in the United States without either an effective registration statement filed pursuant to the Securities Act of 1933, or pursuant to an exemption from registration.
144A Security exempt from registration under Rule 144A of the Securities Act of 1933, as amended, or otherwise restricted. These securities may be resold in transactions exempt from registration, unless otherwise noted, and the value amounted to $1,492,293, or 4.2% of net assets.

 

Summary of Investments by Sector
Excluding Collateral for Securities Loaned
  % of Investments  Value 
Communication Services            13.3%           $4,684,771 
Consumer Discretionary   7.3    2,598,525 
Consumer Staples   3.1    1,107,335 
Energy   3.0    1,067,672 
Financials   12.2    4,316,804 
Industrials   17.4    6,147,353 
Information Technology   4.2    1,470,663 
Materials   12.1    4,279,110 
Real Estate   10.3    3,624,829 
Utilities   17.1    6,046,264 
    100.0%  $35,343,326 

 

The summary of inputs used to value the Fund’s investments as of December 31, 2019 is as follows:

 

     Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
  Value 
Common Stocks                               
Banks  $   $2,422,179     $   $2,422,179 
Capital Goods   417,789              417,789 
Commercial & Professional Services   1,305,597              1,305,597 
Diversified Financials   1,340,676    553,949          1,894,625 
Energy   1,067,672              1,067,672 
Food & Staples Retailing       1,107,335          1,107,335 
Materials   1,133,504    3,145,606          4,279,110 
Media & Entertainment   1,843,283              1,843,283 
Real Estate   3,624,829              3,624,829 
Retailing   1,492,293    1,106,232          2,598,525 
Software & Services   1,470,663              1,470,663 
Telecommunication Services   2,841,488              2,841,488 
Transportation   1,620,966    2,803,001          4,423,967 
Utilities       5,531,407          5,531,407 
Preferred Stock*   514,857              514,857 
Money Market Funds   1,210,410              1,210,410 
Total  $19,884,027   $16,669,709     $   $36,553,736 

 

* See Schedule of Investments for industry sector breakouts.

 

See Notes to Financial Statements

49

VANECK VECTORS VIETNAM ETF

SCHEDULE OF INVESTMENTS

December 31, 2019

 

Number
of Shares
           Value
           
COMMON STOCKS: 99.8%     
Banks: 6.7%     
 7,626,542   Bank for Foreign Trade of Vietnam JSC #  $29,717,176 
Capital Goods: 6.2%     
 12,138,141   FLC Faros Construction JSC *   9,062,028 
 7,932,480   Hoang Huy Investment Financial Services JSC #   11,177,651 
 8,613,945   Vietnam Electrical Equipment * #   7,198,181 
         27,437,860 
Consumer Durables & Apparel: 6.7%     
 1,502,160   Eclat Textile Co. Ltd. #   20,221,216 
 641,553   Hansae Co. Ltd. † #   9,584,221 
         29,805,437 
Diversified Financials: 2.1%     
 11,951,271   Saigon Securities, Inc. #   9,323,322 
Energy: 2.2%     
 14,239,022   Soco International Plc   9,846,567 
Food, Beverage & Tobacco: 12.9%     
 5,624,560   Masan Group Corp. * #   13,722,460 
 16,939,121   Thanh Thanh Cong Tay Ninh JSC   13,523,519 
 5,948,686   Vietnam Dairy Products JSC #   29,928,169 
         57,174,148 
Health Care Equipment & Services: 4.8%     
 734,300   MANI, Inc. #   20,987,724 
Number
of Shares
           Value
           
Insurance: 3.5%     
 5,245,986   Bao Viet Holdings #  $15,545,901 
Materials: 3.7%     
 16,237,599   Hoa Phat Group JSC * #   16,487,737 
Real Estate: 26.7%     
 10,798,676   No Va Land Investment Group Corp. *   27,727,747 
 15,838,062   Vincom Retail JSC #   23,262,481 
 6,956,872   Vingroup JSC * #   34,535,846 
 8,850,732   Vinhomes JSC Reg S 144A * #   32,445,377 
         117,971,451 
Technology Hardware & Equipment: 17.5%     
 1,157,390   BH Co. Ltd. * #   21,876,126 
 639,870   Mcnex Co. Ltd. † #   20,764,941 
 658,043   Seojin System Co. Ltd. † #   16,310,012 
 3,568,971   Synopex, Inc. * #   8,426,227 
 636,135   UTI, Inc. † #   10,147,600 
         77,524,906 
Transportation: 4.0%     
 2,800,580   Vietjet Aviation JSC #   17,677,661 
Utilities: 2.8%     
 25,040,570   PetroVietnam Power Corp. * #   12,390,225 
Total Common Stocks
(Cost: $384,967,788)
   441,890,115 
Other assets less liabilities: 0.2%   1,070,123 
NET ASSETS: 100.0%  $442,960,238 


 

 

Footnotes:

* Non-income producing
Security fully or partially on loan. Total market value of securities on loan is $1,927,656.
# Security has been valued in good faith pursuant to guidelines established by the Board of Trustees. The aggregate value of fair valued securities is $381,730,254 which represents 86.2% of net assets.
Reg S Security was purchased pursuant to Regulation S under the Securities Act of 1933, which exempts from registration securities offered and sold outside of the United States. Such a security cannot be sold in the United States without either an effective registration statement filed pursuant to the Securities Act of 1933, or pursuant to an exemption from registration.
144A Security exempt from registration under Rule 144A of the Securities Act of 1933, as amended, or otherwise restricted. These securities may be resold in transactions exempt from registration, unless otherwise noted, and the value amounted to $32,445,377, or 7.3% of net assets.

 

Summary of Investments by Sector  % of Investments  Value 
Consumer Discretionary          6.8%          $29,805,437 
Consumer Staples   12.9    57,174,148 
Energy   2.2    9,846,567 
Financials   12.4    54,586,399 
Health Care   4.8    20,987,724 
Industrials   10.2    45,115,521 
Information Technology   17.5    77,524,906 
Materials   3.7    16,487,737 
Real Estate   26.7    117,971,451 
Utilities   2.8    12,390,225 
    100.0%  $441,890,115 

 

See Notes to Financial Statements

50

 

 

The summary of inputs used to value the Fund’s investments as of December 31, 2019 is as follows:

 

   Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
  Value 
Common Stocks                               
Banks  $   $29,717,176     $   $29,717,176 
Capital Goods   9,062,028    18,375,832          27,437,860 
Consumer Durables & Apparel       29,805,437          29,805,437 
Diversified Financials       9,323,322          9,323,322 
Energy   9,846,567              9,846,567 
Food, Beverage & Tobacco   13,523,519    43,650,629          57,174,148 
Health Care Equipment & Services       20,987,724          20,987,724 
Insurance       15,545,901          15,545,901 
Materials       16,487,737          16,487,737 
Real Estate   27,727,747    90,243,704          117,971,451 
Technology Hardware & Equipment       77,524,906          77,524,906 
Transportation       17,677,661          17,677,661 
Utilities       12,390,225          12,390,225 
Total  $60,159,861   $381,730,254     $   $441,890,115 

 

See Notes to Financial Statements

51

VANECK VECTORS ETF TRUST

STATEMENTS OF ASSETS AND LIABILITIES

December 31, 2019

 

      Africa
Index ETF
      Brazil
Small-Cap ETF
      ChinaAMC
CSI 300 ETF
      ChinaAMC
SME-ChiNext
ETF
      Egypt
Index ETF
Assets:                                   
Investments, at value (1) (2)    $50,906,828     $97,534,372     $67,395,522     $29,817,117     $30,692,224 
Short-term investments held as collateral for securities loaned (3)     916,922      1,306,142                   
Cash           1,956,346      232,916      112,654(b)     564,511 
Cash denominated in foreign currency, at value (4)     1,740      59,964                  140,969 
Receivables:                                   
Investment securities sold           5,872                  44,743 
Shares of beneficial interest sold                              
Due from Adviser                              
Dividends and interest     29,439      226,863      1,474            72,606 
Prepaid expenses     1,846      2,007      1,921      904      1,749 
Total assets     51,856,775     $101,091,566      67,631,833      29,930,675      31,516,802 
                                    
Liabilities:                                   
Payables:                                   
Investment securities purchased           5,876                  9,806 
Collateral for securities loaned     916,922      1,306,142                   
Line of credit     467,385      2,000,930                   
Shares redeemed                              
Due to Adviser     13,879      37,377      12,942      11,247      13,333 
Due to custodian     114,136            3,782      6,359       
Distribution to shareholders                              
Deferred Trustee fees     11,317      34,983      4,678      569      5,137 
Accrued expenses     109,571      82,225      189,604      106,165      94,413 
Total liabilities     1,633,210      3,467,533      211,006      124,340      122,689 
NET ASSETS    $50,223,565     $97,624,033     $67,420,827     $29,806,335     $31,394,113 
Shares outstanding     2,450,000      3,550,000      1,600,000      1,000,000      1,074,974 
Net asset value, redemption and offering price per share    $20.50     $27.50     $42.14     $29.81     $29.20 
Net Assets consist of:                                   
Aggregate paid in capital    $104,064,950     $229,302,877     $56,999,221     $37,084,344     $62,712,624 
Total distributable earnings (loss)     (53,841,385)     (131,678,844)     10,421,606      (7,278,009)     (31,318,511)
NET ASSETS    $50,223,565     $97,624,033     $67,420,827     $29,806,335     $31,394,113 
(1)  Value of securities on loan    $1,588,160     $1,811,608     $     $     $ 
(2)  Cost of investments    $43,645,648     $67,433,815     $49,818,798     $21,526,891     $28,413,440 
(3)  Cost of short-term investments held as collateral for securities loaned    $916,922     $1,306,142     $     $     $ 
(4)  Cost of cash denominated in foreign currency    $1,567     $59,423     $     $     $141,057 

 

 
(a) Represents Consolidated Statement of Assets and Liabilities.
(b) Includes $8,600 on foreign investor minimum settlement reserve funds (See Note 2H).

 

See Notes to Financial Statements

52

 

 

India
Small-Cap
Index ETF (a)
 Indonesia
Index ETF
  Israel ETF  Russia ETF  Russia
Small-Cap ETF
  Vietnam ETF
                                          
  $121,866,184     $40,820,527     $57,766,175     $1,281,638,224     $35,343,326     $441,890,115   
               282,011      27,004      1,210,410         
   433,763      145,815      172,332      23,458      22,465         
   40,284            21,159      785,658            1,403,487   
   1,616,234      15,133            4,994,152      238,177         
                     601,197               
                           71,474         
   32,798      931      19,836      7,310,017      38,927      1,031,456   
   3,297      1,033      1,800      15,741      971      6,074   
   123,992,560      40,983,439      58,263,313      1,295,395,451      36,925,750      444,331,132   
                                          
         7,567      68,552      2,458,301      231,262         
               282,011      27,004      1,210,410         
                     4,886,486            475,303   
   1,614,401                  4,992,846               
   52,215      12,728      8,940      556,291            187,723   
                           148      2,904   
                                 436,080   
   13,134      29,160      3,023      163,317      2,800      42,380   
   275,295      108,242      93,051      384,464      144,916      226,504   
   1,955,045      157,697      455,577      13,468,709      1,589,536      1,370,894   
  $122,037,515     $40,825,742     $57,807,736     $1,281,926,742     $35,336,214     $442,960,238   
   3,724,967      1,800,000      1,650,000      51,350,000      983,318      27,600,000   
                                          
  $32.76     $22.68     $35.03     $24.96     $35.94     $16.05   
                                          
  $191,111,665     $151,074,684     $55,186,327     $2,715,188,556     $47,107,443     $674,773,797   
   (69,074,150)     (110,248,942)     2,621,409      (1,433,261,814)     (11,771,229)     (231,813,559)  
  $122,037,515     $40,825,742     $57,807,736     $1,281,926,742     $35,336,214     $442,960,238   
  $     $     $2,013,664     $2,136,185     $2,942,477     $1,927,656   
  $129,945,612     $48,670,937     $44,942,647     $1,283,133,022     $36,912,288     $384,967,788   
                                          
  $     $     $282,011     $27,004     $1,210,410     $   
  $40,423     $     $20,946     $768,785     $     $1,402,853   

 

See Notes to Financial Statements

53

VANECK VECTORS ETF TRUST

STATEMENTS OF OPERATIONS

For the Year Ended December 31, 2019

 

   Africa
Index ETF
  Brazil
Small-Cap ETF
  ChinaAMC
CSI 300 ETF
 ChinaAMC
SME-ChiNext
ETF
   Egypt
Index ETF
 
Income:                                   
Dividends    $3,355,946     $2,915,330     $1,744,686     $314,741     $1,255,879 
Interest     2,008      1,450      751      662      4,698 
Securities lending income     190,602      18,589                  1,887 
Foreign taxes withheld     (240,644)     (115,436)     (174,919)     (32,068)     (126,851)
Total income     3,307,912      2,819,933      1,570,518      283,335      1,135,613 
                                    
Expenses:                                   
Management fees     279,894      447,572      356,650      136,485      196,464 
Professional fees     69,059      70,060      74,472      65,086      64,430 
Custodian fees     98,049      52,201      125,787      38,300      104,496 
Fund accounting fees     21,965      12,099      89,810      28,452      11,209 
Reports to shareholders     12,171      12,373      11,016      13,146      11,839 
IOPV fees     5,828      2,525      5,827      4,254      5,039 
Trustees’ fees and expenses     5,100      8,372      3,222      1,086      2,528 
Registration fees     5,058      5,042      5,042      5,199      5,042 
Transfer agent fees     2,420      2,419      2,420      2,420      2,420 
Insurance     1,889      2,059      1,896      889      1,892 
Interest     3,276      36,689      88,236      156      28,024 
Other     767      994      814      590      2,020 
Total expenses     505,476      652,405      765,192      296,063      435,403 
Waiver of management fees     (65,774)     (89,704)     (333,269)     (118,619)     (39,809)
Net Expenses     439,702      562,701      431,923      177,444      395,594 
Net investment income     2,868,210      2,257,232      1,138,595      105,891      740,019 
                                    
Net realized gain (loss) on:                                   
Investments     (3,556,385)     9,220,953      (3,353,719)     (3,201,335)     (2,662,604)
Increase from payment from Adviser (See Note 3)           372,975                   
In-kind redemptions     1,155,739      621,744                  189,234 
Foreign currency transactions and foreign denominated assets and liabilities     (33,112)     48,213      (146,378)     (23,017)     (172,402)
Net realized loss     (2,433,758)     10,263,885      (3,500,097)     (3,224,352)     (2,645,772)
                 
Net change in unrealized appreciation (depreciation) on:                
Investments     3,994,837      18,150,348      19,455,036      9,178,497      1,576,887 
Foreign currency transactions and foreign denominated assets and liabilities     664      (14,290)     (904)     (356)     276 
Net change in unrealized appreciation (depreciation)     3,995,501      18,136,058      19,454,132      9,178,141      1,577,163 
Net Increase (decrease) in Net Assets Resulting from Operations    $4,429,953     $30,657,175     $17,092,630     $6,059,680     $(328,590)

 

 
(a) Represents Consolidated Statement of Operations.

 

See Notes to Financial Statements

54

 

 

India
Small-Cap
Index ETF (a)
  Indonesia
Index ETF
  Israel ETF  Russia ETF  Russia
Small-Cap ETF
  Vietnam ETF
                                          
  $3,351,880     $1,164,330     $812,863     $91,112,423     $2,048,719     $6,777,460   
   9,987      3,156      143      30,343      1,469      23,960   
         1,040      17,722      9,799      2,959      93,268   
   (4,231)     (159,086)     (175,586)     (10,949,069)     (135,710)     (253,188)  
   3,357,636      1,009,440      655,142      80,203,496      1,917,437      6,641,500   
                                          
   760,484      215,052      268,083      6,614,532      176,212      2,142,303   
   144,279      64,702      68,370      64,633      62,716      67,208   
   163,224      15,656      91,422      1,661,792      127,244      401,621   
   79,356      18,462      25,673      88,194      13,175      34,075   
   15,140      10,584      11,610      38,751      18,721      13,361   
   5,827      5,828      5,040      1,523      5,794      5,872   
   33,243      4,656      2,999      84,619      2,093      27,209   
   5,042      5,042      5,359      9,819      5,042      5,022   
   4,840      2,420      2,421      1,108      2,420      2,420   
   3,887      1,080      1,744      17,245      1,029      5,913   
   48,581      157      18,232      178,150      6,429      126,345   
   39,654      445      487      44,243      551      5,620   
   1,303,557      344,084      501,440      8,804,609      421,426      2,836,969   
         (98,777)     (166,870)           (150,684)        
   1,303,557      245,307      334,570      8,804,609      270,742      2,836,969   
   2,054,079      764,133      320,572      71,398,887      1,646,695      3,804,531   
                                          
   (39,121,222)     (1,427,291)     119,826      (33,276,159)     (2,561,339)     (21,760,973)  
                                    
   (43,490)     811,253            112,008,019      672,752      958,990   
                                          
   (170,934)     (1,634)     (1,357)     (200,344)     (2,205)     (460,092)  
   (39,335,646)     (617,672)     118,469      78,531,516      (1,890,792)     (21,262,075)  
                                          
   (581,309)     2,358,098      11,887,134      300,166,156      11,022,748      44,578,555   
                                          
   (4,323)     (223)     (3,346)     (9,599)     2,257      (22,347)  
   (585,632)     2,357,875      11,883,788      300,156,557      11,025,005      44,556,208   
                                          
  $(37,867,199)    $2,504,336     $12,322,829     $450,086,960     $10,780,908     $27,098,664   

 

See Notes to Financial Statements

55

VANECK VECTORS ETF TRUST

STATEMENTS OF CHANGES IN NET ASSETS

 

   Africa Index ETF  Brazil Small-Cap ETF
   Year Ended
December 31,
2019
  Year Ended
December 31,
2018
  Year Ended
December 31,
2019
  Year Ended
December 31,
2018
Operations:                            
Net investment income    $2,868,210     $1,667,874     $2,257,232     $3,012,348 
Net realized gain (loss)     (2,433,758)     (27,757)     9,890,910      4,482,111 
Increase from payment from Adviser (See Note 3)                 372,975       
Net change in unrealized appreciation (depreciation)     3,995,501      (14,097,436)     18,136,058      (19,288,050)
Net increase (decrease) in net assets resulting from operations     4,429,953      (12,457,319)     30,657,175      (11,793,591)
                             
Dividends to shareholders:                            
Dividends and Distributions     (3,150,210)     (924,000)     (2,475,060)     (2,547,600)
                             
Share transactions*:                            
Proceeds from sale of shares                       5,522,935 
Cost of shares redeemed     (6,279,035)     (7,073,702)     (18,955,215)     (11,268,857)
Increase (decrease) in net assets resulting from share transactions     (6,279,035)     (7,073,702)     (18,955,215)     (5,745,922)
Total increase (decrease) in net assets     (4,999,292)     (20,455,021)     9,226,900      (20,087,113)
Net Assets, beginning of year     55,222,857      75,677,878      88,397,133      108,484,246 
Net Assets, end of year    $50,223,565     $55,222,857     $97,624,033     $88,397,133 
                             
** Shares of Common Stock Issued (no par value)                            
Shares sold                       250,000 
Shares redeemed     (300,000)     (300,000)     (850,000)     (500,000)
Net increase (decrease)     (300,000)     (300,000)     (850,000)     (250,000)

 

See Notes to Financial Statements

56

 

 

ChinaAMC CSI 300 ETF  ChinaAMC SME-ChiNext ETF  Egypt Index ETF
Year Ended
December 31,
2019
  Year Ended
December 31,
2018
  Year Ended
December 31,
2019
  Year Ended
December 31,
2018
  Year Ended
December 31,
2019
  Year Ended
December 31,
2018
                
  $1,138,595     $608,763     $105,891     $19,785     $740,019     $1,018,244 
   (3,500,097)     4,930,507      (3,224,352)     (3,576,086)     (2,645,772)     6,230,153 
                                  
   19,454,132      (26,428,940)     9,178,141      (7,066,926)     1,577,163      (11,591,246)
   17,092,630      (20,889,670)     6,059,680      (10,623,227)     (328,590)     (4,342,849)
                                        
   (985,120)     (4,841,600)     (135,000)           (650,037)     (560,463)
                                        
   20,798,155      14,985,222      14,409,463      7,672,886      23,237,784      15,041,752 
   (23,178,285)     (29,881,468)     (6,258,128)     (3,932,406)     (24,088,922)     (53,373,990)
   (2,380,130)     (14,896,246)     8,151,335      3,740,480      (851,138)     (38,332,238)
   13,727,380      (40,627,516)     14,076,015      (6,882,747)     (1,829,765)     (43,235,550)
   53,693,447      94,320,963      15,730,320      22,613,067      33,223,878      76,459,428 
  $67,420,827     $53,693,447     $29,806,335     $15,730,320     $31,394,113     $33,223,878 
                                        
   500,000      400,000      500,000      250,000      700,000      400,000 
   (600,000)     (650,000)     (250,000)     (150,000)     (800,000)     (1,550,000)
   (100,000)     (250,000)     250,000      100,000      (100,000)     (1,150,000)

 

See Notes to Financial Statements

57

VANECK VECTORS ETF TRUST

STATEMENTS OF CHANGES IN NET ASSETS

(continued)

 

   India Small-Cap Index ETF (a)  Indonesia Index ETF
   Year Ended
December 31,
2019
  Year Ended
December 31,
2018
  Year Ended
December 31,
2019
  Year Ended
December 31,
2018
Operations:                            
Net investment income (loss)    $2,054,079     $(77,616)    $764,133     $876,448 
Net realized gain (loss)     (39,335,646)     4,126,517      (617,672)     (4,134,430)
Net change in unrealized appreciation (depreciation)     (585,632)     (131,817,510)     2,357,875      (3,716,594)
Net increase (decrease) in net assets resulting from operations     (37,867,199)     (127,768,609)     2,504,336      (6,974,576)
                             
Dividends to shareholders:                            
Dividends and Distributions     (1,600,209)     (216,823)     (850,140)     (975,800)
                             
Share transactions*:                            
Proceeds from sale of shares     9,562,351      6,506,209      1,105,121      8,643,814 
Cost of shares redeemed     (35,496,590)     (96,327,507)     (6,734,141)     (17,756,773)
Increase (decrease) in net assets resulting from share transactions     (25,934,239)     (89,821,298)     (5,629,020)     (9,112,959)
Total increase (decrease) in net assets     (65,401,647)     (217,806,730)     (3,974,824)     (17,063,335)
Net Assets, beginning of year     187,439,162      405,245,892      44,800,566      61,863,901 
Net Assets, end of year    $122,037,515     $187,439,162     $40,825,742     $44,800,566 
                             
** Shares of Common Stock Issued (no par value)                            
Shares sold     250,000      150,000      50,000      350,000 
Shares redeemed     (950,000)     (1,650,000)     (300,000)     (800,000)
Net increase (decrease)     (700,000)     (1,500,000)     (250,000)     (450,000)

 

 
(a) Represents Consolidated Statement of Changes in Net Assets.

 

See Notes to Financial Statements

58

 

 

Israel ETF  Russia ETF  Russia Small-Cap ETF
Year Ended
December 31,
2019
  Year Ended
December 31,
2018
  Year Ended
December 31,
2019
  Year Ended
December 31,
2018
  Year Ended
December 31,
2019
  Year Ended
December 31,
2018
                                        
  $320,572     $401,669     $71,398,887     $70,096,608     $1,646,695     $1,469,550 
   118,469      (5,005,061)     78,531,516      66,675,505      (1,890,792)     (2,827,712)
   11,883,788      911,146      300,156,557      (226,285,860)     11,025,005      (12,433,777)
   12,322,829      (3,692,246)     450,086,960      (89,513,747)     10,780,908      (13,791,939)
                                        
   (800,085)     (349,800)     (73,500,780)     (68,511,950)     (1,625,031)     (1,440,098)
                                        
         9,336,069      373,210,325      898,492,169            3,757,271 
         (1,529,591)     (793,491,106)     (1,221,552,842)     (6,496,725)     (14,160,540)
         7,806,478      (420,280,781)     (323,060,673)     (6,496,725)     (10,403,269)
   11,522,744      3,764,432      (43,694,601)     (481,086,370)     2,659,152      (25,635,306)
   46,284,992      42,520,560      1,325,621,343      1,806,707,713      32,677,062      58,312,368 
  $57,807,736     $46,284,992     $1,281,926,742     $1,325,621,343     $35,336,214     $32,677,062 
                                        
         300,000      17,000,000      42,350,000            100,000 
         (50,000)     (36,200,000)     (57,250,000)     (200,000)     (350,000)
         250,000      (19,200,000)     (14,900,000)     (200,000)     (250,000)

 

See Notes to Financial Statements

59

VANECK VECTORS ETF TRUST

STATEMENTS OF CHANGES IN NET ASSETS

(continued)

 

   Vietnam ETF
   Year Ended
December 31,
2019
        Year Ended
December 31,
2018
Operations:              
Net investment income.    $3,804,531     $3,720,819 
Net realized loss     (21,262,075)     (1,687,406)
Net change in unrealized appreciation (depreciation)     44,556,208      (63,106,038)
Net increase (decrease) in net assets resulting from operations     27,098,664      (61,072,625)
               
Dividends to shareholders:              
Dividends and Distributions     (3,336,840)     (2,610,800)
               
Share transactions*:              
Proceeds from sale of shares     133,626,985      96,453,951 
Cost of shares redeemed     (32,097,680)     (64,130,429)
Increase in net assets resulting from share transactions     101,529,305      32,323,522 
Total increase (decrease) in net assets     125,291,129      (31,359,903)
Net Assets, beginning of year     317,669,109      349,029,012 
Net Assets, end of year    $442,960,238     $317,669,109 
               
** Shares of Common Stock Issued (no par value)              
Shares sold     8,200,000      5,200,000 
Shares redeemed     (2,000,000)     (3,800,000)
Net increase     6,200,000      1,400,000 

 

See Notes to Financial Statements

60

VANECK VECTORS ETF TRUST

FINANCIAL HIGHLIGHTS

For a share outstanding throughout each year:

 

     Africa Index ETF 
     For the Year Ended December 31, 
     2019     2018     2017     2016     2015 
Net asset value, beginning of year   $20.08    $24.81    $20.09    $18.11    $26.20 
Income from investment operations:                         
Net investment income   1.09(a)   0.57(a)   0.39(a)   0.58    0.50 
Net realized and unrealized gain (loss) on investments   0.62    (4.96)   4.82    1.93    (8.20)
Total from investment operations   1.71    (4.39)   5.21    2.51    (7.70)
Less:                         
Dividends from net investment income   (1.29)   (0.34)   (0.49)   (0.53)   (0.39)
Net asset value, end of year   $20.50    $20.08    $24.81    $20.09    $18.11 
Total return (b)   8.52%   (17.70)%   26.02%   13.94%   (29.41)%
Ratios/Supplemental Data                         
Net assets, end of year (000’s)  $50,224   $55,223   $75,678   $66,296   $59,766 
Ratio of gross expenses to average net assets   0.90%   0.91%   0.87%   0.83%   0.82%
Ratio of net expenses to average net assets   0.79%   0.78%   0.84%   0.79%   0.79%
Ratio of net expenses to average net assets excluding interest expense   0.78%   0.78%   0.78%   0.78%(d)   0.78%
Ratio of net investment income to average net assets   5.13%   2.44%   1.73%   2.85%   2.05%
Portfolio turnover rate (c)   46%   23%   38%   45%   33%
                          
     Brazil Small-Cap ETF 
     For the Year Ended December 31, 
     2019     2018     2017     2016     2015 
Net asset value, beginning of year   $20.09    $23.33    $16.10    $10.44    $21.23 
Income from investment operations:                         
Net investment income   0.58(a)   0.68(a)   0.48(a)   0.51    0.44 
Net realized and unrealized gain (loss) on investments   7.42    (3.34)   7.81    5.83    (10.83)
Payment from Adviser   0.11(e)                
Total from investment operations   8.11    (2.66)   8.29    6.34    (10.39)
Less:                         
Dividends from net investment income   (0.70)   (0.58)   (1.06)   (0.68)   (0.40)
Net asset value, end of year   $27.50    $20.09    $23.33    $16.10    $10.44 
Total return (b)   40.81%(e)   (11.66)%   51.71%   60.92%   (48.97)%
Ratios/Supplemental Data                         
Net assets, end of year (000’s)  $97,624   $88,397   $108,484   $82,898   $65,264 
Ratio of gross expenses to average net assets   0.73%   0.73%   0.68%   0.69%   0.72%
Ratio of net expenses to average net assets   0.63%   0.60%   0.60%   0.60%   0.60%
Ratio of net expenses to average net assets excluding interest expense   0.59%   0.59%   0.59%   0.59%   0.59%
Ratio of net investment income to average net assets   2.52%   3.25%   2.24%   3.14%   3.29%
Portfolio turnover rate (c)   38%   45%   53%   44%   57%
 
(a) Calculated based upon average shares outstanding
(b) Total return is calculated assuming an initial investment made at the net asset value at the beginning of year, reinvestment of any dividends and distributions at net asset value on the dividend/distributions payment date and a redemption at the net asset value on the last day of the year. The return does not reflect the deduction of taxes that a shareholder would pay on Fund dividends/distributions or the redemption of Fund shares.
(c) Portfolio turnover rates exclude securities received or delivered as a result of processing in-kind capital share transactions.
(d) Excludes reimbursement from prior year custodial charge of 0.01%.
(e) For the year ended December 31, 2019, 0.55% of total return, representing $0.11 per share, consisted of a payment from the Adviser in connection with a reimbursement for an investment loss (See Note 3).

 

See Notes to Financial Statements

61

VANECK VECTORS ETF TRUST

FINANCIAL HIGHLIGHTS

For a share outstanding throughout each year:

 

     ChinaAMC CSI 300 ETF 
     For the Year Ended December 31, 
     2019     2018     2017     2016     2015 
Net asset value, beginning of year   $31.58    $48.37    $37.08    $44.76    $46.06 
Income from investment operations:                         
Net investment income   0.63(a)   0.41(a)   0.41(a)   0.41    0.45 
Net realized and unrealized gain (loss) on investments   10.55    (14.35)   11.40    (7.64)   (0.34)
Total from investment operations   11.18    (13.94)   11.81    (7.23)   0.11 
Less:                         
Dividends from net investment income   (0.62)   (0.31)   (0.52)   (0.15)   (0.52)
Distributions from net realized capital gains       (2.54)       (0.28)   (0.89)
Return of capital               (0.02)    
Total dividends and distributions   (0.62)   (2.85)   (0.52)   (0.45)   (1.41)
Net asset value, end of year   $42.14    $31.58    $48.37    $37.08    $44.76 
Total return (b)   35.40%   (28.79)%   31.86%   (16.16)%   0.22%
Ratios/Supplemental Data                         
Net assets, end of year (000’s)  $67,421   $53,693   $94,321   $85,290   $105,193 
Ratio of gross expenses to average net assets   1.07%   1.17%   0.82%   1.06%   1.20%
Ratio of net expenses to average net assets   0.61%   0.85%   0.78%   0.71%   0.75%
Ratio of net expenses to average net assets excluding interest expense (e)   0.61%   0.72%   0.72%   0.72%(d)   0.72%
Ratio of net investment income to average net assets   1.60%   0.95%   0.96%   1.26%   0.91%
Portfolio turnover rate (c)   42%   34%   37%   50%   70%
     
     ChinaAMC SME-ChiNext ETF 
     For the Year Ended December 31, 
     2019     2018     2017     2016     2015 
Net asset value, beginning of year   $20.97    $34.79    $29.20    $41.74    $28.60 
Income from investment operations:                         
Net investment income (loss)   0.10(a)   0.03(a)   (0.01)(a)   (0.06)   (0.10)
Net realized and unrealized gain (loss) on investments   8.88    (13.85)   5.67    (12.48)   13.24 
Total from investment operations   8.98    (13.82)   5.66    (12.54)   13.14 
Less:                         
Dividends from net investment income   (0.14)       (0.07)        
Net asset value, end of year   $29.81    $20.97    $34.79    $29.20    $41.74 
Total return (b)   42.80%   (39.72)%   19.37%   (30.04)%   45.94%
Ratios/Supplemental Data                         
Net assets, end of year (000’s)  $29,806   $15,730   $22,613   $23,357   $56,343 
Ratio of gross expenses to average net assets   1.08%   1.33%   1.38%   1.16%   1.11%
Ratio of net expenses to average net assets   0.65%   0.82%   0.82%   0.81%   0.79%
Ratio of net expenses to average net assets excluding interest expense (e)   0.65%   0.78%   0.78%   0.78%   0.78%
Ratio of net investment income (loss) to average net assets   0.39%   0.09%   (0.04)%   (0.07)%   (0.29)%
Portfolio turnover rate (c)   43%   36%   34%   39%   160%
 
(a) Calculated based upon average shares outstanding
(b) Total return is calculated assuming an initial investment made at the net asset value at the beginning of year, reinvestment of any dividends and distributions at net asset value on the dividend/distributions payment date and a redemption at the net asset value on the last day of the year. The return does not reflect the deduction of taxes that a shareholder would pay on Fund dividends/distributions or the redemption of Fund shares.
(c) Portfolio turnover rates exclude securities received or delivered as a result of processing in-kind capital share transactions.
(d) Excludes reimbursement from prior year custodial charge of 0.02%.
(e) Effective January 10, 2019, the Fund includes interest expense in the calculation of the expense limitation. The ratio only excludes interest expense accrued prior to January 10, 2019 and not waived under the expense limit agreement.

 

See Notes to Financial Statements

62

 

FINANCIAL HIGHLIGHTS

For a share outstanding throughout each year:

 

     Egypt Index ETF 
     For the Year Ended December 31, 
     2019     2018     2017     2016     2015 
Net asset value, beginning of year   $28.28    $32.89    $26.02    $39.01    $59.95 
Income from investment operations:                         
Net investment income   0.59(a)   0.60(a)   0.81(a)   1.17    0.04 
Net realized and unrealized gain (loss) on investments   0.93(f)   (4.73)   6.31    (14.16)   (20.37)
Total from investment operations   1.52    (4.13)   7.12    (12.99)   (20.33)
Less:                         
Dividends from net investment income   (0.60)   (0.48)   (0.25)       (0.61)
Net asset value, end of year   $29.20    $28.28    $32.89    $26.02    $39.01 
Total return (b)   5.42%   (12.56)%   27.39%   (33.30)%   (33.89)%
Ratios/Supplemental Data                         
Net assets, end of year (000’s)  $31,394   $33,224   $76,459   $40,985   $26,329 
Ratio of gross expenses to average net assets   1.11%   1.19%   1.09%   1.14%   1.07%
Ratio of net expenses to average net assets   1.01%   0.98%   0.94%   1.01%   0.98%
Ratio of net expenses to average net assets excluding interest expense   0.94%   0.94%   0.94%   0.94%   0.94%
Ratio of net investment income to average net assets   1.88%   1.73%   2.82%   1.17%   0.60%
Portfolio turnover rate (c)   76%   41%   41%   56%   57%
     
     India Small-Cap Index ETF (d) 
     For the Year Ended December 31, 
     2019     2018     2017     2016     2015 
Net asset value, beginning of year   $42.36    $68.40    $41.03    $43.66    $44.53 
Income from investment operations:                         
Net investment income (loss)   0.50(a)   (0.02)(a)   0.02(a)   0.39    0.06(a)
Net realized and unrealized gain (loss) on investments   (9.68)   (25.97)   27.42    (2.45)   0.42 
Total from investment operations   (9.18)   (25.99)   27.44    (2.06)   0.48 
Less:                         
Dividends from net investment income   (0.42)   (0.05)   (0.07)   (0.57)   (1.35)
Net asset value, end of year   $32.76    $42.36    $68.40    $41.03    $43.66 
Total return (b)   (21.65)%   (38.00)%   66.88%   (4.70)%   1.07%
Ratios/Supplemental Data                         
Net assets, end of year (000’s)  $122,038   $187,439   $405,246   $183,627   $171,370 
Ratio of gross expenses to average net assets   0.86%   0.83%   0.72%   0.78%   0.78%
Ratio of net expenses to average net assets   0.86%   0.83%   0.72%   0.78%   0.78%
Ratio of net expenses to average net assets excluding interest expense   0.83%   0.80%   0.70%   0.78%(e)   0.75%
Ratio of net investment income (loss) to average net assets   1.35%   (0.03)%   0.04%   0.96%   0.13%
Portfolio turnover rate (c)   51%   39%   42%   29%   40%
 
(a) Calculated based upon average shares outstanding
(b) Total return is calculated assuming an initial investment made at the net asset value at the beginning of year, reinvestment of any dividends and distributions at net asset value on the dividend/distributions payment date and a redemption at the net asset value on the last day of the year. The return does not reflect the deduction of taxes that a shareholder would pay on Fund dividends/distributions or the redemption of Fund shares.
(c) Portfolio turnover rates exclude securities received or delivered as a result of processing in-kind capital share transactions.
(d) Represents consolidated Financial Highlights
(e) Excludes reimbursement from prior year custodial charge of 0.01%.
(f) The amount shown for a share outstanding does not correspond with the aggregate net gain (loss) on investments for the period due to the timing of sales and repurchases of shares in relation to fluctuating market values of the investments of the Fund.

 

See Notes to Financial Statements

63

VANECK VECTORS ETF TRUST

FINANCIAL HIGHLIGHTS

For a share outstanding throughout each year:

 

     Indonesia Index ETF 
     For the Year Ended December 31, 
     2019     2018     2017     2016     2015 
Net asset value, beginning of year   $21.85    $24.75    $21.31    $18.36    $24.32 
Income from investment operations:                         
Net investment income   0.40(a)   0.36(a)   0.35(a)   0.28    0.47 
Net realized and unrealized gain (loss) on investments   0.90    (2.78)   3.55    2.92    (5.98)
Total from investment operations   1.30    (2.42)   3.90    3.20    (5.51)
Less:                         
Dividends from net investment income   (0.47)   (0.48)   (0.46)   (0.25)   (0.45)
Net asset value, end of year   $22.68    $21.85    $24.75    $21.31    $18.36 
Total return (b)   5.97%   (9.79)%   18.35%   17.49%   (22.69)%
Ratios/Supplemental Data                         
Net assets, end of year (000’s)  $40,826   $44,801   $61,864   $85,240   $86,293 
Ratio of gross expenses to average net assets   0.80%   0.75%   0.73%   0.68%   0.72%
Ratio of net expenses to average net assets   0.57%   0.57%   0.57%   0.58%   0.58%
Ratio of net expenses to average net assets excluding interest expense   0.57%   0.57%   0.57%   0.57%   0.57%
Ratio of net investment income to average net assets   1.78%   1.61%   1.53%   1.05%   1.65%
Portfolio turnover rate (c)   10%   14%   14%   12%   11%
     
     Israel ETF 
     For the Year Ended December 31, 
     2019     2018     2017     2016     2015 
Net asset value, beginning of year   $28.05    $30.37    $26.84    $28.81    $29.56 
Income from investment operations:                         
Net investment income   0.19(a)   0.27(a)   0.30(a)   0.27    0.32 
Net realized and unrealized gain (loss) on investments   7.27    (2.38)   3.71    (1.80)   (0.69)
Total from investment operations   7.46    (2.11)   4.01    (1.53)   (0.37)
Less:                         
Dividends from net investment income   (0.48)   (0.21)   (0.48)   (0.26)   (0.38)
Distributions from net realized capital gains                    
Return of capital               (0.18)    
Total dividends and distributions   (0.48)   (0.21)   (0.48)   (0.44)   (0.38)
Net asset value, end of year   $35.03    $28.05    $30.37    $26.84    $28.81 
Total return (b)   26.64%   (6.94)%   14.96%   (5.34)%   (1.27)%
Ratios/Supplemental Data                         
Net assets, end of year (000’s)  $57,808   $46,285   $42,521   $36,236   $46,091 
Ratio of gross expenses to average net assets   0.94%   1.02%   0.92%   0.92%   0.85%
Ratio of net expenses to average net assets   0.62%   0.60%   0.59%   0.60%   0.59%
Ratio of net expenses to average net assets excluding interest expense   0.59%   0.59%   0.59%   0.59%   0.59%
Ratio of net investment income to average net assets   0.60%   0.85%   1.04%   0.94%   1.04%
Portfolio turnover rate (c)   14%   23%   21%   19%   18%
 
(a) Calculated based upon average shares outstanding
(b) Total return is calculated assuming an initial investment made at the net asset value at the beginning of year, reinvestment of any dividends and distributions at net asset value on the dividend/distributions payment date and a redemption at the net asset value on the last day of the year. The return does not reflect the deduction of taxes that a shareholder would pay on Fund dividends/distributions or the redemption of Fund shares.
(c) Portfolio turnover rates exclude securities received or delivered as a result of processing in-kind capital share transactions.

 

See Notes to Financial Statements

64

 

FINANCIAL HIGHLIGHTS

For a share outstanding throughout each year:

 

     Russia ETF 
     For the Year Ended December 31, 
     2019     2018     2017     2016     2015 
Net asset value, beginning of year   $18.79    $21.14    $21.09    $14.69    $15.17 
Income from investment operations:                         
Net investment income   1.20(a)   0.88(a)   0.71(a)   0.38    0.50 
Net realized and unrealized gain (loss) on investments   6.39    (2.26)   0.25    6.36    (0.46)
Total from investment operations   7.59    (1.38)   0.96    6.74    0.04 
Less:                         
Dividends from net investment income   (1.42)   (0.97)   (0.91)   (0.34)   (0.52)
Net asset value, end of year   $24.96    $18.79    $21.14    $21.09    $14.69 
Total return (b)   40.40%   (6.47)%   4.62%   45.91%   0.39%
Ratios/Supplemental Data                         
Net assets, end of year (000’s)  $1,281,927   $1,325,621   $1,806,708   $2,605,165   $1,735,849 
Ratio of gross expenses to average net assets   0.67%   0.65%   0.72%   0.79%   0.72%
Ratio of net expenses to average net assets   0.67%   0.65%   0.67%   0.65%   0.63%
Ratio of net expenses to average net assets excluding interest expense and a portion of depositary receipt fees (d)   0.65%   0.64%   0.66%   0.65%   0.62%
Ratio of net investment income to average net assets   5.40%   4.09%   3.40%   2.48%   2.98%
Portfolio turnover rate (c)   15%   20%   15%   22%   33%
                          
     Russia Small-Cap ETF 
     For the Year Ended December 31, 
     2019     2018     2017     2016     2015 
Net asset value, beginning of year   $27.61    $40.68    $38.04    $19.31    $19.60 
Income from investment operations:                         
Net investment income   1.53(a)   1.17(a)   1.17(a)   0.77    0.38 
Net realized and unrealized gain (loss) on investments   8.45    (13.02)   2.94    18.77    (0.29)
Total from investment operations   9.98    (11.85)   4.11    19.54    0.09 
Less:                         
Dividends from net investment income   (1.65)   (1.22)   (1.47)   (0.81)   (0.38)
Net asset value, end of year   $35.94    $27.61    $40.68    $38.04    $19.31 
Total return (b)   36.17%   (29.09)%   11.01%   101.07%   0.48%
Ratios/Supplemental Data                         
Net assets, end of year (000’s)  $35,336   $32,677   $58,312   $88,755   $35,392 
Ratio of gross expenses to average net assets   1.20%   0.94%   0.82%   0.86%   1.19%
Ratio of net expenses to average net assets   0.77%   0.76%   0.76%   0.75%   0.69%
Ratio of net expenses to average net assets excluding interest expense and a portion of depositary receipt fees (e)   0.75%   0.75%   0.75%   0.73%   0.67%
Ratio of net investment income to average net assets   4.67%   3.22%   2.87%   3.28%   1.58%
Portfolio turnover rate (c)   30%   49%   39%   72%   30%
 
(a) Calculated based upon average shares outstanding
(b) Total return is calculated assuming an initial investment made at the net asset value at the beginning of year, reinvestment of any dividends and distributions at net asset value on the dividend/distributions payment date and a redemption at the net asset value on the last day of the year. The return does not reflect the deduction of taxes that a shareholder would pay on Fund dividends/distributions or the redemption of Fund shares.
(c) Portfolio turnover rates exclude securities received or delivered as a result of processing in-kind capital share transactions.
(d) Effective May 1, 2016, the ratio excludes depositary receipt fees in excess of 0.10% of average daily net assets (See Note 3).
(e) Effective May 1, 2016, the ratio excludes depositary receipt fees in excess of 0.08% of average daily net assets (See Note 3).

 

See Notes to Financial Statements

65

VANECK VECTORS ETF TRUST

FINANCIAL HIGHLIGHTS

For a share outstanding throughout each year:

 

     Vietnam ETF 
     For the Year Ended December 31, 
     2019     2018     2017     2016     2015 
Net asset value, beginning of year   $14.84    $17.45    $12.97    $14.78    $18.84 
Income from investment operations:                         
Net investment income   0.14(a)   0.17(a)   0.20(a)   0.39    0.55 
Net realized and unrealized gain (loss) on investments   1.19    (2.66)   4.46    (1.83)   (4.11)
Total from investment operations   1.33    (2.49)   4.66    (1.44)   (3.56)
Less:                         
Dividends from net investment income   (0.12)   (0.12)   (0.18)   (0.37)   (0.50)
Return of capital           (d)        
Total dividends   (0.12)   (0.12)   (0.18)   (0.37)   (0.50)
Net asset value, end of year   $16.05    $14.84    $17.45    $12.97    $14.78 
Total return (b)   8.86%   (14.15)%   35.76%   (9.78)%   (18.87)%
Ratios/Supplemental Data                         
Net assets, end of year (000’s)  $442,960   $317,669   $349,029   $257,549   $379,231 
Ratio of gross expenses to average net assets   0.66%   0.68%   0.66%   0.66%   0.67%
Ratio of net expenses to average net assets   0.66%   0.68%   0.66%   0.66%   0.67%
Ratio of net expenses to average net assets excluding interest expense   0.63%   0.64%   0.63%   0.63%   0.65%
Ratio of net investment income to average net assets   0.89%   0.98%   1.37%   2.14%   3.29%
Portfolio turnover rate (c)   33%   49%   50%   47%   67%
 
(a) Calculated based upon average shares outstanding
(b) Total return is calculated assuming an initial investment made at the net asset value at the beginning of year, reinvestment of any dividends and distributions at net asset value on the dividend/distributions payment date and a redemption at the net asset value on the last day of the year. The return does not reflect the deduction of taxes that a shareholder would pay on Fund dividends/distributions or the redemption of Fund shares.
(c) Portfolio turnover rates exclude securities received or delivered as a result of processing in-kind capital share transactions.
(d) Amount represents less than $0.005 per share.

 

See Notes to Financial Statements

66

VANECK VECTORS ETF TRUST

NOTES TO FINANCIAL STATEMENTS

December 31, 2019

 

Note 1—Fund Organization—VanEck Vectors ETF Trust (the “Trust”) is registered under the Investment Company Act of 1940, as amended, as an open-end management investment company. The Trust was incorporated in Delaware as a statutory trust on March 15, 2001. The Trust operates as a series fund, and offers multiple investment portfolios, each of which represents a separate series of the Trust. These financial statements relate only to the investment portfolios listed in the diversification table below (each a “Fund” and, collectively, the “Funds”).

 

Each Fund was created to provide investors with the opportunity to purchase a security representing a proportionate undivided interest in a portfolio of securities consisting of substantially all of the common stocks in substantially the same weighting as their index.

 

Fund Diversification Classification
Africa Index ETF Diversified
Brazil Small-Cap ETF Diversified
ChinaAMC CSI 300 ETF Diversified
ChinaAMC SME-ChiNext ETF Diversified
Egypt Index ETF Non-Diversified
India Small-Cap Index ETF Diversified
Indonesia Index ETF Non-Diversified
Israel ETF Non-Diversified
Russia ETF Non-Diversified
Russia Small-Cap ETF Non-Diversified
Vietnam ETF Non-Diversified

 

China Asset Management (Hong Kong) Limited (the “Sub-Adviser”) is the sub-adviser to ChinaAMC CSI 300 ETF and ChinaAMC SME-ChiNext ETF. ChinaAMC CSI 300 ETF and ChinaAMC SME-ChiNext ETF seek to achieve their investment objectives by primarily investing directly in A-shares through the Hong Kong-Shanghai Stock Connect program and via the A-share quota granted to the Sub-Adviser. India Small-Cap Index ETF makes its investments through the MV SCIF Mauritius (the “Subsidiary”), a wholly owned subsidiary organized in the Republic of Mauritius.

 

Note 2—Significant Accounting Policies—The preparation of financial statements in conformity with U.S. generally accepted accounting principles (“GAAP”) requires management to make estimates and assumptions that affect the reported amounts and disclosures in the financial statements. Actual results could differ from those estimates.

 

The Funds are investment companies and follow accounting and reporting requirements of Accounting Standards Codification (“ASC”) 946 Financial Services—Investment Companies.

 

The following summarizes the Funds’ significant accounting policies.

 

A. Security Valuation—The Funds value their investments in securities and other assets and liabilities at fair value daily. Fair value is the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants on the measurement date. Securities traded on the NASDAQ Stock Market LLC (“NASDAQ”) are valued at the NASDAQ official closing price. Securities traded on national exchanges are valued at the closing price on the markets in which the securities trade. Over-the-counter securities not included on NASDAQ and listed securities for which no sale was reported are valued at the mean of the bid and ask prices. To the extent these securities are actively traded they are categorized as Level 1 in the fair value hierarchy (described below). Certain foreign securities, whose values may be affected by market direction or events occurring before the Funds’ pricing time (4:00 p.m. Eastern Standard Time) but after the last close of the securities’ primary market, are fair valued using a pricing service and are categorized as Level 2 in the fair value hierarchy. The pricing service, using methods approved by the Board of Trustees, considers the correlation of the trading patterns of the foreign security to intraday trading in the U.S. markets, based on indices of domestic securities and other appropriate indicators such as prices of relevant ADR’s and futures contracts. The Funds may also fair value securities in other situations, such as, when a particular foreign market is closed but the Fund is open. Short-term debt securities with sixty days or less to maturity are valued at amortized cost, which with accrued interest approximates fair value. Money market fund investments are valued at net asset value and are considered to be Level 1 in the fair value hierarchy. The Pricing Committee of Van Eck Associates Corporation (the “Adviser”) provides oversight of the Funds’ valuation policies and procedures, which are approved by the Funds’ Board of Trustees. Among other things, these
67

VANECK VECTORS ETF TRUST

NOTES TO FINANCIAL STATEMENTS

(continued)

 

  procedures allow the Funds to utilize independent pricing services, quotations from securities dealers, and other market sources to determine fair value. The Pricing Committee convenes regularly to review the fair value of financial instruments or other assets. If market quotations for a security or other asset are not readily available, or if the Adviser believes they do not otherwise reflect the fair value of a security or asset, the security or asset will be fair valued by the Pricing Committee in accordance with the Funds’ valuation policies and procedures. The Pricing Committee employs various methods for calibrating the valuation approaches utilized to determine fair value, including a regular review of key inputs and assumptions, periodic comparisons to valuations provided by other independent pricing services, transactional back-testing and disposition analysis.
   
  Certain factors such as economic conditions, political events, market trends, the nature of and duration of any restrictions on disposition, trading in similar securities of the issuer or comparable issuers and other security specific information are used to determine the fair value of these securities. Depending on the relative significance of valuation inputs, these securities may be classified either as Level 2 or Level 3 in the fair value hierarchy. The price which the Funds may realize upon sale of an investment may differ materially from the value presented in the Schedules of Investments.
   
  The Funds utilize various methods to measure the fair value of their investments on a recurring basis, which includes a hierarchy that prioritizes inputs to valuation methods used to measure fair value. The fair value hierarchy gives highest priority to unadjusted quoted prices in active markets for identical assets and liabilities (Level 1 measurements) and the lowest priority to unobservable inputs (Level 3 measurements). The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities. The three levels of the fair value hierarchy are described below:
   
  Level 1 — Quoted prices in active markets for identical securities.
   
  Level 2 — Significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.).
   
  Level 3 — Significant unobservable inputs (including each Fund’s own assumptions in determining the fair value of investments).
   
  A summary of the inputs and the levels used to value the Funds’ investments, are located in the Schedules of Investments. Additionally, tables that reconcile the valuation of the Funds’ Level 3 investments and that present additional information about valuation methodologies and unobservable inputs, if applicable, are located in the Schedules of Investments.

 

B. Basis for Consolidation—The Subsidiary, an Indian exempted company, was incorporated on February 25, 2010 and acts as an investment vehicle for the India Small-Cap Index ETF (“SCIF”) in order to effect certain investments on behalf of the SCIF. The SCIF is the sole shareholder of the Subsidiary, and it is intended that the SCIF will remain the sole shareholder and will continue to control the Subsidiary. The consolidated financial statements of SCIF include the financial results of its wholly owned subsidiary. All interfund account balances and transactions have been eliminated in consolidation.
   
C. Federal Income Taxes—It is each Fund’s policy to comply with the provisions of the Internal Revenue Code applicable to regulated investment companies and to distribute all of its taxable income to its shareholders. Therefore, no federal income tax provision is required.
   
D. Dividends and Distributions to Shareholders—Dividends to shareholders from net investment income and distributions from net realized capital gains, if any, are declared and paid annually by each Fund. Income dividends and capital gain distributions are determined in accordance with U.S. income tax regulations, which may differ from such amounts determined in accordance with GAAP.
   
E. Currency Translation—Assets and liabilities denominated in foreign currencies and commitments under foreign currency contracts are translated into U.S. dollars at the closing prices of such currencies each business day as quoted by one or more sources. Purchases and sales of investments are translated at the exchange rates prevailing when such investments are acquired or sold. Foreign denominated income and expenses are translated at the exchange rates prevailing when accrued. The portion of realized and unrealized gains and losses on investments that result from fluctuations in foreign currency exchange rates is not separately disclosed in the financial
68

 

 

  statements. Such amounts are included with the net realized and unrealized gains and losses on investment securities in the Statement of Operations. Recognized gains or losses attributable to foreign currency fluctuations on foreign currency denominated assets, other than investments, and liabilities are recorded as net realized gain (loss) on foreign currency transactions and foreign denominated assets and liabilities in the Statements of Operations.
   
F. Restricted Securities—The Funds may invest in securities that are subject to legal or contractual restrictions on resale. These securities generally may be resold in transactions exempt from registration or to the public if the securities are registered. Disposal of these securities may involve time-consuming negotiations and expense, and prompt sale at an acceptable price may be difficult. Information regarding restricted securities, if any, is included at the end of each Fund’s Schedule of Investments.
   
G. Offsetting Assets and Liabilities—In the ordinary course of business, the Funds enter into transactions subject to enforceable master netting or other similar agreements. Generally, the right of offset in those agreements allows the Funds to offset any exposure to a specific counterparty with any collateral received or delivered to that counterparty based on the terms of the agreements. The Funds may pledge or receive cash and/or securities as collateral for derivative instruments and securities lending. For financial reporting purposes, the Funds present securities lending assets and liabilities on a gross basis in the Statements of Assets and Liabilities. Cash collateral held in the form of money market investments, if any, at December 31, 2019 is presented in the Schedules of Investments and in the Statement of Assets and Liabilities. Non-cash collateral is disclosed in Note 9 (Securities Lending).
   
H. Other—Security transactions are accounted for on trade date. Realized gains and losses are determined based on the specific identification method. Dividend income is recorded on the ex-dividend date except that certain dividends from foreign securities are recognized upon notification of the ex-dividend date. Interest income, including amortization of premiums and discounts, is accrued as earned.
   
  In the normal course of business, the Funds enter into contracts that contain a variety of general indemnifications. The Funds’ maximum exposure under these agreements is unknown as this would involve future claims that may be made against the Funds that have not yet occurred. However, the Adviser believes the risk of loss under these arrangements to be remote.
   
  At December 31, 2019, ChinaAMC SME-ChiNext included $8,600 in cash, at value on the Statements of Assets and Liabilities, which represents foreign investor minimum settlement reserve funds required by China Securities Depository and Clearing Corporation Limited.

 

Note 3—Investment Management and Other Agreements—The Adviser is the investment adviser to the Funds. The Adviser receives a management fee, calculated daily and payable monthly based on an annual rate of 0.50% of each Fund’s average daily net assets. The Adviser has agreed, until at least May 1, 2020, to waive management fees and assume expenses to prevent each Fund’s total annual operating expenses (excluding acquired fund fees and expenses, interest expense, trading expenses, taxes and extraordinary expenses; and for Russia ETF and Russia Small-Cap ETF, depositary receipt fees up to 0.10% and 0.08% of average daily net assets, respectively) from exceeding the expense limitations as listed in the following table. Effective January 10, 2019, ChinaAMC CSI 300 ETF and ChinaAMC SME-ChiNext ETF no longer exclude interest expense from their expense limitations. Refer to the Statements of Operations for the amounts waived/assumed by the Advisor for the year ended December 31, 2019.

69

VANECK VECTORS ETF TRUST

NOTES TO FINANCIAL STATEMENTS

(continued)

 

Fund  Expense
Limitations
Africa Index ETF   0.78%
Brazil Small-Cap ETF   0.59 
ChinaAMC CSI 300 ETF*(a)   0.60 
ChinaAMC SME-ChiNext ETF*(b)   0.65 
Egypt Index ETF   0.94 
India Small-Cap Index ETF   0.85 
Indonesia Index ETF   0.57 
Israel ETF   0.59 
Russia ETF   0.62 
Russia Small-Cap ETF   0.67 
Vietnam ETF   0.76 
   
* The Adviser paid sub-advisory fees directly to the Sub-Adviser
(a) Prior to January 10, 2019 the expense limitation was 0.72%.
(b) Prior to January 10, 2019 the expense limitation was 0.78%

 

During the year ended December 31, 2019, the Adviser reimbursed the Brazil Small-Cap ETF $372,975 for an investment loss. This reimbursement is reflected in the Statements of Operations and the Statements of Changes in Net Assets as a net increase from payment from Adviser. The per share and total return impact to the Fund is reflected in the Financial Highlights.

 

In addition, Van Eck Securities Corporation (the “Distributor”), an affiliate of the Adviser, acts as the Funds’ distributor. Certain officers and a Trustee of the Trust are officers, directors or stockholders of the Adviser and Distributor.

 

Effective November 4, 2019, State Street Bank and Trust Company is the Funds’ custodian, securities lending agent and transfer agent. Prior to November 4, 2019, Bank of New York Mellon provided these services to the Funds.

 

For the year ended December 31, 2019, there were offsets to custodian fees under an expense offset agreement and these amounts are reflected in custody expense in the Statement of Operations.

 

Note 4—Capital Share Transactions—As of December 31, 2019, there were an unlimited number of capital shares of beneficial interest authorized by the Trust with no par value. Fund shares are not individually redeemable and are issued and redeemed at their net asset value per share only through certain authorized broker-dealers (“Authorized Participants”) in blocks of shares (“Creation Units”), consisting of 50,000 shares or multiples thereof.

 

The consideration for the purchase or redemption of Creation Units of the Funds generally consists of the in-kind contribution or distribution of securities constituting the Funds’ underlying index (“Deposit Securities”) plus a balancing cash component to equate the transaction to the net asset value per share of the Fund on the transaction date. Cash may also be substituted in an amount equivalent to the value of certain Deposit Securities, generally as a result of market circumstances, or when the securities are not available in sufficient quantity for delivery, or are not eligible for trading by the Authorized Participant. The Funds may issue Creation Units in advance of receipt of Deposit Securities subject to various conditions, including, for the benefit of the Funds, a requirement to maintain cash collateral on deposit at the custodian equal to at least 115% of the daily marked to market value of the missing Deposit Securities.

 

Authorized Participants purchasing and redeeming Creation Units may pay transaction fees directly to the transfer agent. In addition, the Funds may impose certain variable fees for creations and redemptions with respect to transactions in Creation Units for cash, or on transactions effected outside the clearing process, which are treated as increases in capital. These variable fees, if any, are reflected in share transactions in the Statements of Changes in Net Assets.

70

 

 

Note 5—Investments—For the year ended December 31, 2019, purchases and sales of investments (excluding short-term investments and in-kind capital share transactions) and the purchases and sales of investments resulting from in-kind capital share transactions (excluding short-term investments) were as follows:

 

         In-kind Capital
Share Transactions
Fund  Purchases  Sales  Purchases  Sales
Africa Index ETF  $25,518,641   $27,607,576   $   $3,831,997 
Brazil Small-Cap ETF   34,413,698    48,591,617        3,534,476 
ChinaAMC CSI 300 ETF   27,633,558    30,302,820         
ChinaAMC SME-ChiNext ETF   19,489,028    11,389,144         
Egypt Index ETF   28,700,838    30,426,914    4,250,209    4,228,709 
India Small-Cap Index ETF   78,014,163    102,920,785    261,512    869,595 
Indonesia Index ETF   4,221,041    4,275,241    1,104,653    6,736,042 
Israel ETF   7,648,299    8,180,993         
Russia ETF   201,203,237    206,399,320    409,966,329    830,001,819 
Russia Small-Cap ETF   10,789,286    11,333,971    2,374,902    8,871,778 
Vietnam ETF   228,371,623    138,674,838    13,794,957    3,014,471 

 

Note 6—Income Taxes—As of December 31, 2019, for Federal income tax purposes, the identified cost, gross unrealized appreciation, gross unrealized depreciation, and net unrealized appreciation (depreciation) of investments owned were as follows:

 

Fund  Tax
Cost of
Investments
  Gross
Unrealized
Appreciation
  Gross
Unrealized
(Depreciation)
  Net Unrealized
Appreciation
(Depreciation)
Africa Index ETF  $45,800,795   $11,131,020   $(5,108,067)  $6,022,953 
Brazil Small-Cap ETF   74,460,980    31,925,568    (7,546,034)   24,379,534 
ChinaAMC CSI 300 ETF   50,954,467    22,978,725    (6,537,671)   16,441,054 
ChinaAMC SME-ChiNext ETF   22,837,326    9,187,200    (2,207,410)   6,979,790 
Egypt Index ETF   31,701,472    4,547,643    (5,556,890)   (1,009,247)
India Small-Cap Index ETF   137,279,878    21,605,478    (37,019,173)   (15,413,695)
Indonesia Index ETF   48,730,933    6,867,939    (14,778,345)   (7,910,406)
Israel ETF   46,555,808    19,619,036    (8,126,657)   11,492,379 
Russia ETF   1,303,228,316    174,809,490    (196,372,547)   (21,563,057)
Russia Small-Cap ETF   38,480,760    4,927,297    (6,854,321)   (1,927,024)
Vietnam ETF   406,365,334    106,192,866    (70,668,085)   35,524,781 

 

At December 31, 2019, the components of total distributable earnings on a tax basis, for each Fund, were as follows:

 

Fund  Undistributed
Ordinary
Income
  Accumulated
Capital
Losses
  Qualified
Late-Year
Losses*
  Other
Temporary
Differences
  Unrealized
Appreciation
(Depreciation)
  Total
Distributable
Earnings
Africa Index ETF  $437,644   $(60,290,824)  $   $(11,318)  $6,023,114   $(53,841,384)
Brazil Small-Cap ETF   148,404    (156,176,312)       (34,983)   24,384,047    (131,678,844)
ChinaAMC CSI 300 ETF   23,393    (6,046,313)       (4,678)   16,449,203    10,421,605 
ChinaAMC SME-ChiNext ETF       (14,252,433)   (4,290)   (569)   6,979,282    (7,278,010)
Egypt Index ETF       (30,248,113)   (56,338)   (5,136)   (1,008,924)   (31,318,511)
India Small-Cap Index ETF   178,050    (53,823,933)       (13,134)   (15,415,133)   (69,074,150)
Indonesia Index ETF       (102,308,622)   (762)   (29,160)   (7,910,398)   (110,248,942)
Israel ETF   92,479    (8,960,659)       (3,023)   11,492,612    2,621,409 
Russia ETF   13,155,992    (1,424,696,275)       (163,318)   (21,558,213)   (1,433,261,814)
Russia Small-Cap ETF   19,704    (9,861,660)       (2,799)   (1,926,474)   (11,771,229)
Vietnam ETF   39,215    (267,338,121)       (42,378)   35,527,725    (231,813,559)

 

* Qualified late year losses incurred after October 31, 2019 are deemed to arise on January 1, 2020.
71

VANECK VECTORS ETF TRUST

NOTES TO FINANCIAL STATEMENTS

(continued)

 

The tax character of dividends paid to shareholders were as follows:

 

   2019 Dividends  2018 Dividends
Fund  Ordinary
Income**
  Ordinary
Income**
  Long-Term
Capital Gains
Africa Index ETF  $3,150,210   $924,000   $ 
Brazil Small-Cap ETF   2,475,060    2,547,600     
ChinaAMC CSI 300 ETF   985,120    525,300    4,316,300 
ChinaAMC SME-ChiNext ETF   135,000         
Egypt Index ETF   650,037    560,463     
India Small-Cap Index ETF   1,600,209    216,823     
Indonesia Index ETF   850,140    975,800     
Israel ETF   800,085    349,800     
Russia ETF   73,500,780    68,511,950     
Russia Small-Cap ETF   1,625,031    1,440,098     
Vietnam ETF   3,336,840    2,610,800     

 

** Includes short-term capital gains (if any)

 

At December 31, 2019, the Funds had capital loss carryforwards available to offset future capital gains, as follow:

 

Fund  Short-Term
Capital Losses
with No Expiration
  Long-Term
Capital Losses
with No Expiration
  Total
Africa Index ETF  $(10,482,431)  $(49,808,393)  $(60,290,824)
Brazil Small-Cap ETF   (22,088,693)   (134,087,619)   (156,176,312)
ChinaAMC CSI 300 ETF   (1,492,992)   (4,553,321)   (6,046,313)
ChinaAMC SME-ChiNext ETF   (8,882,601)   (5,369,832)   (14,252,433)
Egypt Index ETF   (12,397,949)   (17,850,164)   (30,248,113)
India Small-Cap Index ETF   (19,174,916)   (34,649,017)   (53,823,933)
Indonesia Index ETF   (37,157,756)   (65,150,866)   (102,308,622)
Israel ETF   (868,022)   (8,092,637)   (8,960,659)
Russia ETF   (220,099,845)   (1,204,596,430)   (1,424,696,275)
Russia Small-Cap ETF   (3,271,269)   (6,590,391)   (9,861,660)
Vietnam ETF   (66,849,395)   (200,488,726)   (267,338,121)

 

During the year ended December 31, 2019, Brazil Small-Cap ETF and Israel ETF utilized $8,189,563 and $40,045 of their capital loss carryovers available from prior years.

 

During the year ended December 31, 2019, as a result of permanent book to tax differences, primarily due to the tax treatment of gains/losses from securities redeemed in-kind, the Funds incurred differences that affected distributable earnings and aggregate paid in capital by the amounts in the table below. Net assets were not affected by these reclassifications.

 

Fund  Increase
(Decrease) in
Distributable
Earnings
  Increase
(Decrease) in
Aggregate
Paid in Capital
Africa Index ETF  $(1,058,432)  $1,058,432 
Brazil Small-Cap ETF   (476,505)   476,505 
ChinaAMC CSI 300 ETF        
ChinaAMC SME-ChiNext ETF   9,242    (9,242)
Egypt Index ETF   (189,234)   189,234 
India Small-Cap Index ETF   171,849    (171,849)
Indonesia Index ETF   (404,280)   404,280 
Israel ETF        
Russia ETF   (89,239,018)   89,239,018 
Russia Small-Cap ETF   (132,802)   132,802 
Vietnam ETF   (950,984)   950,984 
72

 

 

The Funds recognize the tax benefits of uncertain tax positions only where the position is “more-likely-than-not” to be sustained assuming examination by applicable tax authorities. Management has analyzed the Funds’ tax positions, and has concluded that no liability for unrecognized tax benefits should be recorded related to uncertain tax positions taken on return filings for all open tax years. The Funds do not have exposure for additional years that might still be open in certain foreign jurisdictions. Therefore, no provision for income tax is required in the Funds’ financial statements. However, the Funds are subject to foreign taxes on the appreciation in value of certain investments. The Funds provide for such taxes on both realized and unrealized appreciation.

 

The Funds recognize interest and penalties, if any, related to uncertain tax positions as income tax expense in the Statements of Operations. During the year ended December 31, 2019, the Funds did not incur any interest or penalties.

 

Investments in China: Uncertainties in the Chinese tax rules governing taxation of income and gains from investments in A-Shares could result in unexpected tax liabilities for the ChinaAMC CSI 300 ETF and ChinaAMC SME-ChiNext ETF (the “Funds”). China generally imposes withholding income tax (“WHT”) at a rate of 10% on dividends and interest (excluding government bond interest) derived by non-People’s Republic of China (“PRC”) resident enterprises (including a Qualified Foreign Institutional Investor (“QFII”) and a Renminbi Qualified Foreign Institutional Investor (“RQFII”)) from issuers residing in China. However, on November 7, 2018, the PRC Ministry of Finance (“MOF”) and PRC State Administration of Taxation (“SAT”) jointly issued Caishui [2018] 108 (Circular 108) to clarify the temporary three-year tax exemption on bond interest derived by foreign institutional investors (“FIIs”). Pursuant to Circular 108, FIIs are temporarily exempt from withholding income tax and value added tax with respect to bond interest income derived in the domestic bond market (via QFII, RQFII, CIBM and Hong Kong Bond Connect) from November 7, 2018 to November 6, 2021. China also imposes WHT at a rate of 10% on capital gains derived by non-PRC resident enterprises from the disposal in shares of PRC enterprises. Effective November 17, 2014, investments through the Hong Kong-Shanghai Stock Connect program, QFIIs and RQFIIs, which includes these Funds, were exempted temporarily from WHT with respect to gains derived from the trading of equity investments (including A-shares). However, uncertainties remain regarding the taxation of capital gains in China. PRC rules for taxation of RQFIIs (and QFIIs) and the PRC tax regulations to be issued by the PRC State Administration of Taxation and/or PRC MOF to clarify the subject matter may apply retrospectively, even if such rules are adverse to the nonresident investors. If the PRC tax authorities were to issue differing formal guidance or tax rules regarding the taxation of capital gains derived by QFIIs, RQFIIs and other nonresident investors WHT on gains from such investments the Funds could be subject to additional tax liabilities.

 

Investments in India: The Finance Act, 2012 introduced a general anti-avoidance rule (“GAAR”), which became effective from April 1, 2017. GAAR is applicable where the main purpose of an arrangement is tax avoidance and empowers Indian tax authorities to declare such an arrangement as an impermissible avoidance arrangement. Additionally, on May 10, 2016, the Governments of India and Mauritius signed the Protocol for amending the tax treaty between India and Mauritius. The renegotiation of the treaty clarified the applicability of GAAR to a Mauritius subsidiary deemed a tax resident of Mauritius. As per the Protocol, India commenced taxation on capital gains arising from disposition of shares acquired on or after April 1, 2017 in a company resident in India, with shares acquired on or before March 31, 2017 being grandfathered as exempt from capital gains taxation. Additionally, the Finance Act (2018) provided that long-term capital gains from listed equity shares sold after April 1, 2018 which were previously exempt from capital gains tax are now subject to a tax of 10% (plus applicable surcharge and education cess). Taxpayers received a cost step-up to the fair market value of shares held on January 31, 2018 provided the shares had unrealized gains as of that date. In summary, capital gains on shares purchased after April 1, 2018 for India Small-Cap Index Fund will now be subject to a capital gains tax of 15% on short-term capital gains and 10% on long-term capital gains (plus applicable surcharges and cess). Existing Indian capital loss carryforwards may be utilized to offset capital gains realized on securities acquired after April 1, 2017. These changes may reduce the return to the India Small-Cap Index ETF on its investments made after April 1, 2017 and the return received by Fund shareholders.

 

Note 7—Principal Risks—The investment objective of each Fund is to seek investment results that correspond generally to the price and yield performance, before fees and expenses, of its underlying index, as indicated in the name of each Fund. The Adviser uses a “passive” or index approach to achieve each Fund’s investment objective by investing in a portfolio of securities that generally replicates the Fund’s index. Each of the Funds (except Africa Index ETF, Brazil Small-Cap ETF, ChinaAMC CSI 300 ETF, ChinaAMC SME-ChiNext ETF and India Small-Cap Index ETF) is classified as a non-diversified fund under the 1940 Act. Non-diversified funds generally hold securities of fewer issuers than diversified funds and may be more susceptible to the risks associated with these particular issuers, or to a single

73

VANECK VECTORS ETF TRUST

NOTES TO FINANCIAL STATEMENTS

(continued)

 

economic, political or regulatory occurrence affecting these issuers. The Funds may purchase securities on foreign exchanges. Securities of foreign issuers involve special risks and considerations not typically associated with investing in U.S. issuers. These risks include devaluation of currencies, currency controls, less reliable information about issuers, different securities transaction clearance and settlement practices, future adverse political and economic developments and local/regional conflicts or natural or other disasters, such as the recent coronavirus outbreak. These risks are heightened for investments in emerging market countries. Moreover, securities of many foreign issuers and their markets may be less liquid and their prices more volatile than those of comparable U.S. issuers. In addition, for Africa Index ETF and Egypt Index ETF there may be limitations or delays in the convertibility or repatriation of certain African currencies, which would adversely affect the U.S. dollar value and/or liquidity of the Fund’s investments denominated in such African currencies, may impair the Fund’s ability to achieve its investment objective and/or may impede the Fund’s ability to satisfy redemption requests in timely manner.

 

As a result of certain events, the United States and the European Union (“EU”) have imposed sanctions on certain Russian individuals and companies. These sanctions do not currently impact the Funds. Additional economic sanctions may be imposed or other actions may be taken that may adversely affect the value and liquidity of the Russian-related issuers’ held by the Funds.

 

Should the Chinese government impose restrictions on the ability of ChinaAMC CSI 300 ETF and ChinaAMC SME-ChiNext ETF to repatriate funds associated with direct investment in A-Shares, the Funds may be unable to satisfy distribution requirements applicable to regulated investment companies (“RICs”) under the Internal Revenue Code of 1986, as amended, and the Funds may therefore be subject to Fund-level U.S. federal taxes.

 

A more complete description of risks is included in each Fund’s Prospectus and Statement of Additional Information.

 

Note 8—Trustee Deferred Compensation Plan—The Trust has a Deferred Compensation Plan (the “Plan”) for Trustees under which the Trustees can elect to defer receipt of their trustee fees until retirement, disability or termination from the Board of Trustees. The fees otherwise payable to the participating Trustees are deemed invested in shares of the Funds as directed by the Trustees.

 

The expense for the Plan is included in “Trustees’ fees and expenses” in the Statements of Operations. The liability for the Plan is shown as “Deferred Trustee fees” in the Statements of Assets and Liabilities.

 

Note 9—Securities Lending—To generate additional income, each of the Funds may lend its securities pursuant to a securities lending agreement with the securities lending agent. Each Fund may lend up to 33% of its investments requiring that the loan be continuously collateralized by cash, cash equivalents, U.S. government securities, or any combination of cash and such securities at all times equal to at least 102% (105% for foreign securities) of the market value plus accrued interest on the securities loaned. Daily market fluctuations could cause the value of loaned securities to be more or less than the value of the collateral received. When this occurs, the collateral is adjusted and settled on the next business day. During the term of the loan, the Funds will continue to receive any dividends, interest or amounts equivalent thereto, on the securities loaned while receiving a fee from the borrower and/or earning interest on the investment of the cash collateral. Such fees and interest are shared with the securities lending agent under the terms of the securities lending agreement. Securities lending income is disclosed as such in the Statements of Operations. The cash collateral is maintained on the Funds’ behalf by the lending agent and is invested in the State Street Navigator Securities Lending Government Money Market Portfolio. Non-cash collateral consists of U.S. Treasuries and U.S. Government Agency securities, and is not disclosed in the Funds’ Schedules of Investments or Statements of Assets and Liabilities as it is held by the agent on behalf of the Funds, and the Funds do not have the ability to re-hypothecate those securities. Loans are subject to termination at the option of the borrower or the Funds. Upon termination of the loan, the borrower will return to the Fund securities identical to the securities loaned. The Funds bear the risk of delay in recovery of, or even loss of rights in, the securities loaned should the borrower of the securities fail financially. The value of loaned securities and related collateral outstanding at December 31, 2019 is presented on a gross basis in the Schedules of Investments and Statements of Assets and Liabilities. The following is a summary of the Funds’ securities on loan and related collateral as of December 31, 2019:

74

 

 

Fund  Market Value of
Securities on Loan
  Cash
Collateral
  Non-Cash
Collateral
  Total Collateral
Africa Index ETF  $1,588,160   $916,922   $803,218   $1,720,140 
Brazil Small-Cap ETF   1,811,608    1,306,142    588,675    1,894,817 
Israel ETF   2,013,664    282,011    1,771,493    2,053,504 
Russia ETF   2,136,185    27,004    2,131,867    2,158,871 
Russia Small-Cap ETF   2,942,477    1,210,410    1,894,316    3,104,726 
Vietnam ETF   1,927,656        2,061,166    2,061,166 

 

The following table presents money market fund investments held as collateral by type of security on loan as of December 31, 2019:

 

   Gross Amount of Recognized
Liabilities for Securities
Loaned in the Statements of
Assets and Liabilities*
Fund  Equity Securities
Africa Index ETF                  $916,922                  
Brazil Small-Cap ETF   1,306,142 
Israel ETF   282,011 
Russia ETF   27,004 
Russia Small-Cap ETF   1,210,410 

 

* Remaining contractual maturity of the agreements: overnight and continuous

 

Note 10—Bank Line of Credit—The Funds may participate in a $200 million committed credit facility (the “Facility”) to be utilized for temporary financing until the settlement of sales or purchases of portfolio securities, the repurchase or redemption of shares of the Funds at the request of the shareholders and other temporary or emergency purposes. The Funds have agreed to pay commitment fees, pro rata, based on the unused but available balance. Interest is charged to the Funds at rates based on prevailing market rates in effect at the time of borrowings. During the year ended December 31, 2019, the following Funds borrowed under this Facility:

 

Fund  Days
Outstanding
  Average
Daily Loan
Balance
  Average
Interest Rate
  Outstanding Loan
Balance as of
December 31, 2019
Africa Index ETF   92   $346,353    3.74%  $467,385 
Brazil Small-Cap ETF   310    1,064,324    3.70    2,000,930 
ChinaAMC CSI 300 ETF   343    2,431,753    3.64     
ChinaAMC SME-ChiNext ETF   1    1,478,981    3.80     
Egypt Index ETF   219    827,168    3.67     
India Small-Cap Index ETF   306    1,532,041    3.59     
Indonesia Index ETF   2    446,915    3.65     
Israel ETF   130    528,403    3.65     
Russia ETF   242    6,727,015    3.63    4,886,486 
Russia Small-Cap ETF   148    393,690    3.83     
Vietnam ETF   321    3,812,842    3.61    475,303 

 

Note 11—Recent Accounting Pronouncements—The Funds early adopted certain provisions of Accounting Standards Update No. 2018-13 Disclosure Framework—Changes to the Disclosure Requirements for Fair Value Measurement (“ASU 2018-13”) that eliminate and modify certain disclosure requirements for fair value measurements. The adoption of certain provisions of the ASU 2018-13 had no material effect on financial statements and related disclosures. Management is currently evaluating the potential impact of additional requirements, not yet adopted, of the ASU 2018-13 to financial statements. Public companies will be required to disclose the range and weighted average used to develop significant unobservable inputs for Level 3 fair value measurements. ASU 2018-13 is effective for fiscal years beginning after December 15, 2019 and for interim periods within those fiscal years.

 

Note 12—Subsequent Event Review—The Funds have evaluated subsequent events and transactions for potential recognition or disclosure through the date the financial statements were issued.

75

VANECK VECTORS ETF TRUST

REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM

 

To the Shareholders of VanEck Vectors Africa Index ETF, VanEck Vectors Brazil Small-Cap ETF, VanEck Vectors ChinaAMC CSI 300 ETF, VanEck Vectors ChinaAMC SME-ChiNext ETF, VanEck Vectors Egypt Index ETF, VanEck Vectors India Small-Cap Index ETF, VanEck Vectors Indonesia Index ETF, VanEck Vectors Israel ETF, VanEck Vectors Russia ETF, VanEck Vectors Russia Small-Cap ETF and VanEck Vectors Vietnam ETF and the Board of Trustees of VanEck Vectors ETF Trust.

 

Opinion on the Financial Statements

We have audited the accompanying statements of assets and liabilities (consolidated as it relates to VanEck Vectors India Small-Cap Index ETF) of VanEck Vectors Africa Index ETF, VanEck Vectors Brazil Small-Cap ETF, VanEck Vectors ChinaAMC CSI 300 ETF, VanEck Vectors ChinaAMC SME-ChiNext ETF, VanEck Vectors Egypt Index ETF, VanEck Vectors India Small-Cap Index ETF, VanEck Vectors Indonesia Index ETF, VanEck Vectors Israel ETF, VanEck Vectors Russia ETF, VanEck Vectors Russia Small-Cap ETF and VanEck Vectors Vietnam ETF (collectively referred to as the “Funds”) (eleven of the series constituting VanEck Vectors ETF Trust (the “Trust”)), including the schedules of investments (consolidated as it relates to VanEck Vectors India Small-Cap Index ETF), as of December 31, 2019, and the related statements of operations (consolidated as it relates to VanEck Vectors India Small-Cap Index ETF) for the year then ended, the statements of changes in net assets (consolidated as it relates to VanEck Vectors India Small-Cap Index ETF) for each of the two years in the period then ended, the financial highlights (consolidated as it relates to VanEck Vectors India Small-Cap Index ETF) for each of the five years in the period then ended and the related notes (collectively referred to as the “financial statements”). In our opinion, the financial statements present fairly, in all material respects, the financial position (consolidated as it relates to VanEck Vectors India Small-Cap Index ETF) of each of the Funds (eleven of the series constituting VanEck Vectors ETF Trust) at December 31, 2019, and the results of their operations for the year then ended (consolidated as it relates to VanEck Vectors India Small-Cap Index ETF), the changes in net assets (consolidated as it relates to VanEck Vectors India Small-Cap Index ETF) for each of the two years in the period then ended and financial highlights (consolidated as it relates to VanEck Vectors India Small-Cap Index ETF) for each of the five years in the period then ended, in conformity with U.S. generally accepted accounting principles.

 

Basis for Opinion

These financial statements are the responsibility of the Trust’s management. Our responsibility is to express an opinion on each of the Funds’ financial statements based on our audits. We are a public accounting firm registered with the Public Company Accounting Oversight Board (United States) (“PCAOB”) and are required to be independent with respect to the Trust in accordance with the U.S. federal securities laws and the applicable rules and regulations of the Securities and Exchange Commission and the PCAOB.

 

We conducted our audits in accordance with the standards of the PCAOB. Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement, whether due to error or fraud. The Trust is not required to have, nor were we engaged to perform, an audit of the Trust’s internal control over financial reporting. As part of our audits, we are required to obtain an understanding of internal control over financial reporting, but not for the purpose of expressing an opinion on the effectiveness of the Trust’s internal control over financial reporting. Accordingly, we express no such opinion.

 

Our audits included performing procedures to assess the risks of material misstatement of the financial statements, whether due to error or fraud, and performing procedures that respond to those risks. Such procedures included examining, on a test basis, evidence regarding the amounts and disclosures in the financial statements. Our procedures included confirmation of securities owned as of December 31, 2019, by correspondence with the custodian and brokers or by other appropriate auditing procedures where replies from broker were not received. Our audits also included evaluating the accounting principles used and significant estimates made by management, as well as evaluating the overall presentation of the financial statements. We believe that our audits provide a reasonable basis for our opinion.

 

 

 

We have served as the auditor of one or more of the VanEck investment companies since 1999.

 

New York, New York
February 27, 2020

76

VANECK VECTORS ETF TRUST

TAX INFORMATION

(unaudited)

 

The following information is provided with respect to the distributions paid during the taxable year ended December 31, 2019

 

   Africa
Index ETF
     Brazil
Small-Cap
ETF
     ChinaAMC
CSI 300
ETF
     ChinaAMC
SME-ChiNext
ETF
     Egypt
Index ETF
     India
Small-Cap
Index ETF
Record Date      12/24/2019       12/24/2019       12/24/2019       12/24/2019       12/24/2019       12/24/2019 
Ex Date    12/23/2019     12/23/2019     12/23/2019     12/23/2019     12/23/2019     12/23/2019 
Payable Date    12/30/2019     12/30/2019     12/30/2019     12/30/2019     12/30/2019     12/30/2019 
Ordinary Income Per Share    $1.285800     $0.697200     $0.615700     $0.135000     $0.604700     $0.423900 
                                           
Ordinary Income:                                          
Qualified Dividend Income for Individuals     30.07%*     6.97%*     100.00%*     100.00%*     100.00%*     100.00%*
Dividends Qualifying for the Dividends Received Deduction for Corporations                                    
Foreign Source Income     81.73%*     92.64%*     100.00%*     88.94%*     100.00%*     100.00%*
Foreign Taxes Paid Per Share    $0.081936**    $0.032093**    $0.109324**    $0.032068**    $0.116700**    $0.010165**
                                      
   Indonesia
Index ETF
  Israel
ETF
  Russia
ETF
  Russia
Small-Cap
ETF
  Vietnam ETF
Record Date    12/24/2019     12/24/2019     12/24/2019     12/24/2019     12/24/2019     12/31/2019 
Ex Date    12/23/2019     12/23/2019     12/23/2019     12/23/2019     12/23/2019     12/30/2019 
Payable Date    12/30/2019     12/30/2019     12/30/2019     12/30/2019     12/30/2019     1/6/2020 
Ordinary Income Per Share    $0.472300     $0.484900     $1.416200     $1.652600     $0.105100     $0.015800 
                                           
Ordinary Income:                                          
Qualified Dividend Income for Individuals     100.00%*     74.28%*     25.04%*     32.13%*     47.77%*     47.73%*
Dividends Qualifying for the Dividends Received Deduction for Corporations           0.71%*                        
Foreign Source Income     99.28%*     61.90%*     97.11%*     99.16%*     100.00%*     100.00%*
Foreign Taxes Paid Per Share    $0.086796**    $0.105617**    $0.210841     $0.138012**    $0.007716**    $0.001160**

 

* Expressed as a percentage of the ordinary income distribution grossed up for foreign taxes.
   
** The foreign taxes paid represent taxes incurred by the Fund on income received by the Fund from foreign sources. Foreign taxes paid may be included in taxable income with an offsetting deduction from gross income or may be taken as a credit for taxes paid to foreign governments. You should consult your tax adviser regarding the appropriate treatment of foreign taxes paid.

 

Please consult your tax advisor for proper treatment of this information.

77

VANECK VECTORS ETF TRUST

BOARD OF TRUSTEES AND OFFICERS

December 31, 2019 (unaudited)

 

Name, Address1
and Year of Birth
  Position(s)
Held with
the Trust
  Term of
Office2 and
Length of
Time Served
  Principal Occupation(s)
During Past Five Years
  Number of
Portfolios
in Fund
Complex3
Overseen
  Other Directorships Held
By Trustee During Past Five Years
                     
Independent Trustees                
David H. Chow,
1957*†
  Chairman Trustee   Since 2008
Since 2006
  Founder and CEO, DanCourt Management LLC (financial/strategy consulting firm and Registered Investment Adviser), March 1999 to present.   55   Director, Forward Management LLC and Audit Committee Chairman, May 2008 to June 2015; Trustee, Berea College of Kentucky, May 2009 to present and currently Chairman of the Investment Committee; Member of the Governing Council of the Independent Directors Council, October 2012 to present; President, July 2013 to June 2015, and Board Member of the CFA Society of Stamford, July 2009 to present; Trustee, MainStay Fund Complex4, January 2016 to present and currently Chairman of the Risk and Compliance Committee.
                     
Laurie A. Hesslein,
1959*†
  Trustee   Since 2019   Citigroup, Managing Director and Business Head, Local Consumer Lending North America, CEO and President, CitiFinancial Servicing LLC (2013 - 2017).   55   Trustee, Eagle Growth and Income Opportunities Fund; Trustee, THL Credit Senior Loan Fund.
                     
R. Alastair Short,
1953*†
  Trustee   Since 2006   President, Apex Capital Corporation (personal investment vehicle).   66   Chairman and Independent Director, EULAV Asset Management; Trustee, Kenyon Review; Trustee, Children’s Village. Formerly, Independent Director, Tremont offshore funds.
                     
Peter J. Sidebottom,
1962*†
  Trustee   Since 2012   Lead Partner, North America Banking and Capital Markets Strategy, Accenture, May 2017 to present; Partner, PWC/Strategy & Financial Services Advisory, February 2015 to March 2017; Founder and Board Member, AspenWoods Risk Solutions, September 2013 to February 2016; Independent consultant, June 2013 to February 2015; Partner, Bain & Company (management consulting firm), April 2012 to December 2013; Executive Vice President and Senior Operating Committee Member, TD Ameritrade (on-line brokerage firm), February 2009 to January 2012.   55   Board Member, Special Olympics, New Jersey, November 2011 to September 2013; Director, The Charlotte Research Institute, December 2000 to 2009; Board Member, Social Capital Institute, University of North Carolina Charlotte, November 2004 to January 2012; Board Member, NJ-CAN, July 2014 to 2016.
                     
Richard D. Stamberger,
1959*†
  Trustee   Since 2006   President and CEO, SmartBrief, LLC (business media company).   66   Director, Food and Friends, Inc.
                     
Interested Trustee                
Jan F. van Eck,
19635
  Trustee, Chief Executive Officer and President   Trustee (Since 2006); Chief Executive Officer and President (Since 2009)   Director, President and Chief Executive Officer of Van Eck Associates Corporation (VEAC), Van Eck Absolute Return Advisers Corporation (VEARA) and Van Eck Securities Corporation (VESC); Officer and/or Director of other companies affiliated with VEAC and/or the Trust   55   Director, National Committee on US-China Relations.
                     
 

1 The address for each Trustee and officer is 666 Third Avenue, 9th Floor, New York, New York 10017.
2 Each Trustee serves until resignation, death, retirement or removal. Officers are elected yearly by the Trustees.
3 The Fund Complex consists of the VanEck Funds, VanEck VIP Trust and the Trust.
4 The MainStay Fund Complex consists of MainStay Funds, MainStay Funds Trust, MainStay VP Funds Trust and MainStay MacKay Defined Term Municipal Opportunities Fund.
5 “Interested person” of the Trust within the meaning of the 1940 Act. Mr. van Eck is an officer of VEAC, VEARA and VESC.
* Member of the Audit Committee.
Member of the Nominating and Corporate Governance Committee.
78

 

 

Officer’s Name,
Address1 and
Year of Birth
  Position(s)
Held with
the Trust
  Term of Office2
and Length of
Time Served
  Principal Occupation(s) During Past Five Years
             
Officer Information            
Matthew A. Babinsky,
1983
  Assistant Vice President and Assistant Secretary   Since 2016   Assistant Vice President, Assistant General Counsel and Assistant Secretary of VEAC, VEARA and VESC; Officer of other investment companies advised by VEAC and VEARA. Formerly, Associate, Clifford Chance US LLP.
             
Russell G. Brennan,
1964
  Assistant Vice President and Assistant Treasurer   Since 2008   Assistant Vice President of VEAC; Officer of other investment companies advised by VEAC and VEARA.
             
Charles T. Cameron,
1960
  Vice President   Since 2006   Portfolio Manager of VEAC; Officer and/or Portfolio Manager of other investment companies advised by VEAC and VEARA. Formerly, Director of Trading of VEAC.
             
John J. Crimmins,
1957
  Vice President, Treasurer, Chief Financial Officer and Principal Accounting Officer   Vice President, Chief Financial Officer and Principal Accounting Officer (Since 2012); Treasurer (Since 2009)   Vice President of VEAC and VEARA; Officer of other investment companies advised by VEAC and VEARA. Formerly, Vice President of VESC.
             
Eduardo Escario,
1975
  Vice President   Since 2012   Regional Director, Business Development/Sales for Southern Europe and South America of VEAC.
             
Henry Glynn,
1983
  Assistant Vice President   Since 2018   Head of ETF Capital Markets Europe of Van Eck Switzerland AG. Formerly, Member of the Capital Markets team at Vanguard Group.
             
F. Michael Gozzillo,
1965
  Chief Compliance Officer   Since 2018   Vice President and Chief Compliance Officer of VEAC and VEARA; Chief Compliance Officer of VESC; Officer of other investment companies advised by VEAC and VEARA. Formerly, Chief Compliance Officer of City National Rochdale, LLC and City National Rochdale Funds.
             
Laura Hamilton,
1977
  Vice President   Since 2019   Assistant Vice President of VEAC and VESC; Officer of other investment companies advised by VEAC and VEARA. Formerly, Operations Manager of Royce & Associates.
             
Nicholas Jackson,
1974
  Assistant Vice President   Since 2018   Vice President, Business Development of VanEck Australia Pty Ltd.
             
Laura I. Martínez,
1980
  Vice President and Assistant Secretary   Vice President (Since 2016); Assistant Secretary (Since 2008)   Vice President, Associate General Counsel and Assistant Secretary of VEAC, VEARA and VESC; Officer of other investment companies advised by VEAC and VEARA. Formerly, Assistant Vice President of VEAC, VEARA and VESC.
             
Matthew McKinnon,
1970
  Assistant Vice President   Since 2018   Head of Business Development of Asia Pacific of VanEck Australia Pty Ltd. Formerly, Director, Intermediaries and Institutions of VanEck Australia Pty Ltd.
             
Arian Neiron,
1979
  Vice President   Since 2018   Managing Director and Head of Asia Pacific of VanEck Australia Pty Ltd.; Officer and/or Director of other companies affiliated with VEAC and/or the Trust.
             
James Parker,
1969
  Assistant Treasurer   Since 2014   Assistant Vice President of VEAC; Manager, Portfolio Administration of VEAC and VEARA. Officer of other investment companies advised by VEAC and VEARA.
             
Adam Phillips,
1970
  Vice President   Since 2018   ETF Chief Operating Officer of VEAC; Director of other companies affiliated with VEAC.
             
Philipp Schlegel,
1974
  Vice President   Since 2016   Managing Director of Van Eck Switzerland AG.
             
Jonathan R. Simon,
1974
  Senior Vice President, Secretary and Chief Legal Officer   Senior Vice President (Since 2016); Secretary and Chief Legal Officer (Since 2014)   Senior Vice President, General Counsel and Secretary of VEAC, VEARA and VESC; Officer and/or Director of other companies affiliated with VEAC and/or the Trust. Formerly, Vice President of VEAC, VEARA and VESC.

 

 

1 The address for each Officer is 666 Third Avenue, 9th Floor, New York, New York 10017.
2 Officers are elected yearly by the Trustees.
79

 

This report is intended for the Funds’ shareholders. It may not be distributed to prospective investors unless it is preceded or accompanied by a VanEck Vectors ETF Trust (the “Trust”) prospectus and summary prospectus, which includes more complete information. Investing involves substantial risk and high volatility, including possible loss of principal. An investor should consider the investment objective, risks, charges and expenses of the Fund carefully before investing. To obtain a prospectus and summary prospectus, which contains this and other information, call 800.826.2333 or visit vaneck.com. Please read the prospectus and summary prospectus carefully before investing.

 

Additional information about the Trust’s Board of Trustees/Officers and a description of the policies and procedures the Trust uses to determine how to vote proxies relating to portfolio securities are provided in the Statement of Additional Information. The Statement of Additional Information and information regarding how the Trust voted proxies relating to portfolio securities during the most recent twelve month period ending June 30 is available, without charge, by calling 800.826.2333, or by visiting vaneck.com, or on the Securities and Exchange Commission’s website at http://www.sec.gov.

 

The Trust files its complete schedule of portfolio holdings with the Securities and Exchange Commission for the first and third quarters of each fiscal year on Form N-PORT. The Trust’s Form N-PORT filings are available on the Commission’s website at http://www.sec.gov and may be reviewed and copied at the Commission’s Public Reference Room in Washington, D.C. Information on the operation of the Public Reference Room may be obtained by calling 202.942.8090. The Funds’ complete schedules of portfolio holdings are also available by calling 800.826.2333 or by visiting vaneck.com.

 

 

Investment Adviser: Van Eck Associates Corporation  
Distributor: Van Eck Securities Corporation
666 Third Avenue, New York, NY 10017
vaneck.com
 
Account Assistance: 800.826.2333 INTLAR
 
ANNUAL REPORT
December 31, 2019

 

 

 

 

 

 

 

 

 

 

VANECK VECTORS®

 

Agribusiness ETF MOO®
Coal ETF KOL®
Gold Miners ETF GDX®
Junior Gold Miners ETF GDXJ®
Low Carbon Energy ETF SMOG®
Natural Resources ETF HAP®
Oil Refiners ETF CRAK®
Oil Services ETF OIH®
Rare Earth/Strategic Metals ETF REMX®
Steel ETF SLX®
Unconventional Oil & Gas ETF FRAK®
Uranium+Nuclear Energy ETF NLR®

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

   
800.826.2333 vaneck.com
 

 

 

President’s Letter 1
Management Discussion 2
Performance Comparison  
Agribusiness ETF 5
Coal ETF 6
Gold Miners ETF 7
Junior Gold Miners ETF 8
Low Carbon Energy ETF 9
Natural Resources ETF 10
Oil Refiners ETF 11
Oil Services ETF 12
Rare Earth/Strategic Metals ETF 13
Steel ETF 14
Unconventional Oil & Gas ETF 15
Uranium+Nuclear Energy ETF 16
About Fund Performance 17
Explanation of Expenses 18
Schedule of Investments  
Agribusiness ETF 20
Coal ETF 22
Gold Miners ETF 24
Junior Gold Miners ETF 27
Low Carbon Energy ETF 30
Natural Resources ETF 32
Oil Refiners ETF 38
Oil Services ETF 40
Rare Earth/Strategic Metals ETF 41
Steel ETF 43
Unconventional Oil & Gas ETF 44
Uranium+Nuclear Energy ETF 45
Statements of Assets and Liabilities 48
Statements of Operations 50
Statements of Changes in Net Assets 52
Financial Highlights  
Agribusiness ETF 57
Coal ETF 57
Gold Miners ETF 58
Junior Gold Miners ETF 58
Low Carbon Energy ETF 59
Natural Resources ETF 59
Oil Refiners ETF 60
Oil Services ETF 60
Rare Earth/Strategic Metals ETF 61
Steel ETF 61
Unconventional Oil & Gas ETF 62
Uranium+Nuclear Energy ETF 62
Notes to Financial Statements 63
Report of Independent Registered Public Accounting Firm 71
Tax Information 73
Board of Trustees and Officers 74

 

 

Certain information contained in this report represents the opinion of the investment adviser which may change at any time. This information is not intended to be a forecast of future events, a guarantee of future results or investment advice. Current market conditions may not continue. The information contained herein regarding each index has been provided by the relevant index provider. Also, unless otherwise specifically noted, any discussion of the Funds’ holdings, the Funds’ performance, and the views of the investment adviser are as of December 31, 2019.

 

VANECK VECTORS ETFs

PRESIDENT’S LETTER

December 31, 2019 (unaudited)

 

Dear Shareholders:

 

The story for 2019 was simple and familiar—slower economic growth was combated by expansive monetary policy.

 

But first a comment on global growth: the two engines of the global economy, the U.S. and China, continue to move forward and we now have the prospect of at least some resolution of the trade dispute between them in the phase-one agreement. The latest economic statistics from China are steady and there are signs of “green shoots.” China’s services sector is expanding robustly and manufacturing is struggling, but not collapsing. My blog, China’s Economic Growth: Continuing Despite Headlines, shows this in two charts.

 

The biggest event in the markets last summer was the surge in bonds in Europe with negative interest rates. At the end of September, nearly $15 trillion worth of debt globally carried a negative yield.1 Despite moves by the European Central Bank to stimulate, not only is the European economy slowing down, but there are also concerns about just how effective central bank actions are. Looking forward, therefore, I think investors should assess their hedge against central bank uncertainty by considering, for example, their gold allocations. While high interest rate environments tend to be tough for gold (it does not pay any yield), against negative interest rates, gold and other hedges against central bank impotence should be strongly considered.

 

We encourage you to stay in touch with us through the videos, email subscriptions and research blogs available on our website, www.vaneck.com. I have started my own email subscription where I share interesting research—you can sign up on www.vaneck.com. Should you have any questions regarding fund performance, please contact us at 800.826.2333 or visit our website.

 

We sincerely thank you for investing in VanEck’s investment strategies. On the following pages, you will find a performance discussion and financial statements for each of the funds for the twelve month period ended December 31, 2019. As always, we value your continued confidence in us and look forward to helping you meet your investment goals in the future.

 

 

Jan F. van Eck

CEO and President

VanEck Vectors ETF Trust

 

January 24, 2020

 

Investing involves substantial risk and high volatility, including possible loss of principal. An investor should consider the investment objective, risks, charges and expenses of the Funds 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.

 

 
1 Financial Times: September was the busiest month ever for corporate debt issuance, September 30, 2019, https://www.ft.com/content/eef8234c-e3c0-11e9-b112-9624ec9edc59
1

VANECK VECTORS ETFs

MANAGEMENT DISCUSSION

December 31, 2019 (unaudited)

 

Agribusiness

 

From a low at the very start of the year, and following one dip at the end of May, agribusiness stocks essentially moved sideways and upward during 2019 without any other major ups or downs. The Fund finished the year returning 21.70% for the 12 month period. The primary drivers of positive performance were companies in the healthcare and consumer staples sectors. In the former, they were, in particular, those in the pharmaceuticals segment. In the latter, they were those in the food products segment. All sectors contributed positively to returns, with only a single segment, food and staples retailing (in the consumer staples sector), detracting from performance. By far the greatest positive returns came from companies in the U.S., while the greatest negative returns came from those in Australia and Chile.

 

Coal

 

Following a lackluster first six months in 2019, after the end of June, except for a single significant up-tick in mid-September, coal stocks declined through December, with a slight up-tick at the very end of the year. The Fund lost 13.77% for the 12 month period under review.

 

In mid-December the U.S. Energy Information Administration (EIA) expected U.S. coal production would total 697 MMst1 in 2019 (down 8% from 2018) and 601 MMst in 2020 (down 14% from 2019).2 U.S. coal exports were expected to total 93 million MMst in 2019 (down nearly 20% on 2018).3 According to the EIA: “U.S. coking coal currently faces challenges from a global oversupply of steel, particularly in the fourth quarter of 2019. Steam coal exports have been dampened by high stockpiles in Europe and India, a top destination for U.S. shipments.”

 

The long-term benefits of any of the current U.S. Administration’s initiatives to provide support for the domestic coal industry continue to remain debatable. Over 2019, demonstrable benefits for coal companies, not least in the U.S., appeared even fewer. However, coal accounts for 27% of all energy used globally and for 38% of electricity generation, in addition to playing a crucial role in industries such as iron and steel.4 While South Africa was the largest positive contributor to returns, its contribution was offset significantly by the negative contributions of the U.S., the single largest negative country contributor to returns, followed by those of Poland and Canada.

 

Gold Miners

 

Until the end of May 2019, the stocks of both major gold miners and their junior peers remained in the doldrums. Thereafter, on the back of falling U.S. interest rates and a rise in the price of gold, they appreciated significantly with the larger gold miners (VanEck Vectors Gold Miners ETF) posting a positive return of 40.15% and junior gold miners (VanEck Vectors Junior Gold Miners ETF) posting a positive return of 41.31% for the 12 month period.

 

Among the larger mining stocks, Canadian companies, with the largest average country weighting, contributed by far the most to performance. Only companies in Peru detracted from performance.

 

The situation was similar among the juniors, with Canada the strongest contributor, followed by South Africa. Mexico detracted the most from performance.

 

Low Carbon Energy

 

The performance of low carbon energy stocks during the 12 month period was encouraging, with the Fund recording a positive return of 37.38%. Companies in the industrial and information technology sectors contributed by far the most to performance. No sector detracted from performance. The U.S. was by far the best performing country. Only a single country, France, detracted from performance and then only minimally.

 

Natural Resources

 

The Fund returned 18.34% over the 12 months period under review. All sectors, except two, contributed positively to returns. While the materials and consumer staples sectors were the two largest contributors, the two detracting sectors, healthcare and financial, did so only minimally. Companies in the U.S. contributed by far the most to performance, while those in Chile detracted the most from performance.

2

 

 

Oil Refiners

 

Following weakness in the middle of the year, refining stocks picked up over the final four months of 2019, ending the 12 month period showing a gain of 9.19%. Refiners performed well with an improving crack spread and widening of the high/light sulfur fuel oil spread heading into the implementation of IMO 2020 (regulations mandating a maximum sulfur content of 0.5% in marine fuels globally) on January 1. There were also some seasonality impacts in November and December, with increased refinery utilization and products build.

 

Exposure to refiners in the U.S. contributed the majority of the Fund’s total positive return. Other significant contributors were: India, Finland, Austria and Australia. Poland, Japan and South Korea detracted the most from performance.

 

Oil Services

 

Having had a relatively strong first four months of 2019, oil services stocks declined into mid-August and demonstrated neither any very stable nor significant recovery thereafter. The result was that the Fund lost 3.35% over the full 12 month period.

 

During the year, drilling activity slowed substantially. While the Baker Hughes U.S. rig count stood at 1,083 at the end of 2018, by the end of 2019 it had dropped over 25% to 805. The count still remains considerably lower than its peak in the U.S. of over 1,900 prior to the oil glut and consequent price crash of 2015.5

 

The oil service stocks in the U.S., with the largest average country weighting, detracted the most from performance. Companies in the U.K. and Netherlands contributed positively, but only minimally, to performance.

 

Rare Earth and Strategic Metals

 

The Fund had another difficult year, gaining just 0.91%. Having hit highs at the end of February and early in April, stocks in the Fund’s portfolio declined (with only a little respite in the last week or so), through the end of the year. A number of companies contributed positively to returns, the largest such contribution coming from a company involved in the mining of cobalt, followed by others involved in either rare earths or titanium. The greatest detractors from performance were companies with mining operations and/or production involving vanadium and lithium. Mid-cap companies performed better than either their large- or small-cap peers (these last actually detracting from performance) during the period under review.

 

Steel

 

In 2019, steel stocks continued to experience a number of quite violent ups and downs, with the Fund’s NAV reaching highs above $42 and a low of approximately $31 over the course of the year. However, the Fund ended the year under review recording a gain of 11.02%. The continuing trade dispute between the U.S. and both China and its ostensible allies did little to help the volatility not only of steel prices, but also those of steel stocks. Perhaps surprisingly, companies in the U.S., with the largest average country weighting, were the greatest contributors to performance. The country was followed by Brazil, with the second largest average weighting during the period under review, and then Australia. India was the greatest detractor from performance.

 

Unconventional Oil & Gas

 

Having hit a high toward the end of April, with an NAV of a little over $14, the Fund took a roller coaster ride down through November and into December, but still ended the period under review having gained 4.32%. Having ended 2018 at $45.41 a barrel, and reached a high of $66.30 on April 23, by the end of the year the front month West Texas Intermediate (WTI) crude oil price6 had dropped nearly 8% to $61.06. Unconventional oil and gas, particularly shale oil, companies consequently had a challenging year. However, both U.S. companies (on average approximately 81% of the Fund by weight during the period under review) and Canadian contributed positively to performance.

3

VANECK VECTORS ETFs

MANAGEMENT DISCUSSION

(unaudited) (continued)

 

Uranium+Nuclear Energy

 

The Fund also had an unsettled year in 2019, ending the 12 month period slightly up with a gain of 0.44%. Industrial companies were the largest contributors to the Fund’s positive total return, with only the energy sector substantially offsetting and detracting from performance. Geographically, companies in the U.S. contributed the most to performance, while Japan was the greatest detractor from performance. According to the World Nuclear Association, in December 2019, there were some 444 operable nuclear power reactors in 30 countries and 54 power reactors currently under construction in 18 countries, notably China, Russia, India, South Korea, the UAE and the U.S.7

 

* Returns based on the funds’ net asset values (NAVs).
   
  The principal risks of investing in VanEck Vectors ETFs include sector, market, economic, political, foreign currency, world event, index tracking and non-diversification risks, as well as fluctuations in net asset value and the risks associated with investing in less developed capital markets. The Funds may loan their securities, which may subject them to additional credit and counterparty risk. Please see the prospectus of each Fund for more complete information regarding each Fund’s specific risks.

 

 
1 One short ton = 2,000 lbs (907.19 kg).
   
2 EIA: Short-Term Energy Outlook (Dated: December 10, 2018), https://www.eia.gov/outlooks/steo/report/coal.cfm
   
3 Ibid.
   
4 International Energy Agency: Coal 2018, December 2018, https://www.iea.org/reports/coal-2018
   
5 Baker Hughes: Baker Hughes Rig Count, http://phx.corporate-ir.net/phoenix.zhtml?c=79687&p=irol-rigcountsoverview
   
6 Front month: “Used in the context of options and futures, the term Front Month means the month closest to delivery (futures) or expiration (options)—which is often in the same month.” www.wikinvest.com/wiki/Front_Month
   
7 World Nuclear Association: World Nuclear Power Reactors & Uranium Requirements, December 2019, https://www.world-nuclear.org/information-library/facts-and-figures/world-nuclear-power-reactors-archive/reactor-archive-december-2019.aspx
4

VANECK VECTORS AGRIBUSINESS ETF

PERFORMANCE COMPARISON

December 31, 2019 (unaudited)

 

   Average Annual Total Returns  Cumulative Total Returns  
         
   Share Price  NAV  MVMOOTR1  Share Price  NAV  MVMOOTR1  
One Year  22.36%  21.70%  22.00%  22.36%  21.70%  22.00%  
Five Year  7.52%  7.45%  7.34%  43.71%  43.24%  42.52%  
Ten Year  6.46%  6.46%  6.57%  86.96%  86.98%  88.98%  
1 MVIS® Global Agribusiness Index (MVMOOTR) is a rules based index intended to give investors a means of tracking the overall performance of the companies in the global agribusiness industry.
   
Index data prior to March 18, 2013 reflects that of the DAXglobal Agribusiness Index (DXAG). From March 18, 2013, forward, the index data reflects that of the MVIS® Global Agribusiness Index (MVMOOTR). All Index history reflects a blend of the performance of the aforementioned Indexes.

 

    Hypothetical Growth of $10,000
     
This chart shows the value of a hypothetical $10,000 investment in the Fund at NAV and at Share Price over the past 10 years. The result is compared with the Fund’s benchmark.  

 

Past performance is no guarantee of future results. Performance results do not reflect the deduction of taxes that a shareholder would pay on fund distributions or on the redemption or sale of fund shares.

 

See “About Fund Performance” on page 17 for more information.

5

VANECK VECTORS COAL ETF

PERFORMANCE COMPARISON

December 31, 2019 (unaudited)

 

   Average Annual Total Returns  Cumulative Total Returns  
         
   Share Price  NAV  MVKOLTR1  Share Price  NAV  MVKOLTR1  
One Year  (12.86)%  (13.77)%  (13.66)%  (12.86)%  (13.77)%  (13.66)%  
Five Year  (2.74)%  (2.75)%  (2.49)%  (12.96)%  (13.01)%  (11.87)%  
Ten Year  (9.13)%  (9.11)%  (8.78)%  (61.60)%  (61.51)%  (60.11)%  
1 MVIS® Global Coal Index (MVKOLTR) is a rules based index intended to give investors a means of tracking the overall performance of companies in the global coal industry.
   
Index data prior to September 24, 2012 reflects that of the Stowe Coal IndexSM (TCOAL). From September 24, 2012 forward, the index data reflects that of the MVIS® Global Coal Index (MVKOLTR). All Index history reflects a blend of the performance of the aforementioned Indexes.

 

    Hypothetical Growth of $10,000
     
This chart shows the value of a hypothetical $10,000 investment in the Fund at NAV and at Share Price over the past 10 years. The result is compared with the Fund’s benchmark.  

 

Past performance is no guarantee of future results. Performance results do not reflect the deduction of taxes that a shareholder would pay on fund distributions or on the redemption or sale of fund shares.

 

See “About Fund Performance” on page 17 for more information.

6

VANECK VECTORS GOLD MINERS ETF

PERFORMANCE COMPARISON

December 31, 2019 (unaudited)

 

   Average Annual Total Returns  Cumulative Total Returns  
         
   Share Price  NAV  GDMNTR1  Share Price  NAV  GDMNTR1  
One Year  39.73%  40.15%  40.89%  39.73%  40.15%  40.89%  
Five Year  10.43%  10.41%  10.84%  64.21%  64.09%  67.31%  
Ten Year  (3.83)%  (3.80)%  (3.35)%  (32.34)%  (32.11)%  (28.85)%  
1 NYSE Arca Gold Miners Index (GDMNTR) is a modified market capitalization weighted index primarily comprised of publicly traded companies involved in the mining for gold and silver.

 

    Hypothetical Growth of $10,000
     
This chart shows the value of a hypothetical $10,000 investment in the Fund at NAV and at Share Price over the past 10 years. The result is compared with the Fund’s benchmark.  

 

Past performance is no guarantee of future results. Performance results do not reflect the deduction of taxes that a shareholder would pay on fund distributions or on the redemption or sale of fund shares.

 

See “About Fund Performance” on page 17 for more information.

7

VANECK VECTORS JUNIOR GOLD MINERS ETF

PERFORMANCE COMPARISON

December 31, 2019 (unaudited)

 

   Average Annual Total Returns  Cumulative Total Returns  
         
   Share Price  NAV  MVGDXJTR1  Share Price  NAV  MVGDXJTR1  
One Year  40.38%  41.31%  42.18%  40.38%  41.31%  42.18%  
Five Year  13.56%  13.53%  13.66%  88.87%  88.58%  89.68%  
Ten Year  (6.24)%  (6.23)%  (5.78)%  (47.49)%  (47.45)%  (44.84)%  
1 MVIS® Global Junior Gold Miners Index (MVGDXJTR) is a rules based, modified capitalization weighted, float adjusted index intended to give investors a means of tracking the overall performance of small-capitalization companies that are involved primarily in the mining for gold and/or silver.

 

    Hypothetical Growth of $10,000
     
This chart shows the value of a hypothetical $10,000 investment in the Fund at NAV and at Share Price over the past 10 years. The result is compared with the Fund’s benchmark.  

 

Past performance is no guarantee of future results. Performance results do not reflect the deduction of taxes that a shareholder would pay on fund distributions or on the redemption or sale of fund shares.

 

See “About Fund Performance” on page 17 for more information.

8

VANECK VECTORS LOW CARBON ENERGY ETF

PERFORMANCE COMPARISON

December 31, 2019 (unaudited)

 

   Average Annual Total Returns  Cumulative Total Returns  
         
   Share Price  NAV  AGIXLT1  Share Price  NAV  AGIXLT1  
One Year  38.86%  37.38%  38.40%  38.86%  37.38%  38.40%  
Five Year  8.01%  7.93%  8.10%  46.98%  46.43%  47.58%  
Ten Year  1.28%  1.20%  0.98%  13.61%  12.63%  10.26%  
1 Ardour Global IndexSM (Extra Liquid) (AGIXLT) is a rules based, modified capitalization weighted, float adjusted index intended to give investors a means of tracking the overall performance of a global universe of listed companies engaged in the alternative energy industry.

 

    Hypothetical Growth of $10,000
     
This chart shows the value of a hypothetical $10,000 investment in the Fund at NAV and at Share Price over the past 10 years. The result is compared with the Fund’s benchmark.  

 

Past performance is no guarantee of future results. Performance results do not reflect the deduction of taxes that a shareholder would pay on fund distributions or on the redemption or sale of fund shares.

 

See “About Fund Performance” on page 17 for more information.

9

VANECK VECTORS NATURAL RESOURCES ETF

PERFORMANCE COMPARISON

December 31, 2019 (unaudited)

 

   Average Annual Total Returns  Cumulative Total Returns  
         
   Share Price  NAV  RVEIT1  Share Price  NAV  RVEIT1  
One Year  18.44%  18.34%  18.54%  18.44%  18.34%  18.54%  
Five Year  4.43%  4.49%  4.65%  24.20%  24.55%  25.52%  
Ten Year  3.25%  3.27%  3.45%  37.67%  37.93%  40.43%  
1 VanEck® Natural Resources Index (RVEIT) is a rules based, modified capitalization weighted, float adjusted index intended to give investors a means of tracking the overall performance of a global universe of listed companies engaged in the production and distribution of commodities and commodity-related products and services.

 

    Hypothetical Growth of $10,000
     
This chart shows the value of a hypothetical $10,000 investment in the Fund at NAV and at Share Price over the past 10 years. The result is compared with the Fund’s benchmark.  

 

Past performance is no guarantee of future results. Performance results do not reflect the deduction of taxes that a shareholder would pay on fund distributions or on the redemption or sale of fund shares.

 

See “About Fund Performance” on page 17 for more information.

10

VANECK VECTORS OIL REFINERS ETF

PERFORMANCE COMPARISON

December 31, 2019 (unaudited)

 

   Average Annual Total Returns  Cumulative Total Returns  
         
   Share Price  NAV  MVCRAKTR1  Share Price  NAV  MVCRAKTR1  
One Year  9.11%  9.19%  9.45%  9.11%  9.19%  9.45%  
Life*  11.37%  11.49%  11.60%  60.10%  60.87%  61.54%  
* Commencement of Fund: 8/18/15; First Day of Secondary Market Trading: 8/19/15
1 MVIS® Global Oil Refiners Index (MVCRAKTR) is a rules based, modified capitalization weighted, float adjusted index intended to give investors a means of tracking the overall performance of companies involved in crude oil refining which may include: gasoline, diesel, jet fuel, fuel oil, naphtha, and other petrochemicals.

 

    Hypothetical Growth of $10,000 (Since Inception)
     
This chart shows the value of a hypothetical $10,000 investment in the Fund at NAV and at Share Price since inception. The result is compared with the Fund’s benchmark.  

 

Past performance is no guarantee of future results. Performance results do not reflect the deduction of taxes that a shareholder would pay on fund distributions or on the redemption or sale of fund shares.

 

See “About Fund Performance” on page 17 for more information.

11

VANECK VECTORS OIL SERVICES ETF

PERFORMANCE COMPARISON

December 31, 2019 (unaudited)

 

   Average Annual Total Returns  Cumulative Total Returns  
         
   Share Price  NAV  MVOIHTR1  Share Price  NAV  MVOIHTR1  
One Year  (3.52)%  (3.35)%  (3.21)%  (3.52)%  (3.35)%  (3.21)%  
Five Year  (16.33)%  (16.29)%  (16.42)%  (58.99)%  (58.89)%  (59.22)%  
Life*  (10.56)%  (10.63)%  (10.70)%  (59.18)%  (59.45)%  (59.71)%  
* Commencement of Fund: 12/20/11; First Day of Secondary Market Trading: 12/21/11
1 MVIS® US Listed Oil Services 25 Index (MVOIHTR) is a rules based, modified capitalization weighted, float adjusted index intended to give investors a means of tracking the overall performance of the largest and the most liquid common stocks and depositary receipts of U.S. exchange-listed companies involved in oil services to the upstream oil sector.

 

    Hypothetical Growth of $10,000 (Since Inception)
     
This chart shows the value of a hypothetical $10,000 investment in the Fund at NAV and at Share Price since inception. The result is compared with the Fund’s benchmark.  

 

Past performance is no guarantee of future results. Performance results do not reflect the deduction of taxes that a shareholder would pay on fund distributions or on the redemption or sale of fund shares.

 

See “About Fund Performance” on page 17 for more information.

12

VANECK VECTORS RARE EARTH/STRATEGIC METALS ETF

PERFORMANCE COMPARISON

December 31, 2019 (unaudited)

 

   Average Annual Total Returns  Cumulative Total Returns  
         
   Share Price  NAV  MVREMXTR1  Share Price  NAV  MVREMXTR1  
One Year  0.62%  0.91%  (0.75)%  0.62%  0.91%  (0.75)%  
Five Year  (7.62)%  (7.77)%  (8.46)%  (32.71)%  (33.26)%  (35.72)%  
Life*  (14.55)%  (14.52)%  (15.08)%  (76.38)%  (76.32)%  (77.69)%  
* Commencement of Fund: 10/27/10; First Day of Secondary Market Trading: 10/28/10
1 MVIS® Global Rare Earth/Strategic Metals Index (MVREMXTR) is a rules based, modified capitalization weighted, float adjusted index intended to give investors a means of tracking the overall performance of companies involved in the rare earth and strategic metals segment.

 

    Hypothetical Growth of $10,000 (Since Inception)
     
This chart shows the value of a hypothetical $10,000 investment in the Fund at NAV and at Share Price since inception. The result is compared with the Fund’s benchmark.  

 

Past performance is no guarantee of future results. Performance results do not reflect the deduction of taxes that a shareholder would pay on fund distributions or on the redemption or sale of fund shares.

 

See “About Fund Performance” on page 17 for more information.

13

VANECK VECTORS STEEL ETF

PERFORMANCE COMPARISON

December 31, 2019 (unaudited)

 

   Average Annual Total Returns  Cumulative Total Returns  
         
   Share Price  NAV  STEEL1  Share Price  NAV  STEEL1  
One Year  11.03%  11.02%  11.60%  11.03%  11.02%  11.60%  
Five Year  4.79%  4.82%  4.98%  26.33%  26.51%  27.51%  
Ten Year  (2.03)%  (2.04)%  (1.80)%  (18.58)%  (18.58)%  (16.57)%  
1 NYSE Arca Steel Index (STEEL) is a modified market capitalization weighted index comprised of common stocks and ADRs of selected companies that are primarily involved in a variety of activities that are related to steel production.

 

    Hypothetical Growth of $10,000
     
This chart shows the value of a hypothetical $10,000 investment in the Fund at NAV and at Share Price over the past 10 years. The result is compared with the Fund’s benchmark.  

 

Past performance is no guarantee of future results. Performance results do not reflect the deduction of taxes that a shareholder would pay on fund distributions or on the redemption or sale of fund shares.

 

See “About Fund Performance” on page 17 for more information.

14

VANECK VECTORS UNCONVENTIONAL OIL & GAS ETF

PERFORMANCE COMPARISON

December 31, 2019 (unaudited)

 

   Average Annual Total Returns  Cumulative Total Returns  
         
   Share Price  NAV  MVFRAKTR1  Share Price  NAV  MVFRAKTR1  
One Year  4.14%  4.32%  4.43%  4.14%  4.32%  4.43%  
Five Year  (11.63)%  (11.64)%  (11.48)%  (46.10)%  (46.13)%  (45.66)%  
Life*  (8.70)%  (8.67)%  (8.51)%  (51.17)%  (51.04)%  (50.36)%  
* Commencement of Fund: 2/14/12; First Day of Secondary Market Trading: 2/15/12
1 MVIS® Global Unconventional Oil & Gas Index (MVFRAKTR) is a rules based, modified capitalization weighted, float adjusted index intended to give investors a means of tracking the overall performance of companies involved in the exploration, development, extraction and/or production of unconventional oil and natural gas.

 

    Hypothetical Growth of $10,000 (Since Inception)
     
This chart shows the value of a hypothetical $10,000 investment in the Fund at NAV and at Share Price since inception. The result is compared with the Fund’s benchmark.  

 

Past performance is no guarantee of future results. Performance results do not reflect the deduction of taxes that a shareholder would pay on fund distributions or on the redemption or sale of fund shares.

 

See “About Fund Performance” on page 17 for more information.

15

VANECK VECTORS URANIUM+NUCLEAR ENERGY ETF

PERFORMANCE COMPARISON

December 31, 2019 (unaudited)

 

   Average Annual Total Returns  Cumulative Total Returns  
         
   Share Price  NAV  MVNLRTR1  Share Price  NAV  MVNLRTR1  
One Year  0.43%  0.44%  0.57%  0.43%  0.44%  0.57%  
Five Year  2.45%  2.47%  2.01%  12.89%  12.96%  10.45%  
Ten Year  0.82%  0.83%  0.48%  8.47%  8.65%  4.95%  
1 MVIS® Global Uranium & Nuclear Energy Index (MVNLRTR) is a rules based, modified capitalization weighted, float adjusted index intended to give investors a means of tracking the overall performance of companies involved in uranium and nuclear energy.
   
Index data prior to March 24, 2014 reflects that of the DAXglobal® Nuclear Energy Index (DXNE). From March 24, 2014, forward, the index data reflects that of the MVIS® Global Uranium & Nuclear Energy Index (MVNLRTR). All index history reflects a blend of the performance of the aforementioned Indexes.

 

    Hypothetical Growth of $10,000
     
This chart shows the value of a hypothetical $10,000 investment in the Fund at NAV and at Share Price over the past 10 years. The result is compared with the Fund’s benchmark.  

 

Past performance is no guarantee of future results. Performance results do not reflect the deduction of taxes that a shareholder would pay on fund distributions or on the redemption or sale of fund shares.

 

See “About Fund Performance” on page 17 for more information.

16

VANECK VECTORS ETF TRUST

ABOUT FUND PERFORMANCE

(unaudited)

 

The price used to calculate market return (Share Price) is determined by using the closing price listed on its primary listing exchange. Since the shares of each Fund did not trade in the secondary market until after each Fund’s commencement, for the period from commencement to the first day of secondary market trading in shares of each Fund, the NAV of each Fund is used as a proxy for the secondary market trading price to calculate market returns.

 

The performance data quoted represents past performance. Past performance is not a guarantee of future results. Performance information for certain Funds reflect temporary waivers of expenses and/or fees. Had these Funds incurred all expenses, investment returns would have been reduced. These returns do not reflect the deduction of taxes that a shareholder would pay on Fund dividends and distributions or the sale of Fund shares.

 

Investment return and value of the shares of each Fund will fluctuate so that an investor’s shares, when sold, may be worth more or less than their original cost. Performance may be lower or higher than performance data quoted. Fund returns reflect reinvestment of dividends and capital gains distributions. Performance current to the most recent month-end is available by calling 800.826.2333 or by visiting vaneck.com.

 

Fund shares are not individually redeemable and will be issued and redeemed at their NAV only through certain authorized broker-dealers in large, specified blocks of shares called “creation units” and otherwise can be bought and sold only through exchange trading. Shares may trade at a premium or discount to their NAV in the secondary market.

 

The net asset value (NAV) of each VanEck Vectors exchange-traded fund (ETF) is determined at the close of each business day, and represents the dollar value of one share of each fund; it is calculated by taking the total assets of each fund, subtracting total liabilities, and dividing by the total number of shares outstanding. The NAVs are not necessarily the same as each ETF’s intraday trading value. VanEck Vectors ETF investors should not expect to buy or sell fund shares at NAV.

 

All indices are unmanaged and include the reinvestment of all dividends, but do not reflect the payment of transaction costs, advisory fees or expenses that are associated with an investment in the Fund. Certain indices may take into account withholding taxes. An index’s performance is not illustrative of the Fund’s performance. Indices are not securities in which investments can be made.

 

The Gold Miners Index and Steel Index are published by ICE Data Indices, LLC (ICE Data). The Agribusiness Index, Coal Index, Junior Gold Miners Index, Oil & Gas Index, Oil Refiners Index, Oil Services Index, Rare Earth/Strategic Metals Index and Uranium & Nuclear Energy Index are published by MV Index Solutions GmbH (MVIS®), which is a wholly owned subsidiary of the Adviser, Van Eck Associates Corporation. The Natural Resources Index and the Ardour Global Index are published by S-Network Global Indexes, LLC (S-Network).

 

ICE Data, MVIS, S-Network, and Ardour are referred to herein as the “Index Providers”. The Index Providers do not sponsor, endorse, or promote the Funds and bear no liability with respect to the Funds or any security.

 

Premium/discount information regarding how often the closing trading price of the Shares of each Fund were above (i.e., at a premium) or below (i.e., at a discount) the NAV of the Fund for each of the four previous calendar quarters and the immediately preceding five years (if applicable) can be found at vaneck.com.

17

VANECK VECTORS ETF TRUST

EXPLANATION OF EXPENSES

(unaudited)

 

Hypothetical $1,000 investment at beginning of period

As a shareholder of a Fund, you incur operating expenses, including management fees and other Fund expenses. This disclosure is intended to help you understand the ongoing costs (in dollars) of investing in your Fund and to compare these costs with the ongoing costs of investing in other mutual funds.

 

The disclosure is based on an investment of $1,000 invested at the beginning of the period and held for the entire period, July 1, 2019 to December 31, 2019.

 

Actual Expenses

The first line in the table below provides information about account values and actual expenses. You may use the information in this line, together with the amount you invested, to estimate the expenses that you paid over the period. Simply divide your account value by $1,000 (for example, an $8,600 account value divided by $1,000 = 8.6), then multiply the result by the number in the first line under the heading entitled “Expenses Paid During the Period.”

 

Hypothetical Example for Comparison Purposes

The second line in the table below provides information about hypothetical account values and hypothetical expenses based on the Fund’s actual expense ratio and an assumed rate of return of 5% per year before expenses, which is not the Fund’s actual return. The hypothetical account values and expenses may not be used to estimate the actual ending account balance or expenses you paid for the period. You may use this information to compare the ongoing costs of investing in your Fund and other funds. To do so, compare this 5% hypothetical example with the 5% hypothetical examples that appear in the shareholder reports of other funds.

 

Please note that the expenses shown in the table are meant to highlight your ongoing costs only and do not reflect any transactional costs, such as brokerage commissions paid on purchases and sales. Therefore, the second line of the table is useful in comparing ongoing costs only, and will not help you determine the relative costs of owning different funds. In addition, if these transactional costs were included, your costs would have been higher.

18

 

 

   Beginning  Ending  Annualized  Expenses Paid
   Account  Account  Expense  During the Period*
   Value  Value  Ratio  July 1, 2019-
   July 1, 2019  December 31, 2019  During Period  December 31, 2019
Agribusiness ETF                    
Actual  $1,000.00         $1,039.80         0.57%     $2.93   
Hypothetical**  $1,000.00   $1,022.33    0.57%  $2.91 
Coal ETF                    
Actual  $1,000.00   $820.80    0.60%  $2.75 
Hypothetical**  $1,000.00   $1,022.18    0.60%  $3.06 
Gold Miners ETF                    
Actual  $1,000.00   $1,152.10    0.52%  $2.82 
Hypothetical**  $1,000.00   $1,022.58    0.52%  $2.65 
Junior Gold Miners ETF                    
Actual  $1,000.00   $1,214.00    0.53%  $2.96 
Hypothetical**  $1,000.00   $1,022.53    0.53%  $2.70 
Low Carbon Energy ETF                    
Actual  $1,000.00   $1,163.80    0.62%  $3.38 
Hypothetical**  $1,000.00   $1,022.08    0.62%  $3.16 
Natural Resources ETF                    
Actual  $1,000.00   $1,037.20    0.50%  $2.57 
Hypothetical**  $1,000.00   $1,022.68    0.50%  $2.55 
Oil Refiners ETF                    
Actual  $1,000.00   $1,058.50    0.60%  $3.11 
Hypothetical**  $1,000.00   $1,022.18    0.60%  $3.06 
Oil Services ETF                    
Actual  $1,000.00   $915.60    0.35%  $1.69 
Hypothetical**  $1,000.00   $1,023.44    0.35%  $1.79 
Rare Earth/Strategic Metals ETF                    
Actual  $1,000.00   $906.20    0.60%  $2.88 
Hypothetical**  $1,000.00   $1,022.18    0.60%  $3.06 
Steel ETF                    
Actual  $1,000.00   $988.30    0.55%  $2.76 
Hypothetical**  $1,000.00   $1,022.43    0.55%  $2.80 
Unconventional Oil & Gas ETF                    
Actual  $1,000.00   $951.80    0.54%  $2.66 
Hypothetical**  $1,000.00   $1,022.48    0.54%  $2.75 
Uranium+Nuclear Energy ETF                    
Actual  $1,000.00   $977.10    0.60%  $2.99 
Hypothetical**  $1,000.00   $1,022.18    0.60%  $3.06 
* Expenses are equal to the Fund’s annualized expense ratio (for the six months ended December 31, 2019) multiplied by the average account value over the period, multiplied by the number of days in the most recent fiscal half year divided by the number of days in the fiscal year (to reflect the one-half year period).
** Assumes annual return of 5% before expenses
19

VANECK VECTORS AGRIBUSINESS ETF

SCHEDULE OF INVESTMENTS

December 31, 2019

 

Number
of Shares
           Value 
           
COMMON STOCKS: 99.9%     
Australia: 2.5%     
 2,155,299   Incitec Pivot Ltd. #  $4,823,354 
 1,156,653   Treasury Wine Estates Ltd. † #   13,197,671 
         18,021,025 
Brazil: 1.9%     
 2,092,500   Rumo SA * #   13,620,843 
Canada: 6.4%     
 964,762   Nutrien Ltd. (USD)   46,221,747 
Chile: 0.9%     
 244,805   Sociedad Quimica y Minera de Chile SA (ADR) †   6,533,845 
China / Hong Kong: 1.5%     
 2,641,000   China Mengniu Dairy Co. Ltd. #   10,683,773 
           
Denmark: 1.2%     
 86,510   Bakkafrost P/F (NOK) #   6,407,222 
 25,929   Schouw & Co. AB   2,181,199 
         8,588,421 
Germany: 8.8%     
 718,787   Bayer AG #   58,476,586 
 365,886   K+S AG #   4,559,693 
         63,036,279 
Indonesia: 1.0%     
 14,673,000   Charoen Pokphand Indonesia Tbk PT #   6,862,182 
Israel: 0.9%     
 1,406,045   Israel Chemicals Ltd. (USD) †   6,734,956 
Japan: 5.4%     
 1,812,030   Kubota Corp. #   28,449,506 
 73,900   Maruha Nichiro Corp. #   1,891,556 
 144,500   Nippon Meat Packers, Inc. #   5,984,584 
 400,300   Nippon Suisan Kaisha Ltd. #   2,390,117 
         38,715,763 
Malaysia: 3.0%     
 5,112,355   IOI Corp. Bhd #   5,764,259 
 714,670   Kuala Lumpur Kepong Bhd #   4,336,310 
 1,070,480   PPB Group Bhd #   4,933,078 
 5,040,300   Sime Darby Plantation Bhd #   6,717,761 
         21,751,408 
Netherlands: 0.4%     
 128,307   OCI NV * #   2,718,415 
Norway: 5.9%     
 484,638   Leroy Seafood Group ASA #   3,223,303 
 820,266   Mowi ASA #   21,308,249 
 96,773   Salmar ASA #   4,954,732 
 315,764   Yara International ASA #   13,143,945 
         42,630,229 
Russia: 0.4%     
 244,947   PhosAgro PJSC Reg S (GDR)   3,110,827 
Number
of Shares
           Value 
           
Singapore: 2.7%     
 8,287,345   Golden Agri-Resources Ltd. #  $1,449,794 
 5,802,051   Wilmar International Ltd. #   17,779,691 
         19,229,485 
Switzerland: 0.6%     
 12,299   Bucher Indistries AG #   4,313,987 
Taiwan: 0.4%     
 1,515,000   Taiwan Fertilizer Co. Ltd. #   2,505,309 
Thailand: 1.3%     
 9,806,836   Charoen Pokphand Foods (NVDR) #   8,990,281 
United Kingdom: 3.3%     
 1,758,809   CNH Industrial NV (USD) †   19,346,899 
 101,898   Genus Plc #   4,292,491 
         23,639,390 
United States: 51.4%     
 104,439   AGCO Corp.   8,067,913 
 690,584   Archer-Daniels-Midland Co.   32,008,568 
 40,561   Balchem Corp.   4,122,214 
 213,188   Bunge Ltd.   12,268,969 
 265,308   CF Industries Holdings, Inc.   12,665,804 
 1,065,980   Corteva, Inc.   31,510,369 
 283,896   Deere & Co.   49,187,821 
 455,136   Elanco Animal Health, Inc. *   13,403,755 
 168,699   FMC Corp.   16,839,534 
 134,328   IDEXX Laboratories, Inc. *   35,077,071 
 67,164   Neogen Corp. *   4,383,123 
 111,659   Pilgrim’s Pride Corp. *   3,652,924 
 27,932   Sanderson Farms, Inc.   4,922,177 
 531,487   The Mosaic Co.   11,501,379 
 156,090   Toro Co.   12,435,690 
 197,420   Tractor Supply Co.   18,446,925 
 426,214   Tyson Foods, Inc.   38,802,523 
 445,611   Zoetis, Inc.   58,976,616 
         368,273,375 
           
Total Common Stocks
(Cost: $637,545,722)
   716,181,540 
SHORT-TERM INVESTMENT HELD AS COLLATERAL FOR SECURITIES ON LOAN: 0.1%
(Cost: $827,598)
     
Money Market Fund: 0.1%     
 827,598   State Street Navigator Securities Lending Government Money Market Portfolio   827,598 
Total Investments: 100.0%
(Cost: $638,373,320)
   717,009,138 
Liabilities in excess of other assets: (0.0)%   (249,496)
NET ASSETS: 100.0%  $716,759,642 


 

See Notes to Financial Statements

20

 

 

Definitions:

ADR American Depositary Receipt
GDR Global Depositary Receipt
NOK Norwegian Krone
NVDR Non-Voting Depositary Receipt
USD United States Dollar

 

Footnotes:

* Non-income producing
Security fully or partially on loan. Total market value of securities on loan is $7,510,630.
# Security has been valued in good faith pursuant to guidelines established by the Board of Trustees. The aggregate value of fair valued securities is $263,778,692 which represents 36.8% of net assets.
Reg S Security was purchased pursuant to Regulation S under the Securities Act of 1933, which exempts from registration securities offered and sold outside of the United States. Such a security cannot be sold in the United States without either an effective registration statement filed pursuant to the Securities Act of 1933, or pursuant to an exemption from registration.

 

Summary of Investments by Sector
Excluding Collateral for Securities Loaned
% of Investments  Value 
Consumer Discretionary       2.6%        $18,446,925 
Consumer Staples   30.8    220,710,923 
Health Care   24.4    174,609,642 
Industrials   18.9    135,422,659 
Materials   23.3    166,991,391 
    100.0%  $716,181,540 

 

The summary of inputs used to value the Fund’s investments as of December 31, 2019 is as follows:

 

   Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
  Value 
Common Stocks                               
Australia  $   $18,021,025     $   $18,021,025 
Brazil       13,620,843          13,620,843 
Canada   46,221,747              46,221,747 
Chile   6,533,845              6,533,845 
China / Hong Kong       10,683,773          10,683,773 
Denmark   2,181,199    6,407,222          8,588,421 
Germany       63,036,279          63,036,279 
Indonesia       6,862,182          6,862,182 
Israel   6,734,956              6,734,956 
Japan       38,715,763          38,715,763 
Malaysia       21,751,408          21,751,408 
Netherlands       2,718,415          2,718,415 
Norway       42,630,229          42,630,229 
Russia   3,110,827              3,110,827 
Singapore       19,229,485          19,229,485 
Switzerland       4,313,987          4,313,987 
Taiwan       2,505,309          2,505,309 
Thailand       8,990,281          8,990,281 
United Kingdom   19,346,899    4,292,491          23,639,390 
United States   368,273,375              368,273,375 
Money Market Fund   827,598              827,598 
Total  $453,230,446   $263,778,692     $   $717,009,138 

 

See Notes to Financial Statements

21

VANECK VECTORS COAL ETF

SCHEDULE OF INVESTMENTS

December 31, 2019

 

Number
of Shares
           Value 
           
COMMON STOCKS: 100.1%     
Australia: 20.7%     
 548,140   Aurizon Holdings Ltd. #  $2,015,073 
 301,976   Coronado Global Resources, Inc. Reg S 144A #   469,453 
 506,721   New Hope Corp. Ltd. † #   734,873 
 79,341   Washington H Soul Pattinson & Co. Ltd. #   1,198,987 
 639,412   Whitehaven Coal Ltd. #   1,187,839 
         5,606,225 
Canada: 11.5%     
 130,628   Teck Resources Ltd. (USD)   2,269,008 
 57,306   Westshore Terminals Investment Corp. †   837,439 
         3,106,447 
China / Hong Kong: 22.9%     
 4,380,000   Agritrade Resources Ltd. †   326,035 
 3,123,095   China Coal Energy Co. Ltd. #   1,239,485 
 942,908   China Shenhua Energy Co. Ltd. #   1,971,655 
 29,780,000   National United Resources Holdings Ltd. * #    4 
 1,550,000   Sany Heavy Equipment International Holdings Co. Ltd. #   848,212 
 2,898,067   Shougang Fushan Resources Group Ltd. #   625,916 
 1,336,000   Yanzhou Coal Mining Co. Ltd. #   1,200,396 
         6,211,703 
Indonesia: 19.8%     
 13,670,215   Adaro Energy Tbk PT #   1,527,665 
 78,761,100   Bumi Resources Tbk PT * #   373,818 
 617,852   Indo Tambangraya Megah Tbk PT #   510,046 
 6,119,100   Tambang Batubara Bukit Asam Tbk PT #   1,170,407 
 1,157,300   United Tractors Tbk PT #   1,791,847 
         5,373,783 
Philippines: 3.2%     
 1,992,030   Semirara Mining and Power Corp. #   864,953 
Poland: 1.7%     
 82,539   Jastrzebska Spolka Weglowa SA #   466,541 
South Africa: 5.8%     
 167,718   Exxaro Resources Ltd. #   1,570,335 
Thailand: 5.1%     
 3,505,789   Banpu PCL (NVDR) #   1,390,651 
United States: 9.4%     
 10,339   Arch Coal, Inc. †   741,720 
 68,049   Peabody Energy Corp.   620,607 
 56,646   Warrior Met Coal, Inc.   1,196,930 
         2,559,257 
Total Common Stocks
(Cost: $41,093,496)
   27,149,895 
Number
of Shares
           Value 
           
SHORT-TERM INVESTMENT HELD AS COLLATERAL FOR SECURITIES ON LOAN: 2.6%
(Cost: $697,091)
     
Money Market Fund: 2.6%     
 697,091   State Street Navigator Securities Lending Government Money Market Portfolio  $697,091 
Total Investments: 102.7%
(Cost: $41,790,587)
   27,846,986 
Liabilities in excess of other assets: (2.7)%   (715,959)
NET ASSETS: 100.0%  $27,131,027 


 

See Notes to Financial Statements

22

 

 

Definitions:

NVDR Non-Voting Depositary Receipt
USD United States Dollar

 

Footnotes:

* Non-income producing
Security fully or partially on loan. Total market value of securities on loan is $1,709,344.
# Security has been valued in good faith pursuant to guidelines established by the Board of Trustees. The aggregate value of fair valued securities is $21,158,156 which represents 78.0% of net assets.
Security is valued using significant unobservable inputs and is classified as Level 3 in the fair value hierarchy.
Reg S Security was purchased pursuant to Regulation S under the Securities Act of 1933, which exempts from registration securities offered and sold outside of the United States. Such a security cannot be sold in the United States without either an effective registration statement filed pursuant to the Securities Act of 1933, or pursuant to an exemption from registration.
144A Security exempt from registration under Rule 144A of the Securities Act of 1933, as amended, or otherwise restricted. These securities may be resold in transactions exempt from registration, unless otherwise noted, and the value amounted to $469,453, or 1.7% of net assets.

 

Summary of Investments by Sector
Excluding Collateral for Securities Loaned
% of Investments  Value 
Energy       67.9%        $18,421,319 
Industrials   13.6    3,700,728 
Materials   18.5    5,027,848 
    100.0%  $27,149,895 

 

The summary of inputs used to value the Fund’s investments as of December 31, 2019 is as follows:

 

   Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
  Value 
Common Stocks                               
Australia  $   $5,606,225     $   $5,606,225 
Canada   3,106,447              3,106,447 
China / Hong Kong   326,035    5,885,664      4    6,211,703 
Indonesia       5,373,783          5,373,783 
Philippines       864,953          864,953 
Poland       466,541          466,541 
South Africa       1,570,335          1,570,335 
Thailand       1,390,651          1,390,651 
United States   2,559,257              2,559,257 
Money Market Fund   697,091              697,091 
Total  $6,688,830   $21,158,152     $4   $27,846,986 

 

See Notes to Financial Statements

23

VANECK VECTORS GOLD MINERS ETF

SCHEDULE OF INVESTMENTS

December 31, 2019

 

Number
of Shares
           Value 
           
COMMON STOCKS: 100.0%     
Australia: 14.1%     
 107,063,462   Evolution Mining Ltd. ‡ #  $285,107,900 
 33,065,013   Newcrest Mining Ltd. #   699,493,388 
 40,832,345   Northern Star Resources Ltd. ‡ #   322,344,397 
 39,158,224   OceanaGold Corp. (CAD) ‡   77,002,870 
 73,191,044   Perseus Mining Ltd. ‡ * #   59,258,632 
 31,977,616   Regis Resources Ltd. ‡ #   96,922,314 
 56,830,902   Resolute Mining Ltd. ‡ * #   50,094,493 
 69,367,323   Saracen Mineral Holdings Ltd. ‡ * #   161,141,752 
 43,994,374   St. Barbara Ltd. ‡ #   83,729,671 
         1,835,095,417 
Canada: 53.4%     
 10,316,793   Agnico-Eagle Mines Ltd. (USD)   635,617,617 
 24,615,240   Alamos Gold, Inc. (USD) ‡   148,183,745 
 64,542,840   B2Gold Corp. (USD) ‡ †   258,816,788 
 76,455,534   Barrick Gold Corp. (USD)   1,421,308,376 
 18,472,841   Centerra Gold, Inc. ‡ *   147,155,926 
 11,163,152   Detour Gold Corp. ‡ *   216,419,234 
 11,248,720   Dundee Precious Metals, Inc. ‡ *   48,403,977 
 9,971,362   Eldorado Gold Corp. (USD) ‡ *   80,070,037 
 12,886,242   First Majestic Silver Corp. (USD) ‡ * †   157,985,327 
 8,109,881   Franco-Nevada Corp. (USD)   837,750,707 
 29,449,200   IAMGOLD Corp. (USD) ‡ *   109,845,516 
 78,874,926   Kinross Gold Corp. (USD) ‡ *   373,867,149 
 12,757,844   Kirkland Lake Gold Ltd. ‡ †   563,145,549 
 42,342,629   New Gold, Inc. (USD) ‡ *   37,261,514 
 9,905,011   Osisko Gold Royalties Ltd. (USD) ‡   96,177,657 
 13,189,789   Pan American Silver Corp. (USD) ‡ †   312,466,101 
 11,662,595   Pretium Resources, Inc. (USD) ‡ * †   129,804,682 
 10,999,433   Sandstorm Gold Ltd. (USD) ‡ * †   81,945,776 
 21,045,803   Semafo, Inc. ‡ *   43,820,064 
 10,803,271   Silvercorp Metals, Inc. (USD) ‡   61,254,547 
 7,742,708   SSR Mining, Inc. (USD) ‡ *   149,124,556 
 5,365,877   Torex Gold Resources, Inc. ‡ *   84,910,581 
 8,605,391   Wesdome Gold Mines Ltd. ‡ *   67,489,359 
 21,584,038   Wheaton Precious Metals Corp. (USD)   642,125,130 
 59,806,309   Yamana Gold, Inc. (USD) ‡   236,234,921 
         6,941,184,836 
China / Hong Kong: 1.9%     
 66,038,000   Zhaojin Mining Industry Co. Ltd. ‡ #   72,449,148 
 360,798,000   Zijin Mining Group Ltd. ‡ #   179,209,244 
         251,658,392 
Monaco: 1.0%     
 6,916,628   Endeavour Mining Corp. (CAD) ‡ *   130,838,546 
 Peru: 1.9%         
 15,970,754   Cia de Minas Buenaventura SAA (USD) ‡   241,158,385 
South Africa: 8.1%     
 26,132,217   AngloGold Ashanti Ltd. (ADR) ‡   583,793,728 
 52,142,224   Gold Fields Ltd. (USD) ‡   344,138,678 
 34,122,650   Harmony Gold Mining Co. Ltd. (USD) ‡ *   123,865,219 
         1,051,797,625 
Number
of Shares
           Value 
           
United Kingdom: 1.4%     
 72,739,222   Centamin Plc ‡ #  $122,016,193 
 22,898,417   Highland Gold Mining Ltd. ‡ #   59,183,929 
         181,200,122 
United States: 18.2%     
 18,543,185   Alacer Gold Corp. (CAD) ‡ * †   98,668,191 
 15,130,283   Coeur Mining, Inc. ‡ *   122,252,687 
 31,180,828   Hecla Mining Co. ‡   105,703,007 
 35,258,275   Newmont Mining Corp.   1,531,972,049 
 4,127,457   Royal Gold, Inc. ‡   504,581,618 
         2,363,177,552 
Total Common Stocks
(Cost: $10,751,009,939)
   12,996,110,875 
SHORT-TERM INVESTMENT HELD AS COLLATERAL FOR SECURITIES ON LOAN: 0.2%
(Cost: $27,585,223)
     
Money Market Fund: 0.2%     
 27,585,223   State Street Navigator Securities Lending Government Money Market Portfolio   27,585,223 
Total Investments: 100.2%
(Cost: $10,778,595,162)
   13,023,696,098 
Liabilities in excess of other assets: (0.2)%   (24,969,623)
NET ASSETS: 100.0%  $12,998,726,475 


 

See Notes to Financial Statements

24

 

 

Definitions:

ADR American Depositary Receipt
CAD Canadian Dollar
USD United States Dollar

 

Footnotes:

Affiliated issuer – as defined under the Investment Company Act of 1940.
* Non-income producing
Security fully or partially on loan. Total market value of securities on loan is $86,418,103.
# Security has been valued in good faith pursuant to guidelines established by the Board of Trustees. The aggregate value of fair valued securities is $2,190,951,061 which represents 16.9% of net assets.

 

Summary of Investments by Sector
Excluding Collateral for Securities Loaned
% of Investments  Value 
Gold       90.2%          $11,716,576,763 
Silver   9.8    1,279,534,112 
    100.0%  $12,996,110,875 

 

A summary of the Fund’s transactions in securities of affiliates for the year ended December 31, 2019 is set forth below:

 

Affiliates  Value
12/31/18
   Purchases   Sales
Proceeds
   Realized Gain
(Loss)
   Dividend
Income
   Net Change in
Unrealized
Appreciation
(Depreciation)
   Value
12/31/19
 
Agnico-Eagle Mines Ltd.   $520,137,718   $162,321,253   $(269,685,839)  $43,548,549   $5,993,767   $179,295,936   $(a) 
Alacer Gold Corp.       79,267,657    (25,426,456)   3,724,616        41,102,374    98,668,191 
Alamos Gold, Inc.   99,464,864    47,991,715    (59,616,813)   15,318,194    1,000,835    45,025,785    148,183,745 
AngloGold Ashanti Ltd.   366,913,231    165,866,605    (196,849,189)   70,713,124    1,860,235    177,149,957    583,793,728 
B2Gold Corp.   204,816,687    75,199,155    (86,360,068)   12,420,377        52,740,637    258,816,788 
Barrick Gold Corp.   808,713,532    875,240,834    (576,177,872)   29,779,965    9,397,604    283,751,917    (a) 
Centamin Plc   113,792,339    36,882,137    (47,954,200)   (1,536,053)   4,956,007    20,831,970    122,016,193 
Centerra Gold, Inc.   88,781,167    47,177,379    (55,538,915)   14,434,950        52,301,345    147,155,926 
Cia de Minas Buenaventura SAA   316,030,237    89,431,520    (142,149,530)   13,261,718    1,546,645    (35,415,560)   241,158,385 
Coeur Mining, Inc.   64,403,009    31,783,589    (24,022,138)   972,241        49,115,986    122,252,687 
Detour Gold Corp.   104,674,993    54,007,416    (62,884,739)   17,637,075        102,984,489    216,419,234 
Dundee Precious Metals, Inc.       48,019,069    (221,067)   3,401        602,574    48,403,977 
Eldorado Gold Corp.   32,416,577    24,381,162    (26,701,914)   (9,714,860)       59,689,072    80,070,037 
Endeavour Mining Corp.   124,894,732    40,609,749    (50,551,904)   3,616,952        12,269,017    130,838,546 
Evolution Mining Ltd.   312,760,951    107,019,391    (136,667,276)   38,255,481    6,968,312    (36,260,647)   285,107,900 
First Majestic Silver Corp.   80,812,220    42,176,410    (43,041,705)   9,018,462        69,019,940    157,985,327 
Fortuna Silver Mines, Inc.   41,480,198    1,910,383    (35,051,997)   (26,914,481)       18,575,897     
Franco-Nevada Corp.   668,954,538    204,388,892    (293,491,978)   49,273,281    7,969,406    208,625,974    (a) 
Gold Fields Ltd.   204,968,051    93,127,539    (114,752,721)   26,513,556    2,832,431    134,282,253    344,138,678 
Goldcorp, Inc.   482,050,171    36,549,181    (587,592,400)   (192,897,372)   918,382    261,890,420     
Harmony Gold Mining Co. Ltd.   67,526,656    33,710,076    (37,483,005)   7,595,865        52,515,627    123,865,219 
Hecla Mining Co.   80,325,184    22,973,290    (29,504,399)   (4,694,060)   308,188    36,602,992    105,703,007 
Highland Gold Mining Ltd.       75,675,674    (20,399,756)   (89,617)   3,633,943    3,997,628    59,183,929 
IAMGOLD Corp.   121,697,254    35,041,436    (44,885,057)   (6,143,619)       4,135,502    109,845,516 
Kinross Gold Corp.   285,843,557    114,513,763    (139,339,184)   18,418,031        94,430,982    373,867,149 
Kirkland Lake Gold Ltd.   387,709,075    171,225,853    (221,849,861)   148,139,193    2,081,447    77,921,289    563,145,549 
McEwen Mining, Inc.   43,509,870    14,358,056    (39,675,274)   (35,000,800)       16,808,148     
New Gold, Inc.   30,868,670    56,420,043    (37,137,558)   (86,711,056)       73,821,415    37,261,514 
Newcrest Mining Ltd.   603,699,623    194,932,753    (295,989,670)   68,159,970    7,078,428    128,690,712    (a) 
Newmont Mining Corp.   944,143,269    864,018,277    (582,580,194)   35,366,902    38,547,584    271,023,795    (a) 
Northern Star Resources Ltd.   295,708,750    99,685,363    (126,771,084)   52,275,099    3,834,941    1,446,269    322,344,397 
OceanaGold Corp.   159,840,290    34,489,065    (48,459,320)   (682,271)   406,838    (68,184,894)   77,002,870 
Osisko Gold Royalties Ltd.   97,337,468    38,110,271    (51,599,362)   6,947,471    1,469,642    5,381,809    96,177,657 
Pan American Silver Corp.   158,659,602    120,245,837    (88,579,247)   8,430,436    1,712,795    113,709,473    312,466,101 
Perseus Mining Ltd.       50,671,321    (232,106)   2,447        8,816,970    59,258,632 
Pretium Resources, Inc.   109,881,257    41,072,890    (50,272,707)   6,206,093        22,917,149    129,804,682 

 

See Notes to Financial Statements

25

VANECK VECTORS GOLD MINERS ETF

SCHEDULE OF INVESTMENTS

(continued)

 

Affiliates (continued)  Value
12/31/18
     Purchases     Sales
Proceeds
    Realized Gain
(Loss)
    Dividend
Income
     Net Change in
Unrealized
Appreciation
(Depreciation)
     Value
12/31/19
 
Randgold Resources Ltd.   $498,159,398   $   $(511,609,270)  $   $15,559,502   $13,449,872   $ 
Regis Resources Ltd.   122,392,528    36,988,956    (49,755,976)   12,950,919    3,546,830    (25,654,113)   96,922,314 
Resolute Mining Ltd.   43,706,450    24,875,939    (19,116,109)   (717,082)       1,345,295    50,094,493 
Royal Gold, Inc.   397,694,277    155,471,658    (194,923,048)   37,532,909    4,519,548    108,805,822    504,581,618 
Sandstorm Gold Ltd.   59,675,136    21,621,840    (31,200,706)   5,299,312        26,550,194    81,945,776 
Saracen Mineral Holdings Ltd.   120,142,275    72,413,766    (47,068,100)   24,288,113        (8,634,302)   161,141,752 
Semafo, Inc.   49,849,492    23,763,890    (27,024,264)   3,425,953        (6,195,007)   43,820,064 
Silvercorp Metals, Inc.       58,618,276    (269,781)   3,760        2,902,292    61,254,547 
SSR Mining, Inc.   103,045,923    38,206,270    (46,183,849)   9,868,705        44,187,507    149,124,556 
St. Barbara Ltd.   123,029,927    51,894,942    (41,250,492)   936,337    2,038,018    (50,881,043)   83,729,671 
Tahoe Resources, Inc.   81,058,653    659,261    (82,846,460)   (97,134,218)       98,262,764     
Torex Gold Resources, Inc.   53,530,337    26,745,493    (27,182,989)   4,491,834        27,325,906    84,910,581 
Wesdome Gold Mines Ltd.       61,692,459    (291,029)   11,232        6,076,697    67,489,359 
Wheaton Precious Metals Corp.   515,099,961    160,945,542    (256,263,508)   27,989,624    7,800,820    194,353,511    (a) 
Yamana Gold, Inc.   158,725,755    62,853,039    (77,833,576)   2,601,772    1,800,301    89,887,931    236,234,921 
Zhaojin Mining Industry Co. Ltd.   75,479,429    25,003,261    (32,532,622)   6,280,036    371,170    (1,780,956)   72,449,148 
Zijin Mining Group Ltd.   154,103,290    46,713,257    (64,743,569)   6,043,098    5,194,402    37,093,168    179,209,244 
   $10,578,508,571   $5,098,962,853   $(6,159,591,853)  $379,521,564   $143,348,021   $3,098,709,740   $7,227,843,608 

 

(a) Security held by the Fund, however not classified as an affiliate at the end of the reporting period.

 

The summary of inputs used to value the Fund’s investments as of December 31, 2019 is as follows:

 

   Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
  Value 
Common Stocks                               
Australia  $77,002,870   $1,758,092,547     $   $1,835,095,417 
Canada   6,941,184,836              6,941,184,836 
China / Hong Kong       251,658,392          251,658,392 
Monaco   130,838,546              130,838,546 
Peru   241,158,385              241,158,385 
South Africa   1,051,797,625              1,051,797,625 
United Kingdom       181,200,122          181,200,122 
United States   2,363,177,552              2,363,177,552 
Money Market Fund   27,585,223              27,585,223 
Total  $10,832,745,037   $2,190,951,061     $   $13,023,696,098 

 

See Notes to Financial Statements

26

VANECK VECTORS JUNIOR GOLD MINERS ETF

SCHEDULE OF INVESTMENTS

December 31, 2019

 

Number
of Shares
           Value 
           
COMMON STOCKS: 99.9%     
Australia: 20.2%     
 42,210,066   Aurelia Metals Ltd. #  $12,914,107 
 4,027,098   Castile Resources Pty Ltd. * #    56,617 
 11,730,509   Dacian Gold Ltd. ‡ * † #   13,018,355 
 78,936,482   Evolution Mining Ltd. #   210,206,304 
 43,040,408   Gold Road Resources Ltd. * † #   40,366,236 
 32,197,701   Northern Star Resources Ltd. † #   254,179,585 
 27,667,853   OceanaGold Corp. (CAD)   54,407,577 
 64,723,972   Perseus Mining Ltd. ‡ * † #   52,403,324 
 36,065,027   Ramelius Resources Ltd. ‡ #   31,267,811 
 26,851,159   Regis Resources Ltd. ‡ #   81,384,318 
 37,245,400   Resolute Mining Ltd. * † #   32,830,544 
 54,508,007   Saracen Mineral Holdings Ltd. * #   126,623,248 
 44,646,125   Silver Lake Resources Ltd. ‡ * † #   41,916,219 
 37,392,658   St. Barbara Ltd. ‡ #   71,165,348 
 19,562,689   Westgold Resources Ltd. * #   31,405,205 
         1,054,144,798 
Canada: 51.7%     
 16,132,388   Alamos Gold, Inc. (USD)   97,116,976 
 42,962,194   B2Gold Corp. (USD)   172,278,398 
 10,025,730   Centerra Gold, Inc. *   79,865,657 
 15,581,511   China Gold International Resources Corp. Ltd. * †   14,178,664 
 8,900,451   Continental Gold, Inc. *   36,720,581 
 9,374,053   Detour Gold Corp. ‡ *   181,734,099 
 7,738,260   Dundee Precious Metals, Inc. *   33,298,238 
 9,109,221   Eldorado Gold Corp. (USD) ‡ *   73,147,045 
 8,474,263   Endeavour Silver Corp. (USD) ‡ * †   20,422,974 
 10,178,888   First Majestic Silver Corp. (USD) ‡ * †   124,793,167 
 8,572,732   Fortuna Silver Mines, Inc. (USD) ‡ * †   34,976,747 
 9,835,576   Gold Standard Ventures Corp. (USD) *   8,419,253 
 3,998,535   Golden Star Resources Ltd. (USD) * †   15,234,418 
 18,860,161   Great Panther Silver Ltd. (USD) ‡ *   9,618,682 
 24,124,104   IAMGOLD Corp. (USD) ‡ *   89,982,908 
 58,957,956   Kinross Gold Corp. (USD) *   279,460,711 
 3,512,102   MAG Silver Corp. (USD) * †   41,583,288 
 17,280,980   McEwen Mining, Inc. (USD) * †   21,946,845 
 31,359,804   New Gold, Inc. (USD) *   27,596,627 
 12,634,222   NovaGold Resources, Inc. (USD) *   113,202,629 
 8,061,248   Novo Resources Corp. * †   23,684,870 
 5,783,651   Osisko Gold Royalties Ltd. (USD) †   56,159,251 
 9,700,745   Osisko Mining, Inc. * †   30,297,295 
 11,885,728   Pan American Silver Corp. (USD) ‡ †   281,572,897 
 16,729,842   Pan American Silver Corp. (USD) * # (a)    10,066,982 
 8,814,860   Premier Gold Mines Ltd. * †   13,391,382 
 8,001,691   Pretium Resources, Inc. (USD) * †   89,058,821 
 19,391,823   Roxgold, Inc. ‡ * †   15,552,339 
 32,427,307   Royal Nickel Corp. ‡ * †   12,503,299 
 9,383,118   Sandstorm Gold Ltd. (USD) ‡ * †   69,904,229 
 3,017,345   Seabridge Gold, Inc. (USD) * †   41,699,708 
 14,439,228   Semafo, Inc. *   30,064,327 
 10,435,349   Silvercorp Metals, Inc. ‡ †   58,986,781 
 6,973,917   SSR Mining, Inc. (USD) ‡ * †   134,317,641 
 1,694,754   Sulliden Mining Capital, Inc. *   65,346 
 4,644,775   Teranga Gold Corp. *   25,144,647 
 3,296,774   Torex Gold Resources, Inc. *   52,168,731 
 8,317,788   Wesdome Gold Mines Ltd. ‡ * †   65,233,780 
Number
of Shares
           Value 
           
Canada: (continued)     
 53,893,479   Yamana Gold, Inc. (USD) ‡  $212,879,242 
         2,698,329,475 
China / Hong Kong: 0.9%     
 11,294,000   Hengxing Gold Holding Co. Ltd. Reg S   5,189,112 
 19,287,400   Real Gold Mining Ltd. * #    2 
 37,177,000   Zhaojin Mining Industry Co. Ltd. #    40,786,244 
         45,975,358 
Mexico: 1.6%     
 7,939,612   Industrias Penoles, SAB de CV †   83,335,654 
Monaco: 1.2%     
 3,329,084   Endeavour Mining Corp. (CAD) *   62,974,691 
Peru: 4.1%     
 11,513,382   Cia de Minas Buenaventura SAA (USD)   173,852,068 
 16,120,131   Hochschild Mining Plc (GBP) #   39,084,269 
         212,936,337 
South Africa: 12.1%     
 35,774,055   Gold Fields Ltd. (USD)   236,108,763 
 30,051,424   Harmony Gold Mining Co. Ltd. (USD) ‡ *   109,086,669 
 29,247,977   Sibanye Gold Ltd. (USD) * †   290,432,412 
         635,627,844 
Turkey: 0.7%     
 2,947,967   Koza Altin Isletmeleri AS * #   36,661,086 
United Kingdom: 2.2%     
 46,181,049   Centamin Plc #   77,466,264 
 14,068,914   Highland Gold Mining Ltd. #   36,362,933 
         113,829,197 
United States: 5.2%     
 14,431,126   Alacer Gold Corp. (CAD) *   76,787,946 
 9,599,703   Argonaut Gold, Inc. (CAD) ‡ *   14,435,644 
 10,848,922   Coeur Mining, Inc. *   87,659,290 
 3,513,324   Gold Resource Corp. ‡   19,463,815 
 21,393,667   Hecla Mining Co.   72,524,531 
 2,799,497   Patagonia Gold Corp. (CAD) *   129,531 
         271,000,757 
Total Common Stocks
(Cost: $4,410,149,674)
   5,214,815,197 
SHORT-TERM INVESTMENT HELD AS COLLATERAL FOR SECURITIES ON LOAN: 1.2%
(Cost: $60,229,115)
     
Money Market Fund: 1.2%     
 60,229,115   State Street Navigator Securities Lending Government Money Market Portfolio   60,229,115 
Total Investments: 101.1%
(Cost: $4,470,378,789)
   5,275,044,312 
Liabilities in excess of other assets: (1.1)%   (55,824,058)
NET ASSETS: 100.0%  $5,219,220,254 


 

See Notes to Financial Statements

27

VANECK VECTORS JUNIOR GOLD MINERS ETF

SCHEDULE OF INVESTMENTS

(continued)

 

Definitions:

CAD Canadian Dollar
GBP British Pound
USD United States Dollar

 

Footnotes:

(a) Contingent Value Right
Affiliated issuer – as defined under the Investment Company Act of 1940.
* Non-income producing
Security fully or partially on loan. Total market value of securities on loan is $196,868,095.
# Security has been valued in good faith pursuant to guidelines established by the Board of Trustees. The aggregate value of fair valued securities is $1,240,165,001 which represents 23.8% of net assets.
Security is valued using pricing models and significant unobservable inputs that factor in discount for lack of marketability
Reg S Security was purchased pursuant to Regulation S under the Securities Act of 1933, which exempts from registration securities offered and sold outside of the United States. Such a security cannot be sold in the United States without either an effective registration statement filed pursuant to the Securities Act of 1933, or pursuant to an exemption from registration.

 

Summary of Investments by Sector
Excluding Collateral for Securities Loaned
% of Investments  Value 
Diversified Metals & Mining       0.5%          $25,474,023 
Gold   84.2    4,391,631,243 
Precious Metals & Minerals   2.2    113,698,295 
Silver   13.1    684,011,636 
    100.0%  $5,214,815,197 

 

A summary of the Fund’s transactions in securities of affiliates for the period ended December 31, 2019 is set forth below:

 

Affiliates  Value
12/31/18
   Purchases   Sales
Proceeds
   Realized
Gain (Loss)
   Dividend
Income
   Net Change in
Unrealized
Appreciation
(Depreciation)
   Value
12/31/19
 
Alacer Gold Corp.  $34,982,152   $28,127,937   $(42,760,939)  $12,821,342   $   $43,617,454   $(b)
AngloGold Ashanti Ltd.   282,998,522    5,835,830    (312,202,250)   121,052,961        (97,685,063)    
Argonaut Gold, Inc.   12,949,447    6,382,283    (8,939,982)   (980,605)       5,024,501    14,435,644 
Centamin Plc   80,309,456    31,633,430    (49,685,680)   (7,177,506)   3,426,347    22,386,564    (b)
Cia de Minas Buenaventura SAA   234,294,396    77,442,145    (125,819,878)   (423,792)   1,091,177    (11,640,803)   (b)
Coeur Mining, Inc.   45,523,338    30,482,985    (24,680,523)   (3,004,910)       39,338,400    (b)
Dacian Gold Ltd.       12,461,615    (885,693)   37,778        1,404,655    13,018,355 
Detour Gold Corp.   88,749,098    62,333,538    (72,661,288)   11,100,423        92,212,328    181,734,099 
Eldorado Gold Corp.   25,343,959    29,282,145    (23,309,709)   1,330,896        40,499,754    73,147,045 
Endeavour Silver Corp.   19,602,819    9,136,403    (10,278,882)   (1,147,089)       3,109,723    20,422,974 
Evolution Mining Ltd.   231,124,387    100,527,859    (130,077,560)   37,871,883    5,082,843    (29,240,265)   (b)
First Majestic Silver Corp.   65,808,888    42,834,854    (48,906,439)   4,274,878        60,780,986    124,793,167 
First Mining Gold Corp.   7,062,340    1,633,504    (8,092,517)   (16,153,544)       15,550,217     
Fortuna Silver Mines, Inc.   35,792,404    12,942,551    (17,198,543)   (2,549,153)       5,989,488    34,976,747 
Gold Fields Ltd.   169,028,988    85,758,731    (151,169,671)   33,370,085    2,074,036    99,120,630    (b)
Gold Resource Corp.   13,319,704    9,256,661    (8,918,698)   970,322    82,851    4,835,826    19,463,815 
Great Panther Silver Ltd.   8,385,985    15,663,567    (7,579,518)   (2,741,720)       (4,109,632)   9,618,682 
Harmony Gold Mining Co. Ltd.   52,794,763    43,005,070    (38,147,661)   7,063,841        44,370,656    109,086,669 
Hecla Mining Co.   60,219,126    17,807,007    (25,988,310)   (8,909,609)   220,887    29,396,317    (b)
IAMGOLD Corp.   102,965,609    38,282,805    (50,626,589)   (4,666,377)       4,027,460    89,982,908 
Kinross Gold Corp.   264,445,346    117,185,725    (201,558,488)   29,421,421        69,966,707    (b)
New Gold, Inc.   28,593,826    12,760,287    (17,826,478)   (18,218,871)       22,287,863    (b)
Northern Star Resources Ltd.   237,525,086    98,755,904    (129,209,792)   52,018,061    2,829,103    (4,909,674)   (b)
OceanaGold Corp.   119,830,727    34,608,873    (49,573,072)   (3,035,391)   295,764    (47,423,560)   (b)
Pan American Silver Corp.   139,336,545    199,430,921    (113,870,133)   (29,096,338)   1,783,457    85,771,902    281,572,897 
Perseus Mining Ltd.   16,515,673    19,044,756    (14,348,200)   4,909,929        26,281,166    52,403,324 
Premier Gold Mines Ltd.   12,902,867    6,338,268    (9,578,035)   (1,955,551)       5,683,833    (b)
Pretium Resources, Inc.   89,438,248    30,630,897    (55,441,985)   7,533,661        16,898,000    (b)
Ramelius Resources Ltd.   9,807,806    17,845,435    (14,450,112)   4,537,450    227,730    13,527,232    31,267,811 
Regis Resources Ltd.   111,422,986    48,074,362    (67,746,447)   21,588,567    3,186,817    (31,955,150)   81,384,318 

 

See Notes to Financial Statements

28

 

 

Affiliates (continued)  Value
12/31/18
   Purchases   Sales
Proceeds
   Realized
Gain (Loss)
   Dividend
Income
   Net Change in
Unrealized
Appreciation
(Depreciation)
   Value
12/31/19
 
Roxgold, Inc.  $   $18,089,944   $(839,545)  $76,217   $   $(1,774,277)  $15,552,339 
Royal Nickel Corp.       21,102,766    (3,835,793)   (2,097,099)       (2,666,575)   12,503,299 
Sandstorm Gold Ltd.   51,768,258    22,409,429    (31,984,252)   8,773,422        18,937,372    69,904,229 
Saracen Mineral Holdings Ltd.   97,789,867    73,665,771    (61,617,009)   41,527,652        (24,743,033)   (b)
Silver Lake Resources Ltd.   11,913,423    30,275,278    (16,906,498)   3,957,879        12,676,137    41,916,219 
Silvercorp Metals, Inc.   24,544,468    16,815,249    (20,242,503)   3,746,220    277,792    34,123,347    58,986,781 
SSR Mining, Inc.   94,896,804    43,267,246    (55,821,656)   24,457,213        27,518,034    134,317,641 
St. Barbara Ltd.   107,983,269    64,578,577    (55,355,913)   (972,714)   1,870,343    (45,067,871)   71,165,348 
Tahoe Resources, Inc.   65,108,273    784,105    (114,775,367)   695,506        48,187,483     
Teranga Gold Corp.   17,350,543    24,120,226    (28,552,594)   857,877        11,368,595    (b)
Torex Gold Resources,Inc.   42,916,086    22,117,013    (36,238,829)   3,692,730        19,681,731    (b)
Wesdome Gold Mines Ltd.   (a)   25,614,737    (14,597,089)   7,351,595        25,298,805    65,233,780 
Yamana Gold, Inc.   147,920,842    71,148,134    (93,261,715)   10,315,396    1,609,091    76,756,585    212,879,242 
   $3,263,266,324   $1,679,494,823   $(2,365,561,835)  $352,224,936   $24,058,238   $725,413,848   $1,819,767,333 

 

(a) Security held by the Fund, however not classified as an affiliate at the beginning of the reporting period.
(b) Security held by the Fund, however not classified as an affiliate at the end of the reporting period

 

The summary of inputs used to value the Fund’s investments as of December 31, 2019 is as follows:

 

   Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
  Value 
Common Stocks                               
Australia  $54,407,577   $999,680,604     $56,617   $1,054,144,798 
Canada   2,688,262,493          10,066,982    2,698,329,475 
China / Hong Kong   5,189,112    40,786,244      2    45,975,358 
Mexico   83,335,654              83,335,654 
Monaco   62,974,691              62,974,691 
Peru   173,852,068    39,084,269          212,936,337 
South Africa   635,627,844              635,627,844 
Turkey       36,661,086          36,661,086 
United Kingdom       113,829,197          113,829,197 
United States   271,000,757              271,000,757 
Money Market Fund   60,229,115              60,229,115 
Total  $4,034,879,311   $1,230,041,400     $10,123,601   $5,275,044,312 

 

See Notes to Financial Statements

29

VANECK VECTORS LOW CARBON ENERGY ETF

SCHEDULE OF INVESTMENTS

December 31, 2019

 

Number
of Shares
           Value 
           
COMMON STOCKS: 99.9%     
Austria: 2.9%     
 60,521   Verbund-Oesterreichische Elektrizis AG #  $3,040,299 
Brazil: 2.0%     
 93,564   Cosan Ltd. (USD) *   2,137,002 
Canada: 3.7%     
 40,549   Canadian Solar, Inc. (USD) * †   896,133 
 140,299   Northland Power, Inc.   2,942,844 
         3,838,977 
China / Hong Kong: 3.2%     
 2,763,000   China Longyuan Power Group Corp. Ltd. #   1,747,409 
 36,642   JinkoSolar Holding Co. Ltd. (ADR) * †   824,078 
 639,580   Xinjiang Goldwind Science & Technology Co. Ltd. #   743,274 
         3,314,761 
Denmark: 8.1%     
 84,038   Vestas Wind Systems A/S #   8,494,562 
Germany: 0.7%     
 55,939   Nordex SE * #   749,618 
Spain: 3.3%     
 199,771   Siemens Gamesa Renewable Energy SA #   3,520,608 
Sweden: 4.4%     
 263,827   Nibe Industrier AB #   4,579,826 
United States: 71.6%     
 32,683   Acuity Brands, Inc.   4,510,254 
 85,909   AMETEK, Inc.   8,568,564 
 25,872   Badger Meter, Inc.   1,679,869 
 109,790   Covanta Holding Corp.   1,629,284 
 94,464   Cree, Inc. *   4,359,513 
 90,320   Eaton Corp. Plc   8,555,110 
 37,751   EnerSys, Inc.   2,824,907 
 70,454   Enphase Energy, Inc. * †   1,840,963 
 67,433   First Solar, Inc. *   3,773,551 
 34,177   Franklin Electric Co. Inc.   1,959,026 
 31,207   Itron, Inc. *   2,619,828 
 82,694   Microchip Technology, Inc.   8,659,716 
 45,199   Ormat Technologies, Inc.   3,368,229 
 26,064   Power Integrations, Inc.   2,577,990 
 34,620   Renewable Energy Group, Inc. * †   933,009 
 79,067   SunPower Corp. * †   616,723 
 88,833   Sunrun, Inc. *   1,226,784 
 23,718   Tesla, Inc. *   9,921,951 
 25,878   Universal Display Corp.   5,332,679 
         74,957,950 
Total Common Stocks
(Cost: $71,944,708)
   104,633,603 
Number
of Shares
           Value 
           
SHORT-TERM INVESTMENT HELD AS COLLATERAL FOR SECURITIES ON LOAN: 1.2%
(Cost: $1,193,707)
     
Money Market Fund: 1.2%     
 1,193,707   State Street Navigator Securities Lending Government Money Market Portfolio  $1,193,707 
Total Investments: 101.1%
(Cost: $73,138,415)
   105,827,310 
Liabilities in excess of other assets: (1.1)%   (1,117,256)
NET ASSETS: 100.0%  $104,710,054 


 

See Notes to Financial Statements

30

 

 

Definitions:

ADR American Depositary Receipt
USD United States Dollar

 

Footnotes:

* Non-income producing
Security fully or partially on loan. Total market value of securities on loan is $4,691,228.
# Security has been valued in good faith pursuant to guidelines established by the Board of Trustees. The aggregate value of fair valued securities is $22,875,596 which represents 21.8% of net assets.

 

Summary of Investments by Sector % of Investments  Value 
Consumer Discretionary       9.5%       $9,921,951 
Energy   2.9    3,070,011 
Industrials   45.3    47,361,817 
Information Technology   31.7    33,181,043 
Utilities   10.6    11,098,781 
    100.0%  $104,633,603 

 

The summary of inputs used to value the Fund’s investments as of December 31, 2019 is as follows:

 

   Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
  Value 
Common Stocks                               
Austria  $   $3,040,299     $   $3,040,299 
Brazil   2,137,002              2,137,002 
Canada   3,838,977              3,838,977 
China / Hong Kong   824,078    2,490,683          3,314,761 
Denmark       8,494,562          8,494,562 
Germany       749,618          749,618 
Spain       3,520,608          3,520,608 
Sweden       4,579,826          4,579,826 
United States   74,957,950              74,957,950 
Money Market Fund   1,193,707              1,193,707 
Total  $82,951,714   $22,875,596     $   $105,827,310 

 

See Notes to Financial Statements

31

VANECK VECTORS NATURAL RESOURCES ETF

SCHEDULE OF INVESTMENTS

December 31, 2019

 

Number
of Shares
           Value 
         
COMMON STOCKS: 100.1%     
Argentina: 0.1%     
 8,224   Adecoagro SA (USD) *  $68,835 
 1,525   YPF SA (ADR) †   17,660 
         86,495 
Australia: 5.0%     
 5,799   AGL Energy Ltd. #   83,611 
 43,484   Alumina Ltd. #   70,356 
 17,464   Bega Cheese Ltd. † #   53,057 
 54,198   BHP Group Ltd. #   1,486,604 
 9,618   BlueScope Steel Ltd. #   102,044 
 2,299   Caltex Australia Ltd. #   54,912 
 1,609   CIMIC Group Ltd. #   37,473 
 11,486   Elders Ltd. #   52,184 
 31,120   Evolution Mining Ltd. #   82,872 
 31,183   Fortescue Metals Group Ltd. † #   235,470 
 19,263   GrainCorp. Ltd. * #   102,691 
 7,781   Iluka Resources Ltd. #   51,035 
 15,625   Newcrest Mining Ltd. #   330,548 
 23,546   Nufarm Ltd. * #   95,980 
 11,692   Oil Search Ltd. #   59,720 
 15,493   Origin Energy Ltd. #   92,019 
 15,606   Santos Ltd. #   89,934 
 22,019   Saracen Mineral Holdings Ltd. * #   51,151 
 90,746   South32 Ltd. #   171,632 
 8,250   Woodside Petroleum Ltd. #   199,815 
         3,503,108 
Austria: 0.3%     
 152   Mayr-Melnhof Karton AG   20,406 
 1,269   OMV AG #   71,146 
 1,220   Verbund-Oesterreichische Elektrizis AG #   61,287 
 2,301   Voestalpine AG #   63,865 
         216,704 
Brazil: 2.2%     
 6,122   Cia de Saneamento Basico do Estado de Sao Paulo (ADR)   92,136 
 11,753   Cia Siderurgica Nacional SA (ADR) †   40,548 
 19,415   Gerdau SA (ADR) †   95,134 
 19,150   Klabin SA #   87,928 
 16,399   Petroleo Brasileiro S.A. (ADR)   261,400 
 7,550   SLC Agricola SA #   46,680 
 9,400   Suzano SA #   93,062 
 62,277   Vale SA (ADR)   822,056 
         1,538,944 
Canada: 11.0%     
 4,843   Agnico-Eagle Mines Ltd. (USD) †   298,377 
 7,950   Alamos Gold, Inc.   48,003 
 9,389   Algonquin Power & Utilities Corp. †   133,006 
 20,598   B2Gold Corp.   82,757 
 36,109   Barrick Gold Corp. (USD)   671,266 
 10,475   Canadian Natural Resources Ltd. (USD)   338,866 
 8,989   Cenovus Energy, Inc.   91,502 
 4,346   Centerra Gold, Inc. *   34,621 
 17,838   Enbridge, Inc. (USD)   709,417 
Number
of Shares
           Value 
         
Canada: (continued)     
 11,449   Encana Corp. (USD) †  $53,696 
 3,622   First Majestic Silver Corp. * †   44,495 
 10,282   First Quantum Minerals Ltd.   104,426 
 3,805   Franco-Nevada Corp.   393,455 
 2,658   Husky Energy, Inc.   21,358 
 9,511   IAMGOLD Corp. * †   35,572 
 1,882   Imperial Oil Ltd. (USD) †   49,817 
 25,454   Kinross Gold Corp. (USD) *   120,652 
 3,887   Kirkland Lake Gold Ltd.   171,577 
 11,784   Lundin Mining Corp. †   70,518 
 4,841   NovaGold Resources, Inc. (USD) *   43,375 
 50,758   Nutrien Ltd. (USD) †   2,431,816 
 2,888   Osisko Gold Royalties Ltd.   28,106 
 4,257   Pan American Silver Corp. (USD)   100,848 
 4,505   Pembina Pipeline Corp. †   167,207 
 3,676   Pretium Resources, Inc. *   40,963 
 2,468   SSR Mining, Inc. (USD) *   47,534 
 13,711   Suncor Energy, Inc. (USD)   449,721 
 8,221   TC Energy Corp. (USD)   438,262 
 9,012   Teck Resources Ltd. (USD)   156,538 
 891   West Fraser Timber Co. Ltd. †   39,357 
 9,070   Wheaton Precious Metals Corp. (USD)   269,833 
 19,315   Yamana Gold, Inc. (USD)   76,294 
         7,763,235 
Chile: 0.6%     
 48,921   Aguas Andinas SA #   20,765 
 6,354   Antofagasta Plc (GBP) #   76,941 
 19,880   Empresas CMPC SA #   48,724 
 9,813   Sociedad Quimica y Minera de Chile SA (ADR) †   261,909 
         408,339 
China / Hong Kong: 1.8%     
 69,900   Aluminum Corp. of China Ltd. * #   23,956 
 26,340   Angang Steel Co. Ltd. † #   10,961 
 195,614   China Agri-Industries Holdings Ltd. #   103,621 
 144,175   China BlueChemical Ltd. #   35,523 
 18,300   China Coal Energy Co. Ltd. #   7,263 
 17,400   China Gas Holdings Ltd. #   65,153 
 31,700   China Hongqiao Group Ltd. #   19,119 
 55,429   China Longyuan Power Group Corp. Ltd. #   35,055 
 66,000   China Molybdenum Co. Ltd. #   28,320 
 16,100   China Oilfield Services Ltd. (Class H) #   25,279 
 225,627   China Petroleum & Chemical Corp. #   135,866 
 29,991   China Shenhua Energy Co. Ltd. #   62,712 
 142,079   CNOOC Ltd. #   236,268 
 45,400   Fosun International Ltd. #   66,228 
 18,800   Health and Happiness H&H International Holdings Ltd. † #   77,875 
 32,500   Huaneng Power International, Inc. #   16,435 
 90,000   Huaneng Renewables Corp. Ltd. #   35,000 
 21,400   Jiangxi Copper Co. Ltd. (Class H) #   29,435 
 35,900   Kunlun Energy Co. Ltd. #   31,718 
 21,200   Lee & Man Paper Manufacturing Ltd. #   16,060 
 15,700   Maanshan Iron and Steel Co. Ltd. (Class H) † #   6,366 
 29,657   Nine Dragons Paper Holdings Ltd. #   30,843 


 

See Notes to Financial Statements

32

 

 

Number
of Shares
           Value 
         
China / Hong Kong: (continued)     
 186,140   PetroChina Co. Ltd. (Class-H) #  $93,708 
 14,000   Yanzhou Coal Mining Co. Ltd. † #   12,579 
 20,600   Zhaojin Mining Industry Co. Ltd. #   22,600 
 117,461   Zijin Mining Group Ltd. #   58,343 
         1,286,286 
Denmark: 1.0%     
 4,182   Bakkafrost P/F (NOK) #   309,733 
 3,563   Vestas Wind Systems A/S #   360,148 
         669,881 
Finland: 0.4%     
 3,797   Neste Oil Oyj   132,211 
 10,821   Stora Enso Oyj (R Shares) #   157,566 
         289,777 
France: 2.3%     
 7,593   Suez #   115,141 
 22,260   Total SA #   1,236,099 
 10,072   Veolia Environnement SA #   268,190 
         1,619,430 
Germany: 0.9%     
 39,268   E.ON SE #   419,951 
 5,789   Suedzucker AG #   106,119 
 9,056   ThyssenKrupp AG #   121,773 
         647,843 
Hungary: 0.1%     
 4,261   MOL Hungarian Oil & Gas Plc #   42,537 
India: 0.8%     
 13,676   Reliance Industries Ltd. 144A (GDR)   581,914 
Indonesia: 0.1%     
 45,400   Indah Kiat Pulp and Paper Corp. Tbk PT #   25,126 
 22,000   Pabrik Kertas Tjiwi Kimia Tbk PT #   16,259 
 247,900   Perusahaan Perkebunan London Sumatra Indonesia Tbk PT #   26,510 
         67,895 
Ireland: 0.3%     
 11,128   Origin Enterprises Plc #   46,134 
 4,204   Smurfit Kappa Group Plc (GBP) #   162,373 
         208,507 
Italy: 0.5%     
 22,422   ENI S.p.A. #   348,489 
Japan: 5.6%     
 7,700   Calbee, Inc. #   250,830 
 2,100   Daio Paper Corp. #   28,622 
 3,717   Hitachi Metals Ltd. #   54,703 
 2,200   Hokuto Corp. #   39,936 
 2,000   Idemitsu Kosan Co. Ltd. #   55,253 
 9,500   Inpex Corp. #   98,399 
Number
of Shares
           Value 
         
Japan: (continued)     
 10,664   JFE Holdings, Inc. #  $136,809 
 29,400   JXTG Holdings, Inc. #   133,410 
 103,700   Kubota Corp. † #   1,628,126 
 8,700   Kumiai Chemical Industry Co. Ltd. #   79,585 
 1,965   Kurita Water Industries Ltd. #   58,301 
 2,400   Mitsubishi Materials Corp. #   65,123 
 1,800   Nippon Paper Industries Co. Ltd. #   30,372 
 17,500   Nippon Steel Corp. #   263,728 
 27,714   Nippon Suisan Kaisha Ltd. #   165,475 
 22,350   Nisshin Seifun Group, Inc. #   389,879 
 16,876   Oji Holdings Corp. #   91,248 
 4,370   Rengo Co. Ltd. #   33,287 
 3,200   Sakata Seed Corp. #   107,284 
 3,083   Sumitomo Forestry Co. Ltd. #   45,392 
 5,000   Sumitomo Metal Mining Ltd. #   160,970 
         3,916,732 
Luxembourg: 0.4%     
 11,783   Arcelormittal #   207,761 
 2,081   Tenaris SA (ADR)   47,114 
 976   Ternium SA (ADR)   21,472 
         276,347 
Malaysia: 1.4%     
 135,739   Felda Global Ventures Holdings Bhd * #   50,472 
 30,251   Genting Plantation Bhd #   78,352 
 172,594   IOI Corp. Bhd #   194,602 
 29,278   Kuala Lumpur Kepong Bhd #   177,646 
 91,400   Malyan Banking Bhd #   193,144 
 1,600   Petronas Dagangan Bhd   9,036 
 47,900   PPB Group Bhd #   220,737 
 28,800   Press Metal Aluminium Holdings Bhd #   32,790 
         956,779 
Mexico: 0.6%     
 3,744   Fresnillo Plc (GBP) #   31,760 
 19,510   Gruma, SAB de CV   200,565 
 58,764   Grupo Mexico, SAB de CV   161,380 
 2,502   Industrias Penoles, SAB de CV   26,261 
         419,966 
Monaco: 0.0%     
 1,541   Endeavour Mining Corp. (CAD) *   29,150 
Netherlands: 1.6%     
 7,468   OCI NV * #   158,223 
 33,012   Royal Dutch Shell Plc (GBP) #   980,029 
         1,138,252 
Norway: 2.8%     
 9,711   Equinor ASA #   193,483 
 39,779   Mowi ASA #   1,033,349 
 25,145   Norsk Hydro ASA #   93,419 
 1,660   Norway Royal Salmon ASA   45,187 
 15,447   Yara International ASA #   642,995 
         2,008,433 


 

See Notes to Financial Statements

33

VANECK VECTORS NATURAL RESOURCES ETF

SCHEDULE OF INVESTMENTS

(continued)

 

Number
of Shares
           Value 
         
Peru: 0.2%     
 4,581   Cia de Minas Buenaventura SAA (USD)   $69,173 
 1,566   Southern Copper Corp. (USD) †   66,524 
         135,697 
Poland: 0.2%     
 4,131   Grupa Azoty SA *   31,937 
 2,504   KGHM Polska Miedz SA * #   63,273 
 2,563   Polski Koncern Naftowy Orlen SA #   58,075 
 14,260   Polskie Gornictwo Naftowe I Gazownictwo SA #   16,293 
         169,578 
Portugal: 0.1%     
 3,806   Galp Energia, SGPS, SA #   63,941 
 3,930   Navigator Co. SA #   15,867 
         79,808 
Russia: 3.1%     
 9,625   Evraz Plc (GBP) #   51,546 
 53,207   Gazprom PJSC (ADR) † #   439,145 
 3,718   LUKOIL PJSC (ADR) #   370,337 
 11,073   MMC Norilsk Nickel PJSC (ADR) #   338,626 
 876   Novatek PJSC Reg S (GDR)   177,828 
 2,097   Novolipetsk Steel PJSC Reg S (GDR) #   48,340 
 12,049   PhosAgro PJSC Reg S (GDR)   153,022 
 5,628   Polymetal International Plc (GBP) #   89,017 
 10,275   Rosneft Oil Co. PJSC Reg S (GDR) #   74,596 
 3,461   Severstal PJSC Reg S (GDR) #   52,377 
 31,488   Surgutneftegas PJSC (ADR) † #   254,897 
 2,272   Tatneft PJSC (ADR)   167,810 
         2,217,541 
Singapore: 1.1%     
 586,719   Golden Agri-Resources Ltd. #   102,641 
 229,864   Wilmar International Ltd. #   704,391 
         807,032 
South Africa: 1.5%     
 1,261   Anglo American Platinum Ltd.   117,892 
 8,383   AngloGold Ashanti Ltd. (ADR)   187,276 
 617   Assore Ltd. #   11,993 
 3,371   Astral Foods Ltd.   52,348 
 16,696   Gold Fields Ltd. (USD)   110,194 
 9,422   Harmony Gold Mining Co. Ltd. (USD) *   34,202 
 16,238   Impala Platinum Holdings Ltd. * † #   166,176 
 1,008   Kumba Iron Ore Ltd. #   30,039 
 9,324   Northam Platinum Ltd. *   82,428 
 9,685   Sappi Ltd. #   30,211 
 5,053   Sasol Ltd. #   109,804 
 43,275   Sibanye Gold Ltd. * #   110,752 
         1,043,315 
South Korea: 1.0%     
 1,573   Hyundai Steel Co. #   42,647 
 233   Korea Zinc Co. Ltd. #   85,622 
 1,413   POSCO #   287,211 
 497   SK Energy Co. Ltd. #   64,320 
Number
of Shares
           Value 
         
South Korea: (continued)     
 409   SK Holdings Co. Ltd. #  $92,270 
 357   S-Oil Corp. #   29,321 
 912   Woongjin Coway Co. Ltd.   73,421 
         674,812 
Spain: 0.5%     
 2,790   Acerinox SA #   31,549 
 2,656   EDP Renovaveis SA #   31,384 
 13,357   Repsol YPF SA #   209,990 
 4,026   Siemens Gamesa Renewable Energy SA #   70,951 
         343,874 
Sweden: 0.6%     
 3,128   Billerudkorsnas AB † #   36,983 
 5,036   Boliden AB #   133,825 
 1,757   Holmen AB #   53,521 
 1,663   Lundin Petroleum AB #   56,498 
 11,625   SSAB AB (B Shares) #   38,009 
 10,704   Svenska Cellulosa AB #   108,606 
         427,442 
Switzerland: 0.4%     
 96,299   Glencore Plc (GBP) #   299,882 
Taiwan: 0.5%     
 231,472   China Steel Corp. #   184,688 
 14,920   Formosa Petrochemical Corp. #   48,527 
 66,000   Taiwan Fertilizer Co. Ltd. #   109,142 
         342,357 
Thailand: 0.3%     
 30,700   Energy Absolute PCL (NVDR) #   44,720 
 12,200   PTT Exploration & Production PCL (NVDR) #   50,634 
 75,500   PTT PCL (NVDR) #   110,781 
         206,135 
Turkey: 0.1%     
 25,135   Eregli Demir ve Celik Fabrikalari TAS #   38,160 
 1,082   Tupras-Turkiye Petrol Rafinerileri AS #   23,047 
         61,207 
United Kingdom: 6.7%     
 22,930   Anglo American Plc #   658,806 
 167,928   BP Plc #   1,056,522 
 23,492   Centamin Plc #   39,407 
 51,381   Centrica Plc   60,784 
 88,037   CNH Industrial NV (USD)   968,407 
 24,252   DS Smith Plc #   123,363 
 4,176   KAZ Minerals Plc #   29,375 
 8,580   Mondi Plc #   201,217 
 7,540   Pennon Group Plc #   102,282 
 18,331   Rio Tinto Plc #   1,085,227 
 4,262   Severn Trent Plc   141,999 
 3,699   TechnipFMC Plc (USD)   79,307 
 12,214   United Utilities Group Plc #   152,862 
         4,699,558 


 

See Notes to Financial Statements

34

 

 

Number
of Shares
           Value 
         
United States: 44.0%     
 5,607   AGCO Corp.  $433,141 
 3,417   Alcoa Corp. *   73,500 
 660   American States Water Co.   57,182 
 3,314   Apache Corp.   84,805 
 3,865   Aqua America, Inc.   181,423 
 49,350   Archer-Daniels-Midland Co.   2,287,372 
 7,619   Arconic, Inc.   234,437 
 5,728   Baker Hughes Co.   146,809 
 12,542   Bunge Ltd.   721,792 
 3,688   Cabot Oil & Gas Corp.   64,208 
 862   California Water Service Group   44,445 
 2,683   Cal-Maine Foods, Inc.   114,698 
 19,344   CF Industries Holdings, Inc.   923,483 
 2,254   Chefs’ Warehouse, Inc. *   85,900 
 2,218   Cheniere Energy, Inc. *   135,453 
 16,732   Chevron Corp.   2,016,373 
 894   Cimarex Energy Co.   46,926 
 1,313   Clearway Energy, Inc.   26,194 
 1,772   Concho Resources, Inc.   155,174 
 9,785   ConocoPhillips   636,319 
 759   Continental Resources, Inc.   26,034 
 1,916   Cree, Inc. *   88,423 
 14,597   Darling International, Inc. *   409,884 
 27,899   Deere & Co.   4,833,781 
 3,563   Devon Energy Corp.   92,531 
 1,437   Diamondback Energy, Inc.   133,440 
 1,012   Domtar Corp.   38,699 
 5,115   EOG Resources, Inc.   428,432 
 37,292   Exxon Mobil Corp.   2,602,236 
 1,359   First Solar, Inc. *   76,050 
 11,557   FMC Corp.   1,153,620 
 26,716   Freeport-McMoRan Copper and Gold, Inc.   350,514 
 5,195   Graphic Packaging Holding Co.   86,497 
 7,720   Halliburton Co.   188,908 
 956   Helmerich & Payne, Inc.   43,431 
 2,281   Hess Corp.   152,394 
 1,335   HollyFrontier Corp.   67,698 
 5,912   Ingredion, Inc.   549,520 
 6,942   International Paper Co.   319,679 
 629   Itron, Inc. *   52,805 
 17,159   Kinder Morgan, Inc.   363,256 
 956   Lindsay Corp.   91,766 
 2,184   Louisiana-Pacific Corp.   64,799 
 7,087   Marathon Oil Corp.   96,241 
 5,802   Marathon Petroleum Corp.   349,571 
 3,401   National Oilwell Varco, Inc.   85,195 
 16,663   Newmont Mining Corp.   724,007 
 4,215   Noble Energy, Inc.   104,701 
 5,582   Nucor Corp.   314,155 
 7,884   Occidental Petroleum Corp.   324,900 
 3,640   ONEOK, Inc.   275,439 
 911   Ormat Technologies, Inc.   67,888 
 1,673   Packaging Corp. of America   187,359 
 3,953   Phillips 66   440,404 
 4,639   Pilgrim’s Pride Corp. *   151,765 
 1,473   Pioneer Natural Resources Co.   222,968 
 1,227   Reliance Steel & Aluminum Co.   146,946 
 1,207   Royal Gold, Inc.   147,556 
Number
of Shares
           Value 
         
United States: (continued)     
 12,190   Schlumberger Ltd.  $490,038 
 23   Seaboard Corp.   97,763 
 9,212   Southern Co./The   586,804 
 3,680   Steel Dynamics, Inc.   125,267 
 2,052   Targa Resources Corp.   83,783 
 2,831   The Andersons, Inc.   71,568 
 31,112   The Mosaic Co.   673,264 
 10,567   Tractor Supply Co.   987,380 
 26,109   Tyson Foods, Inc.   2,376,963 
 3,144   United States Steel Corp. †   35,873 
 3,652   Valero Energy Corp.   342,010 
 4,557   Westrock Co.   195,541 
 13,164   Weyerhaeuser Co.   397,553 
 10,683   Williams Cos, Inc./The   253,401 
         31,040,334 
Total Common Stocks
(Cost: $65,717,778)
   70,573,615 
SHORT-TERM INVESTMENT HELD AS COLLATERAL FOR SECURITIES ON LOAN: 4.0%
(Cost: $2,838,207)
     
Money Market Fund: 4.0%     
 2,838,207   State Street Navigator Securities Lending Government Money Market Portfolio   2,838,207 
Total Investments: 104.1%
(Cost: $68,555,985)
   73,411,822 
Liabilities in excess of other assets: (4.1)%   (2,917,873)
NET ASSETS: 100.0%  $70,493,949 


 

See Notes to Financial Statements

35

VANECK VECTORS NATURAL RESOURCES ETF

SCHEDULE OF INVESTMENTS

(continued)

 

Definitions:

ADR American Depositary Receipt
CAD Canadian Dollar
GBP British Pound
GDR Global Depositary Receipt
NOK Norwegian Krone
NVDR Non-Voting Depositary Receipt
USD United States Dollar
   
Footnotes:
* Non-income producing
Security fully or partially on loan. Total market value of securities on loan is $5,755,656.
# Security has been valued in good faith pursuant to guidelines established by the Board of Trustees. The aggregate value of fair valued securities is $26,261,120 which represents 37.3% of net assets.
Reg S Security was purchased pursuant to Regulation S under the Securities Act of 1933, which exempts from registration securities offered and sold outside of the United States. Such a security cannot be sold in the United States without either an effective registration statement filed pursuant to the Securities Act of 1933, or pursuant to an exemption from registration.
144A Security exempt from registration under Rule 144A of the Securities Act of 1933, as amended, or otherwise restricted. These securities may be resold in transactions exempt from registration, unless otherwise noted, and the value amounted to $581,914, or 0.8% of net assets.

 

Summary of Investments by Sector
Excluding Collateral for Securities Loaned
% of Investments  Value 
Consumer Discretionary   1.6%  $1,106,193 
Consumer Staples   16.5    11,674,358 
Energy   30.3    21,403,048 
Financials   0.3    193,144 
Industrials   12.6    8,875,029 
Information Technology   0.3    217,278 
Materials   33.8    23,831,597 
Real Estate   0.5    397,553 
Utilities   4.1    2,875,415 
             100.0%  $70,573,615 

 

See Notes to Financial Statements

36

 

 

The summary of inputs used to value the Fund’s investments as of December 31, 2019 is as follows:

 

   Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
  Value 
Common Stocks                               
Argentina  $86,495   $        $   $86,495 
Australia       3,503,108          3,503,108 
Austria   20,406    196,298          216,704 
Brazil   1,311,274    227,670          1,538,944 
Canada   7,763,235              7,763,235 
Chile   261,909    146,430          408,339 
China / Hong Kong       1,286,286          1,286,286 
Denmark       669,881          669,881 
Finland   132,211    157,566          289,777 
France       1,619,430          1,619,430 
Germany       647,843          647,843 
Hungary       42,537          42,537 
India   581,914              581,914 
Indonesia       67,895          67,895 
Ireland       208,507          208,507 
Italy       348,489          348,489 
Japan       3,916,732          3,916,732 
Luxembourg   68,586    207,761          276,347 
Malaysia   9,036    947,743          956,779 
Mexico   388,206    31,760          419,966 
Monaco   29,150              29,150 
Netherlands       1,138,252          1,138,252 
Norway   45,187    1,963,246          2,008,433 
Peru   135,697              135,697 
Poland   31,937    137,641          169,578 
Portugal       79,808          79,808 
Russia   498,660    1,718,881          2,217,541 
Singapore       807,032          807,032 
South Africa   584,340    458,975          1,043,315 
South Korea   73,421    601,391          674,812 
Spain       343,874          343,874 
Sweden       427,442          427,442 
Switzerland       299,882          299,882 
Taiwan       342,357          342,357 
Thailand       206,135          206,135 
Turkey       61,207          61,207 
United Kingdom   1,250,497    3,449,061          4,699,558 
United States   31,040,334              31,040,334 
Money Market Fund   2,838,207              2,838,207 
Total  $47,150,702   $26,261,120     $   $73,411,822 

 

See Notes to Financial Statements

37

VANECK VECTORS OIL REFINERS ETF

SCHEDULE OF INVESTMENTS

December 31, 2019

 

Number
of Shares
           Value 
         
COMMON STOCKS: 99.9%     
Australia: 4.4%     
 64,084   Caltex Australia Ltd. #  $1,530,653 
Austria: 4.9%     
 30,720   OMV AG #   1,722,309 
Finland: 6.5%     
 64,976   Neste Oil Oyj   2,262,460 
Greece: 1.3%     
 19,683   Motor Oil Hellas Corinth Refineries SA #   455,886 
Hungary: 4.1%     
 142,893   MOL Hungarian Oil & Gas Plc #   1,426,489 
India: 7.5%     
 61,005   Reliance Industries Ltd. 144A (GDR)   2,595,763 
Japan: 11.0%     
 19,000   Cosmo Energy Holdings Co. Ltd. #   434,906 
 55,468   Idemitsu Kosan Co. Ltd. #   1,532,394 
 407,400   JXTG Holdings, Inc. #   1,848,676 
         3,815,976 
Poland: 6.3%     
 25,548   Grupa Lotos SA #   564,537 
 72,005   Polski Koncern Naftowy Orlen SA #   1,631,559 
         2,196,096 
Portugal: 4.6%     
 96,065   Galp Energia, SGPS, SA #   1,613,894 
Number
of Shares
           Value 
         
South Korea: 10.1%     
 2,626   Hyundai Heavy Industries Holdings Co. Ltd. #  $766,395 
 12,439   SK Energy Co. Ltd. #   1,609,823 
 13,706   S-Oil Corp. #   1,125,698 
         3,501,916 
Taiwan: 4.5%     
 485,000   Formosa Petrochemical Corp. #   1,577,442 
Thailand: 3.6%     
 3,496,200   IRPC PCL (NVDR) #   428,649 
 349,000   Thai Oil PCL (NVDR) #   811,232 
         1,239,881 
Turkey: 2.2%     
 36,253   Tupras-Turkiye Petrol Rafinerileri AS #   772,190 
United States: 28.9%     
 13,922   Delek US Holdings, Inc.   466,805 
 30,343   HollyFrontier Corp.   1,538,694 
 41,406   Marathon Petroleum Corp.   2,494,711 
 21,688   PBF Energy, Inc.   680,353 
 24,085   Phillips 66   2,683,310 
 23,639   Valero Energy Corp.   2,213,792 
         10,077,665 
Total Common Stocks: 99.9%
(Cost: $37,777,533)
   34,788,620 
Other assets less liabilities: 0.1%   25,879 
NET ASSETS: 100.0%  $34,814,499 


 

 

Definitions:

GDR Global Depositary Receipt
NVDR Non-Voting Depositary Receipt
   
Footnotes:
# Security has been valued in good faith pursuant to guidelines established by the Board of Trustees. The aggregate value of fair valued securities is $19,852,732 which represents 57.0% of net assets.
144A Security exempt from registration under Rule 144A of the Securities Act of 1933, as amended, or otherwise restricted. These securities may be resold in transactions exempt from registration, unless otherwise noted, and the value amounted to $2,595,763, or 7.5% of net assets.

 

Summary of Investments by Sector % of Investments  Value 
Energy   97.8%  $34,022,225 
Industrials   2.2    766,395 
             100.0%  $34,788,620 

 

See Notes to Financial Statements

38

 

 

The summary of inputs used to value the Fund’s investments as of December 31, 2019 is as follows:

 

   Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
  Value 
Common Stocks                               
Australia  $   $1,530,653        $   $1,530,653 
Austria       1,722,309          1,722,309 
Finland   2,262,460              2,262,460 
Greece       455,886          455,886 
Hungary       1,426,489          1,426,489 
India   2,595,763              2,595,763 
Japan       3,815,976          3,815,976 
Poland       2,196,096          2,196,096 
Portugal       1,613,894          1,613,894 
South Korea       3,501,916          3,501,916 
Taiwan       1,577,442          1,577,442 
Thailand       1,239,881          1,239,881 
Turkey       772,190          772,190 
United States   10,077,665              10,077,665 
Total  $14,935,888   $19,852,732     $   $34,788,620 

 

See Notes to Financial Statements

39

VANECK VECTORS OIL SERVICES ETF

SCHEDULE OF INVESTMENTS

December 31, 2019

 

Number
of Shares
           Value 
         
COMMON STOCKS: 100.1%     
Luxembourg: 4.7%     
 1,604,012   Tenaris SA (ADR)  $36,314,832 
Netherlands: 3.5%     
 727,417   Core Laboratories NV (USD)   27,401,798 
Switzerland: 0.7%     
 4,366,891   Noble Corp. Plc (USD) *   5,327,607 
United Kingdom: 7.8%     
 1,852,853   TechnipFMC Plc (USD)   39,725,168 
 3,187,906   Valaris Plc (USD) †   20,912,663 
         60,637,831 
United States: 83.4%     
 1,153,026   Apergy Corp. *   38,949,218 
 1,579,953   Baker Hughes Co.   40,494,195 
 1,017,319   Cactus, Inc.   34,914,388 
 933,945   Diamond Offshore Drilling, Inc. * †   6,715,065 
 449,905   Dril-Quip, Inc. *   21,105,044 
 3,065,341   Halliburton Co.   75,008,894 
 2,481,470   Helix Energy Solutions Group, Inc. *   23,896,556 
 775,354   Helmerich & Payne, Inc.   35,224,332 
 4,111,236   McDermott International, Inc. * †   2,781,662 
 6,162,936   Nabors Industries Ltd.   17,749,256 
 1,515,144   National Oilwell Varco, Inc.   37,954,357 
 2,436,168   NexTier Oilfield Solutions, Inc. *   16,322,326 
 1,649,741   Oceaneering International, Inc. *   24,597,638 
 735,312   Oil States International, Inc. *   11,992,939 
Number
of Shares
           Value 
         
United States: (continued)     
 3,199,457   Patterson-UTI Energy, Inc.  $33,594,299 
 1,592,572   ProPetro Holding Corp. *   17,916,435 
 2,061,236   RPC, Inc. †   10,800,877 
 3,732,696   Schlumberger Ltd.   150,054,379 
 5,708,059   Transocean Ltd. * †   39,271,446 
 852,498   US Silica Holdings, Inc. †   5,242,863 
         644,586,169 
Total Common Stocks
(Cost: $1,340,492,634)
   774,268,237 
SHORT-TERM INVESTMENT HELD AS COLLATERAL FOR SECURITIES ON LOAN: 2.6%
(Cost: $19,877,420)
     
Money Market Fund: 2.6%     
 19,877,420   State Street Navigator Securities Lending Government Money Market Portfolio   19,877,420 
Total Investments: 102.7%
(Cost: $1,360,370,054)
   794,145,657 
Liabilities in excess of other assets: (2.7)%   (20,822,094)
NET ASSETS: 100.0%  $773,323,563 


 

 

Definitions:

ADR American Depositary Receipt
USD United States Dollar

 

Footnotes:

* Non-income producing
Security fully or partially on loan. Total market value of securities on loan is $59,407,365.

 

Summary of Investments by Sector
Excluding Collateral for Securities Loaned
% of Investments  Value 
Oil & Gas Drilling            20.5%  $158,794,668 
Oil & Gas Equipment & Services   79.5    615,473,569 
    100.0%  $774,268,237 

 

The summary of inputs used to value the Fund’s investments as of December 31, 2019 is as follows:

 

   Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
  Value 
Common Stocks*  $774,268,237   $        $      $774,268,237 
Money Market Fund   19,877,420              19,877,420 
Total  $794,145,657   $     $   $794,145,657 

 

* See Schedule of Investments for geographic sector breakouts.

 

See Notes to Financial Statements

40

VANECK VECTORS RARE EARTH/STRATEGIC METALS ETF

SCHEDULE OF INVESTMENTS

December 31, 2019

 

Number
of Shares
           Value 
         
COMMON STOCKS: 100.0%     
Australia: 22.2%     
 9,225,207   Galaxy Resources Ltd. * † #  $6,023,372 
 1,763,635   Iluka Resources Ltd. #   11,567,630 
 42,193,732   Jupiter Mines Ltd. † #   8,325,528 
 4,566,639   Orocobre Ltd. * † #   8,526,848 
 42,390,640   Pilbara Minerals Ltd. * † #   8,375,049 
         42,818,427 
Canada: 2.4%     
 6,057,566   Largo Resources Ltd. *   4,624,631 
China / Hong Kong: 41.7%     
 26,785,980   China Molybdenum Co. Ltd. #   16,804,035 
 9,839,024   China Northern Rare Earth Group High-Tech Co. Ltd. #   15,274,981 
 8,496,670   Jinduicheng Molybdenum Co. Ltd. #   9,778,427 
 8,915,261   Shenghe Resources Holding Co. Ltd. #   11,609,313 
 5,613,800   Xiamen Tungsten Co. Ltd. #   10,514,552 
 2,912,201   Zhejiang Huayou Cobalt Co. Ltd. #   16,404,574 
         80,385,882 
France: 4.6%     
 171,042   Eramet SA † #   8,854,717 
Japan: 7.3%     
 473,892   OSAKA Titanium Technologies Co. #   6,623,685 
 876,347   Toho Titanium Co. Ltd. #   7,475,765 
         14,099,450 
Malaysia: 4.5%     
 5,370,027   Lynas Corp. Ltd. (AUD) * #   8,783,709 
Number
of Shares
           Value 
         
Netherlands: 4.5%     
 353,032   AMG Advanced Metallurgical † #  $8,672,005 
South Africa: 4.4%     
 438,351   Assore Ltd. #   8,520,546 
United Kingdom: 4.3%     
 720,618   Tronox Holdings PLC (USD)   8,229,458 
United States: 4.1%     
 924,238   Livent Corp. * †   7,902,235 
Total Common Stocks
(Cost: $214,277,026)
   192,891,060 
SHORT-TERM INVESTMENT HELD AS COLLATERAL FOR SECURITIES ON LOAN: 1.1%
(Cost: $2,126,040)
     
Money Market Fund: 1.1%     
 2,126,040   State Street Navigator Securities Lending Government Money Market Portfolio   2,126,040 
Total Investments: 101.1%
(Cost: $216,403,066)
   195,017,100 
Liabilities in excess of other assets: (1.1)%   (2,080,265)
NET ASSETS: 100.0%  $192,936,835 


 

 

Definitions:

AUD Australian Dollar
USD United States Dollar
   
Footnotes:
* Non-income producing
Security fully or partially on loan. Total market value of securities on loan is $30,938,789.
# Security has been valued in good faith pursuant to guidelines established by the Board of Trustees. The aggregate value of fair valued securities is $172,134,736 which represents 89.2% of net assets.

 

Summary of Investments by Sector
Excluding Collateral for Securities Loaned
% of Investments  Value 
Diversified Metals & Mining             26.9%  $51,826,052 
Materials   73.1    141,065,008 
    100.0%  $192,891,060 

 

See Notes to Financial Statements

41

VANECK VECTORS RARE EARTH/STRATEGIC METALS ETF

SCHEDULE OF INVESTMENTS

(continued)

 

The summary of inputs used to value the Fund’s investments as of December 31, 2019 is as follows:

 

   Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
  Value 
Common Stocks                               
Australia  $   $42,818,427        $   $42,818,427 
Canada   4,624,631              4,624,631 
China / Hong Kong       80,385,882          80,385,882 
France       8,854,717          8,854,717 
Japan       14,099,450          14,099,450 
Malaysia       8,783,709          8,783,709 
Netherlands       8,672,005          8,672,005 
South Africa       8,520,546          8,520,546 
United Kingdom   8,229,458              8,229,458 
United States   7,902,235              7,902,235 
Money Market Fund   2,126,040              2,126,040 
Total  $22,882,364   $172,134,736     $   $195,017,100 

 

See Notes to Financial Statements

42

VANECK VECTORS STEEL ETF

SCHEDULE OF INVESTMENTS

December 31, 2019

 

Number
of Shares
           Value 
           
COMMON STOCKS: 100.2%     
Brazil: 20.1%     
 846,163   Cia Siderurgica Nacional SA (ADR) †  $2,919,262 
 635,523   Gerdau SA (ADR) †   3,114,063 
 549,128   Vale SA (ADR)   7,248,490 
         13,281,815 
India: 5.6%     
 427,989   Vedanta Ltd. (ADR) †   3,693,545 
Luxembourg: 17.5%     
 186,138   ArcelorMittal SA (USD) †   3,264,860 
 145,499   Tenaris SA (ADR)   3,294,097 
 225,975   Ternium SA (ADR)   4,971,450 
         11,530,407 
South Korea: 4.4%     
 57,287   POSCO (ADR)   2,899,868 
United Kingdom: 11.1%     
 123,849   Rio Tinto Plc (ADR)   7,351,677 
United States: 41.5%     
 196,132   AK Steel Holding Corp. * †   645,274 
 141,294   Allegheny Technologies, Inc. *   2,919,134 
 59,183   Carpenter Technology Corp.   2,946,130 
 363,819   Cleveland-Cliffs, Inc. †   3,056,080 
 134,669   Commercial Metals Co.   2,999,079 
 20,442   Gibraltar Industries, Inc. *   1,031,094 
 58,461   Nucor Corp.   3,290,185 
 6,842   Olympic Steel, Inc.   122,609 
Number
of Shares
           Value 
           
United States: (continued)    
 24,720   Reliance Steel & Aluminum Co.  $2,960,467 
 23,275   Ryerson Holding Corp. *   275,343 
 16,574   Schnitzer Steel Industries, Inc.   359,324 
 86,830   Steel Dynamics, Inc.   2,955,693 
 40,251   SunCoke Energy, Inc.   250,764 
 27,723   TimkenSteel Corp. *   217,903 
 108,485   United States Steel Corp. †   1,237,814 
 32,088   Warrior Met Coal, Inc.   678,019 
 34,478   Worthington Industries, Inc.   1,454,282 
         27,399,194 
Total Common Stocks
(Cost: $74,008,511)
   66,156,506 
SHORT-TERM INVESTMENT HELD AS COLLATERAL FOR SECURITIES ON LOAN: 5.1%
(Cost: $3,391,650)
     
Money Market Fund: 5.1%     
 3,391,650   State Street Navigator Securities Lending Government Money Market Portfolio   3,391,650 
Total Investments: 105.3%
(Cost: $77,400,161)
   69,548,156 
Liabilities in excess of other assets: (5.3)%   (3,506,389)
NET ASSETS: 100.0%  $66,041,767 


 

 

 

Definitions:

ADR American Depositary Receipt
USD United States Dollar

 

Footnotes:

* Non-income producing
Security fully or partially on loan. Total market value of securities on loan is $10,794,738.

 

Summary of Investments by Sector
Excluding Collateral for Securities Loaned
% of Investments  Value 
Energy         5.0%         $3,294,097 
Industrials   1.5    1,031,094 
Materials   93.5    61,831,315 
    100.0%  $66,156,506 

 

The summary of inputs used to value the Fund’s investments as of December 31, 2019 is as follows:

 

   Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
  Value 
Common Stocks*  $66,156,506   $        $      $66,156,506 
Money Market Fund   3,391,650              3,391,650 
Total  $69,548,156   $     $   $69,548,156 

 

* See Schedule of Investments for geographic sector breakouts.

 

See Notes to Financial Statements

43

VANECK VECTORS UNCONVENTIONAL OIL & GAS ETF

SCHEDULE OF INVESTMENTS

December 31, 2019

 

Number
of Shares
           Value 
           
COMMON STOCKS: 100.0%     
Canada: 17.6%     
 40,570   ARC Resources Ltd. †  $255,919 
 93,488   Cenovus Energy, Inc. (USD)   948,903 
 65,520   Crescent Point Energy Corp. (USD)   292,874 
 117,403   Encana Corp. (USD) †   550,620 
 28,290   Enerplus Corp. (USD) †   201,708 
 38,381   Husky Energy, Inc.   308,409 
 19,003   PrairieSky Royalty Ltd. †   223,185 
 28,173   Seven Generations Energy Ltd. *   184,018 
 26,317   Tourmaline Oil Corp.   308,883 
 42,745   Whitecap Resources, Inc. †   182,946 
         3,457,465 
United States: 82.4%     
 25,948   Antero Resources Corp. * †   73,952 
 22,017   Apache Corp.   563,415 
 35,307   Cabot Oil & Gas Corp.   614,695 
 94,519   Chesapeake Energy Corp. * †   78,035 
 8,164   Cimarex Energy Co.   428,528 
 8,550   CNX Resources Corp. *   75,667 
 12,440   Concho Resources, Inc.   1,089,371 
 22,820   ConocoPhillips   1,483,985 
 10,873   Continental Resources, Inc.   372,944 
 33,734   Devon Energy Corp.   876,072 
 9,445   Diamondback Energy, Inc.   877,063 
 18,850   EOG Resources, Inc.   1,578,876 
 23,103   EQT Corp.   251,823 
 17,137   Hess Corp.   1,144,923 
 62,109   Marathon Oil Corp.   843,440 
 11,877   Matador Resources Co. *   213,430 
Number
of Shares
           Value 
           
United States: (continued)     
 9,806   Murphy Oil Corp. †  $262,801 
 7,472   National Fuel Gas Co.   347,747 
 34,093   Noble Energy, Inc.   846,870 
 20,858   Oasis Petroleum, Inc. *   67,997 
 32,808   Occidental Petroleum Corp.   1,352,018 
 27,922   Parsley Energy, Inc.   528,005 
 3,921   PDC Energy, Inc. *   102,612 
 8,397   Pioneer Natural Resources Co.   1,271,054 
 16,950   QEP Resources, Inc.   76,275 
 17,281   Range Resources Corp. †   83,813 
 6,895   SM Energy Co.   77,500 
 40,844   WPX Energy, Inc. *   561,196 
         16,144,107 
Total Common Stocks
(Cost: $31,901,196)
   19,601,572 
SHORT-TERM INVESTMENT HELD AS COLLATERAL FOR SECURITIES ON LOAN: 2.7%
(Cost: $525,900)
     
Money Market Fund: 2.7%     
 525,900   State Street Navigator Securities Lending Government Money Market Portfolio   525,900 
Total Investments: 102.7%
(Cost: $32,427,096)
   20,127,472 
Liabilities in excess of other assets: (2.7)%   (526,816)
NET ASSETS: 100.0%  $19,600,656 


 

 

 

Definitions:

USD United States Dollar

 

Footnotes:

* Non-income producing
Security fully or partially on loan. Total market value of securities on loan is $1,671,202.

 

Summary of Investments by Sector
Excluding Collateral for Securities Loaned
% of Investments  Value 
Gas Utilities          1.8%          $347,747 
Integrated Oil & Gas   13.3    2,609,330 
Oil & Gas Exploration & Production   84.9    16,644,495 
    100.0%  $19,601,572 

 

The summary of inputs used to value the Fund’s investments as of December 31, 2019 is as follows:

 

   Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
  Value 
Common Stocks*  $19,601,572   $        $      $19,601,572 
Money Market Fund   525,900              525,900 
Total  $20,127,472   $     $   $20,127,472 

 

* See Schedule of Investments for geographic sector breakouts.

 

See Notes to Financial Statements

44

VANECK VECTORS URANIUM+NUCLEAR ENERGY ETF

SCHEDULE OF INVESTMENTS

December 31, 2019

 

Number
of Shares
           Value 
           
COMMON STOCKS: 100.1%     
Canada: 4.9%     
 103,020   Cameco Corp. (USD)  $916,878 
 87,686   NexGen Energy Ltd. *   112,925 
 26,618   Uranium Participation Corp. *   83,749 
         1,113,552 
China / Hong Kong: 2.9%     
 2,442,000   CGN Power Co. Ltd. Reg S 144A #   652,182 
Czech Republic: 4.4%     
 44,691   CEZ AS   1,005,720 
Finland: 5.7%     
 52,512   Fortum Oyj #   1,297,100 
France: 4.8%     
 96,681   Electricite de France SA #   1,079,562 
Japan: 15.3%     
 50,700   Hokuriku Electric Power Co. * #   369,899 
 98,000   Kansai Electric Power Co., Inc. † #   1,135,102 
 112,900   Kyushu Electric Power Co., Inc. #   979,338 
 228,900   Tokyo Electric Power Co., Inc. * #   979,638 
         3,463,977 
Korea: 0.6%     
 4,237   KEPCO Plant Service & Engineering Co. Ltd. #   143,444 
South Korea: 4.4%     
 84,787   Korea Electric Power Corp. (ADR) * †   1,003,030 
Spain: 4.4%     
 37,534   Endesa SA † #   1,003,049 
Number
of Shares
           Value 
           
United States: 52.7%     
 10,022   BWX Technologies, Inc.  $622,166 
 22,209   Dominion Energy, Inc.   1,839,349 
 20,188   Duke Energy Corp.   1,841,348 
 7,332   El Paso Electric Co.   497,770 
 27,357   Energy Fuels, Inc./Canada * †   52,252 
 11,403   Entergy Corp.   1,366,079 
 35,573   Exelon Corp.   1,621,773 
 83,251   PG&E Corp. *   904,938 
 11,829   Pinnacle West Capital Corp.   1,063,782 
 13,675   PNM Resources, Inc.   693,459 
 25,053   Public Service Enterprise Group, Inc.   1,479,380 
         11,982,296 
Total Common Stocks
(Cost: $22,382,301)
   22,743,912 
SHORT-TERM INVESTMENT HELD AS COLLATERAL FOR SECURITIES ON LOAN: 6.3%
(Cost: $1,448,283)
     
Money Market Fund: 6.3%     
 1,448,283   State Street Navigator Securities Lending Government Money Market Portfolio   1,448,283 
Total Investments: 106.4%
(Cost: $23,830,584)
   24,192,195 
Liabilities in excess of other assets: (6.4)%   (1,461,790)
NET ASSETS: 100.0%  $22,730,405 


 

 

 

Definitions:

ADR American Depositary Receipt
USD United States Dollar

 

Footnotes:

* Non-income producing
Security fully or partially on loan. Total market value of securities on loan is $1,562,020.
# Security has been valued in good faith pursuant to guidelines established by the Board of Trustees. The aggregate value of fair valued securities is $7,639,314 which represents 33.6% of net assets.
Reg S Security was purchased pursuant to Regulation S under the Securities Act of 1933, which exempts from registration securities offered and sold outside of the United States. Such a security cannot be sold in the United States without either an effective registration statement filed pursuant to the Securities Act of 1933, or pursuant to an exemption from registration.
144A Security exempt from registration under Rule 144A of the Securities Act of 1933, as amended, or otherwise restricted. These securities may be resold in transactions exempt from registration, unless otherwise noted, and the value amounted to $652,182, or 2.9% of net assets.

 

See Notes to Financial Statements

45

VANECK VECTORS URANIUM+NUCLEAR ENERGY ETF

SCHEDULE OF INVESTMENTS

(continued)

 

Summary of Investments by Sector
Excluding Collateral for Securities Loaned
% of Investments  Value 
Energy          4.7%          $1,082,055 
Financials   0.4    83,749 
Industrials   3.4    765,610 
Utilities   91.5    20,812,498 
    100.0%  $22,743,912 

 

The summary of inputs used to value the Fund’s investments as of December 31, 2019 is as follows:

 

   Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
  Value 
Common Stocks                               
Canada  $1,113,552   $     $   $1,113,552 
China / Hong Kong       652,182          652,182 
Czech Republic   1,005,720              1,005,720 
Finland       1,297,100          1,297,100 
France       1,079,562          1,079,562 
Japan       3,463,977          3,463,977 
Korea       143,444          143,444 
South Korea   1,003,030              1,003,030 
Spain       1,003,049          1,003,049 
United States   11,982,296              11,982,296 
Money Market Fund   1,448,283              1,448,283 
Total  $16,552,881   $7,639,314     $   $24,192,195 

 

See Notes to Financial Statements

46

[This Page Intentionally Left Blank.]

47

VANECK VECTORS ETF TRUST

STATEMENTS OF ASSETS AND LIABILITIES

December 31, 2019

 

   Agribusiness
ETF
     Coal
ETF
     Gold Miners
ETF
     Junior
Gold Miners
ETF
     Low Carbon
Energy
ETF
Assets:                                   
Investments, at value (1)                                   
Unaffiliated issuers (2)    $716,181,540     $27,149,895     $5,768,267,267     $3,395,047,864     $104,633,603 
Affiliated issuers (3)                 7,227,843,608      1,819,767,333       
Short-term investments held as collateral for securities loaned (4)     827,598      697,091      27,585,223      60,229,115      1,193,707 
Cash     211,774      77,638      5,785,862      13,481,087      54,183 
Cash denominated in foreign currency, at value (5)     212,808      13      882             
Receivables:                                   
Investment securities sold                             59,234 
Shares of beneficial interest sold                 170,403,245      44,504,429       
Dividends and interest     1,179,874      11,948      3,152,010      1,763,506      116,938 
Prepaid expenses     8,280      1,840      77,563      35,862      2,012 
Other assets                       216,253       
Total assets     718,621,874      27,938,425      13,203,115,660      5,335,045,449      106,059,677 
                                    
Liabilities:                                   
Payables:                                   
Investment securities purchased                 170,357,076      52,916,465       
Collateral for securities loaned     827,598      697,091      27,585,223      60,229,115      1,193,707 
Line of credit                              
Shares redeemed                 476             
Due to Adviser     304,072      7,406      5,138,567      2,060,386      42,972 
Due to custodian                       209,160      59,234 
Distribution to shareholders                              
Deferred Trustee fees     484,842      21,987      972,330      236,762      12,090 
Accrued expenses     245,720      80,914      335,513      173,307      41,620 
Total liabilities     1,862,232      807,398      204,389,185      115,825,195      1,349,623 
NET ASSETS    $716,759,642     $27,131,027     $12,998,726,475     $5,219,220,254     $104,710,054 
Shares outstanding     10,450,000      2,750,000      443,052,500      123,137,446      1,383,298 
Net asset value, redemption and offering price per share    $68.59     $9.87     $29.34     $42.39     $75.70 
                                    
Net Assets consist of:                                   
Aggregate paid in capital    $1,356,378,381     $353,629,076     $21,137,815,637     $8,993,903,204     $168,092,157 
Total distributable earnings (loss)     (639,618,739)     (326,498,049)     (8,139,089,162)     (3,774,682,950)     (63,382,103)
     $716,759,642     $27,131,027     $12,998,726,475     $5,219,220,254     $104,710,054 
(1)  Value of securities on loan    $7,510,630     $1,709,344     $86,418,103     $196,868,095     $4,691,228 
(2)  Cost of investments – Unaffiliated issuers    $637,545,722     $41,093,496     $4,703,226,911     $2,962,500,702     $71,944,708 
(3)  Cost of investments – Affiliated issuers    $     $     $6,047,783,028     $1,447,648,972     $ 
(4)  Cost of short-term investments held as collateral for securities loaned    $827,598     $697,091     $27,585,223     $60,229,115     $1,193,707 
(5)  Cost of cash denominated in foreign currency    $209,456     $13     $868     $     $ 

 

See Notes to Financial Statements

48

 

 

  Natural
Resources
ETF
    Oil Refiners
ETF
      Oil Services
ETF
    Rare Earth/
Strategic Metals
ETF
      Steel
ETF
    Unconventional
Oil & Gas
ETF
  Uranium+Nuclear
Energy
ETF
                                                                
  $70,573,615      $34,788,620      $774,268,237      $192,891,060      $66,156,506      $19,601,572      $22,743,912 
                                              
   2,838,207              19,877,420       2,126,040       3,391,650       525,900       1,448,283 
   1,167       21,508       1,397,736       831,519       157,223       39,307       39,205 
   16,573                     1,082,662              2,089        
                                                     
   6,620       85,536       38,631,663              2,545,925       2,081        
                        241,409                      
   181,593       57,613       2,348,177       133,312       217,336       44,283       28,326 
   1,974       985       9,689       2,410       1,926       1,004       909 
                        42,940                      
   73,619,749       34,954,262       836,532,922       197,351,352       72,470,566       20,216,236       24,260,635 
                                                     
   353              1,398,729       241,409       2,779,131       2,085        
   2,838,207              19,877,420       2,126,040       3,391,650       525,900       1,448,283 
   147,703              2,826,895       943,932                      
                 38,632,002       916,858                      
   13,243       10,393       206,375       71,691       31,054       1,143       5,488 
          64,582                                    
                               130,140               
   12,573       558       164,794       15,491       16,774       3,867       11,022 
   113,721       64,230       103,144       99,096       80,050       82,585       65,437 
   3,125,800       139,763       63,209,359       4,414,517       6,428,799       615,580       1,530,230 
  $70,493,949      $34,814,499      $773,323,563      $192,936,835      $66,041,767      $19,600,656      $22,730,405 
   1,900,000       1,200,000       58,260,863       14,324,962       1,750,000       1,750,000       466,632 
  $37.10      $29.01      $13.27      $13.47      $37.74      $11.20      $48.71 
                                                     
  $106,882,214      $40,847,623      $2,280,040,359      $522,370,775      $213,500,434      $77,661,596      $104,521,699 
   (36,388,265)      (6,033,124)      (1,506,716,796)      (329,433,940)      (147,458,667)      (58,060,940)      (81,791,294)
  $70,493,949      $34,814,499      $773,323,563      $192,936,835      $66,041,767      $19,600,656      $22,730,405 
  $5,755,656      $      $59,407,365      $30,938,789      $10,794,738      $1,671,202      $1,562,020 
  $65,717,778      $37,777,533      $1,340,492,634      $214,277,026      $74,008,511      $31,901,196      $22,382,301 
  $      $      $      $      $      $      $ 
                                                     
  $2,838,207      $      $19,877,420      $2,126,040      $3,391,650      $525,900      $1,448,283 
  $16,313      $      $      $1,079,401      $      $2,075      $ 

 

See Notes to Financial Statements

49

VANECK VECTORS ETF TRUST

STATEMENTS OF OPERATIONS

For the Year Ended December 31, 2019

 

   Agribusiness
ETF
  Coal
ETF
  Gold Miners
ETF
  Junior
Gold Miners
ETF
  Low Carbon
Energy
ETF
Income:                                   
Dividends – Unaffiliated issuers    $13,522,689     $3,403,914     $665,307     $7,377,870     $634,354 
Dividends – Affiliated issuers                 143,348,021      24,058,238       
Interest     6,389      1,750      89,924      172,278      765 
Securities lending income     945,042      47,075      1,215,535      2,454,622      53,184 
Foreign taxes withheld     (1,082,755)     (323,205)     (7,569,564)     (1,276,728)     (54,566)
Total income     13,391,365      3,129,534      137,749,223      32,786,280      633,737 
                                    
Expenses:                                   
Management fees     3,615,501      228,229      53,842,504      21,262,348      453,986 
Professional fees     61,261      62,480      102,647      156,758      62,642 
Custodian fees     75,029      6,408      450,637      202,339      12,428 
Fund accounting fees     56,536      14,365            235,418      10,308 
Reports to shareholders     42,611      21,390      321,263      140,103      27,852 
IOPV fees     3,062      5,036            5,039      5,050 
Trustees’ fees and expenses     141,619      1,972      664,837      201,108      2,772 
Registration fees     5,043      5,043      51,377      27,201      5,044 
Transfer agent fees     2,420      2,420      2,420      2,420      2,420 
Insurance     8,311      2,004      60,309      34,470      1,979 
Interest     41,538      3,786      121,770      40,440      3,359 
Other     13,352      907      312,675      339,944      737 
Total expenses     4,066,283      354,040      55,930,439      22,647,588      588,577 
Waiver of management fees           (81,052)                 (25,109)
Net expenses     4,066,283      272,988      55,930,439      22,647,588      563,468 
Net investment income     9,325,082      2,856,546      81,818,784      10,138,692      70,269 
                                    
Net realized gain (loss) on:                                   
Investments – unaffiliated issuers     (23,209,279)     (5,949,389)           (52,634,762)     1,262,569 
Investments – affiliated issuers                 (603,201,819)     21,634,015       
In-kind redemptions – unaffiliated issuers     68,286,682      (1,752,239)           90,539,484      2,705,670 
In-kind redemptions – affiliated issuers                 982,723,383      330,590,921       
Foreign currency transactions and foreign denominated assets and liabilities     (280,087)     5,633      (207,453)     (777,877)     (10,903)
Net realized gain     44,797,316      (7,695,995)     379,314,111      389,351,781      3,957,336 
                                    
Net change in unrealized appreciation (depreciation) on:                                   
Investments – unaffiliated issuers     90,481,083      (1,102,411)           433,933,175      24,995,376 
Investments – affiliated issuers                 3,098,709,740      725,413,848       
Foreign currency transactions and foreign denominated assets and liabilities     13,871      (7,964)     29,126      2,405      236 
Net change in unrealized appreciation (depreciation)      90,494,954      (1,110,375)     3,098,738,866      1,159,349,428      24,995,612 
Net Increase in Net Assets Resulting from Operations    $144,617,352     $(5,949,824)    $3,559,871,761     $1,558,839,901     $29,023,217 

 

See Notes to Financial Statements

50

 

 

Natural
Resources
ETF
  Oil Refiners
ETF
  Oil Services
ETF
  Rare Earth/
Strategic Metals
ETF
  Steel
ETF
  Unconventional
Oil & Gas
ETF
  Uranium+Nuclear
Energy
ETF
                                                             
  $2,382,675       $654,506       $20,086,649       $2,605,121       $2,151,470       $419,445       $684,000   
                                                      
   807        230        7,236        4,520        1,627        1,421        488   
   37,518        880        589,816        2,272,611        41,637        2,699        11,600   
   (158,940)       (38,037)       (197,602)       (232,410)       (48,469)       (13,558)       (32,440)  
   2,262,060        617,579        20,486,099        4,649,842        2,146,265        410,007        663,648   
                                                             
   353,318        119,831        2,719,707        847,063        292,623        113,950        121,444   
   69,630        61,563        63,946        62,283        62,089        61,192        51,795   
   42,648        17,686        18,393        16,104        17,759        4,816        11,804   
   46,134        12,077        40,061        17,375        8,833        8,219        10,836   
   18,925        13,272        69,807        35,184        15,489        17,406        12,390   
   5,853        4,989        5,039        8,604        302        1,241        5,893   
   4,935        387        69,997        7,005        3,860        1,860        1,153   
   5,056        10,226        12,729        4,921        4,675        5,658        5,056   
   2,608        2,656        2,420        2,419        2,420        2,420        2,420   
   2,041        911        12,242        2,645        2,293        1,140        902   
   8,485        3,124        33,788        53,309        4,335        370        1,501   
   1,585        414        10,063        26,039        1,298        883        484   
   561,218        247,136        3,058,192        1,082,951        415,976        219,155        225,678   
   (206,461)       (102,490)       (305,084)       (60,775)       (89,706)       (95,707)       (78,447)  
   354,757        144,646        2,753,108        1,022,176        326,270        123,448        147,231   
   1,907,303        472,933        17,732,991        3,627,666        1,819,995        286,559        516,417   
                                                             
   (1,009,828)       (1,539,296)       (745,520,370)       (39,327,786)       (7,472,207)       (3,707,711)       (575,902)  
                                                      
   2,880,887        (2,568,840)       13,236,601        5,006,938        2,735,630        (2,687,476)       453,441   
                                                      
                                                             
   (9,369)       6,107                (123,387)               181        (663)  
   1,861,690        (4,102,029)       (732,283,769)       (34,444,235)       (4,736,577)       (6,395,006)       (123,124)  
                                                             
   8,602,328        6,240,639        792,379,286        20,065,075        9,706,290        8,706,635        (269,238)  
                                                      
                                                             
   2,361        89                (489)               392        (672)  
   8,604,689        6,240,728        792,379,286        20,064,586        9,706,290        8,707,027        (269,910)  
  $12,373,682       $2,611,632       $77,828,508       $(10,751,983)      $6,789,708       $2,598,580       $123,383   

 

See Notes to Financial Statements

51

VANECK VECTORS ETF TRUST

STATEMENTS OF CHANGES IN NET ASSETS

 

   Agribusiness ETF  Coal ETF
   Year Ended
December 31,
2019
  Year Ended
December 31,
2018
  Year Ended
December 31,
2019
  Year Ended
December 31,
2018
Operations:                            
Net investment income    $9,325,082     $11,247,175     $2,856,546     $3,658,960 
Net realized gain (loss)     44,797,316      26,425,991      (7,695,995)     5,152,067 
Net change in unrealized appreciation (depreciation)     90,494,954      (78,237,487)     (1,110,375)     (23,299,853)
Net increase (decrease) in net assets resulting from operations     144,617,352      (40,564,321)     (5,949,824)     (14,488,826)
                             
Distributions to shareholders:                            
Dividends and Distributions     (9,500,095)     (12,001,800)     (2,900,150)     (3,625,600)
                             
Share transactions:**                            
Proceeds from sale of shares     105,326,430      253,505,524      1,187,794      37,840,160 
Cost of shares redeemed     (280,400,157)     (297,801,280)     (20,290,433)     (65,842,648)
Increase (decrease) in net assets resulting from share transactions     (175,073,727)     (44,295,756)     (19,102,639)     (28,002,488)
Total increase (decrease) in net assets     (39,956,470)     (96,861,877)     (27,952,613)     (46,116,914)
Net Assets, beginning of year     756,716,112      853,577,989      55,083,640      101,200,554 
Net Assets, end of year    $716,759,642     $756,716,112     $27,131,027     $55,083,640 
                             
** Shares of Common Stock Issued (no par value)                            
Shares sold     1,600,000      4,100,000      100,000      2,200,000 
Shares redeemed     (4,400,000)     (4,700,000)     (1,700,000)     (4,150,000)
Net increase (decrease)     (2,800,000)     (600,000)     (1,600,000)     (1,950,000)

 

See Notes to Financial Statements

52

 

 

Gold Miners ETF  Junior Gold Miners ETF  Low Carbon Energy ETF
Year Ended
December 31,
2019
  Year Ended
December 31,
2018
  Year Ended
December 31,
2019
  Year Ended
December 31,
2018
  Year Ended
December 31,
2019
  Year Ended
December 31,
2018
                                        
  $81,818,784     $54,277,346     $10,138,692     $20,158,325     $70,269     $388,213 
   379,314,111      (601,102,816)     389,351,781      (27,214,893)     3,957,336      (6,719,605)
   3,098,738,866      (18,619,340)     1,159,349,428      (619,710,123)     24,995,612      (1,788,978)
   3,559,871,761      (565,444,810)     1,558,839,901      (626,766,691)     29,023,217      (8,120,370)
                                        
   (83,020,376)     (51,959,513)     (19,760,414)     (19,534,693)           (499,871)
                                        
   3,041,614,263      5,960,338,004      1,571,000,381      1,806,805,925      3,279,996      2,944,806 
   (4,095,425,966)     (2,341,832,008)     (2,164,254,798)     (1,521,604,784)     (6,568,905)     (2,699,948)
   (1,053,811,703)     3,618,505,996      (593,254,417)     285,201,141      (3,288,909)     244,858 
   2,423,039,682      3,001,101,673      945,825,070      (361,100,243)     25,734,308      (8,375,383)
   10,575,686,793      7,574,585,120      4,273,395,184      4,634,495,427      78,975,746      87,351,129 
  $12,998,726,475     $10,575,686,793     $5,219,220,254     $4,273,395,184     $104,710,054     $78,975,746 
                                        
   110,700,000      284,350,000      44,500,000      57,450,000      50,000      50,000 
   (169,500,000)     (108,250,000)     (63,300,000)     (51,000,000)     (100,000)     (50,000)
   (58,800,000)     176,100,000      (18,800,000)     6,450,000      (50,000)      

 

See Notes to Financial Statements

53

VANECK VECTORS ETF TRUST

STATEMENTS OF CHANGES IN NET ASSETS

(continued)

 

   Natural Resources ETF  Oil Refiners ETF
   Year Ended
December 31,
2019
  Year Ended
December 31,
2018
  Year Ended
December 31,
2019
  Year Ended
December 31,
2018
Operations:                            
Net investment income    $1,907,303     $2,177,109     $472,933     $1,074,205 
Net realized gain (loss)     1,861,690      2,307,544      (4,102,029)     2,132,774 
Net change in unrealized appreciation (depreciation)     8,604,689      (14,165,407)     6,240,728      (11,639,881)
Net increase (decrease) in net assets resulting from operations     12,373,682      (9,680,754)     2,611,632      (8,432,902)
                             
Distributions to shareholders:                            
Dividends and Distributions     (1,900,000)     (2,159,650)     (496,080)     (1,170,000)
                             
Share transactions:**                            
Proceeds from sale of shares     3,749,265      20,587,991      21,310,441      71,379,067 
Cost of shares redeemed     (21,011,129)     (35,327,984)     (37,120,710)     (23,907,520)
Increase (decrease) in net assets resulting from share transactions     (17,261,864)     (14,739,993)     (15,810,269)     47,471,547 
Total increase (decrease) in net assets     (6,788,182)     (26,580,397)     (13,694,717)     37,868,645 
Net Assets, beginning of year     77,282,131      103,862,528      48,509,216      10,640,571 
Net Assets, end of year    $70,493,949     $77,282,131     $34,814,499     $48,509,216 
                             
** Shares of Common Stock Issued (no par value)                            
Shares sold     100,000      550,000      700,000      2,200,000 
Shares redeemed     (600,000)     (950,000)     (1,300,000)     (750,000)
Net increase (decrease)     (500,000)     (400,000)     (600,000)     1,450,000 

 

See Notes to Financial Statements

54

 

 

Oil Services ETF  Rare Earth/Strategic Metals ETF  Steel ETF
Year Ended
December 31,
2019
 Year Ended
December 31,
2018
 Year Ended
December 31,
2019
 Year Ended
December 31,
2018
 Year Ended
December 31,
2019
 Year Ended
December 31,
2018
                                        
  $17,732,991     $20,914,787     $3,627,666     $4,738,473     $1,819,995     $3,613,616 
   (732,283,769)     (21,009,960)     (34,444,235)     (29,449,479)     (4,736,577)     13,351,999 
   792,379,286      (653,349,446)     20,064,586      (83,243,311)     9,706,290      (35,609,871)
   77,828,508      (653,444,619)     (10,751,983)     (107,954,317)     6,789,708      (18,644,256)
                                        
   (17,651,031)     (21,321,948)     (3,000,424)     (11,500,061)     (1,830,265)     (3,600,300)
                                        
   1,831,589,993      3,576,434,472      179,145,791      92,876,673      22,421,304      69,668,571 
   (2,163,278,689)     (3,508,098,084)     (64,994,094)     (63,091,508)     (18,873,013)     (140,826,609)
   (331,688,696)     68,336,388      114,151,697      29,785,165      3,548,291      (71,158,038)
   (271,511,219)     (606,430,179)     100,399,290      (89,669,213)     8,507,734      (93,402,594)
   1,044,834,782      1,651,264,961      92,537,545      182,206,758      57,534,033      150,936,627 
  $773,323,563     $1,044,834,782     $192,936,835     $92,537,545     $66,041,767     $57,534,033 
                                        
   131,400,000      156,300,000      12,100,000      3,300,000      600,000      1,450,000 
   (147,600,000)     (145,300,000)     (4,600,000)     (2,600,000)     (500,000)     (3,100,000)
   (16,200,000)     11,000,000      7,500,000      700,000      100,000      (1,650,000)

 

See Notes to Financial Statements

55

VANECK VECTORS ETF TRUST

STATEMENTS OF CHANGES IN NET ASSETS

(continued)

 

   Unconventional Oil & Gas ETF  Uranium+Nuclear Energy ETF
   Year Ended
December 31,
2019
 Year Ended
December 31,
2018
 Year Ended
December 31,
2019
 Year Ended
December 31,
2018
Operations:                            
Net investment income    $286,559     $508,185     $516,417     $716,050 
Net realized gain (loss)     (6,395,006)     (10,939,902)     (123,124)     502,306 
Net change in unrealized appreciation (depreciation)     8,707,027      (12,940,297)     (269,910)     234,878 
Net increase (decrease) in net assets resulting from operations     2,598,580      (23,372,014)     123,383      1,453,234 
                             
Distributions to shareholders:                            
Dividends and Distributions     (350,000)     (426,800)     (550,019)     (1,000,199)
                             
Share transactions:**                            
Proceeds from sale of shares     1,675,305      19,198,826             
Cost of shares redeemed     (14,385,844)     (34,540,419)     (2,503,957)     (2,606,938)
Decrease in net assets resulting from share transactions     (12,710,539)     (15,341,593)     (2,503,957)     (2,606,938)
Total decrease in net assets     (10,461,959)     (39,140,407)     (2,930,593)     (2,153,903)
Net Assets, beginning of year     30,062,615      69,203,022      25,660,998      27,814,901 
Net Assets, end of year    $19,600,656     $30,062,615     $22,730,405     $25,660,998 
                             
** Shares of Common Stock Issued (no par value)                            
Shares sold     150,000      1,200,000             
Shares redeemed     (1,150,000)     (2,850,000)     (50,000)     (50,000)
Net decrease     (1,000,000)     (1,650,000)     (50,000)     (50,000)

 

See Notes to Financial Statements

56

VANECK VECTORS ETF TRUST

FINANCIAL HIGHLIGHTS

For a share outstanding throughout each year:

 

     Agribusiness ETF 
     For the Year Ended December 31, 
     2019     2018     2017     2016     2015 
Net asset value, beginning of year  $57.11   $61.63   $51.38   $46.55   $52.59 
Income from investment operations:                         
Net investment income   0.83(a)   0.83(a)   0.83(a)   1.07    1.37 
Net realized and unrealized gain (loss) on investments   11.56    (4.39)   10.30    4.86    (6.07)
Total from investment operations   12.39    (3.56)   11.13    5.93    (4.70)
Less:                         
Dividends from net investment income   (0.91)   (0.96)   (0.88)   (1.10)   (1.34)
Net asset value, end of year  $68.59   $57.11   $61.63   $51.38   $46.55 
Total return (b)   21.70%   (5.76)%   21.68%   12.74%   (8.96)%
Ratios/Supplemental Data                                                  
Net assets, end of year (000’s)$716,760 $756,716 $853,578 $804,156 $835,551 
Ratio of gross expenses to average net assets   0.56%   0.54%   0.54%   0.53%   0.55%
Ratio of net expenses to average net assets   0.56%   0.54%   0.54%   0.53%   0.55%
Ratio of net expenses to average net assets excluding interest expense   0.56%   0.54%   0.53%   0.53%   0.54%
Ratio of net investment income to average net assets   1.29%   1.32%   1.48%   2.04%   2.00%
Portfolio turnover rate (c)   21%   16%   22%   15%   20%
     
     Coal ETF 
     For the Year Ended December 31, 
     2019   2018     2017     2016     2015 
Net asset value, beginning of year  $12.66   $16.06   $12.37   $6.28   $14.64 
Income from investment operations:                         
Net investment income   0.78(a)   0.67(a)   0.53(a)   0.14    0.29 
Net realized and unrealized gain (loss) on investments   (2.52)   (3.25)   3.73    6.08    (8.36)
Total from investment operations   (1.74)   (2.58)   4.26    6.22    (8.07)
Less:                         
Dividends from net investment income   (1.05)   (0.82)   (0.57)   (0.13)   (0.29)
Net asset value, end of year  $9.87   $12.66   $16.06   $12.37   $6.28 
Total return (b)   (13.77)%   (15.97)%   34.42%   99.10%   (55.14)%
Ratios/Supplemental Data                         
Net assets, end of year (000’s)  $27,131   $55,084   $101,201   $101,395   $39,248 
Ratio of gross expenses to average net assets   0.78%   0.64%   0.64%   0.62%   0.66%
Ratio of net expenses to average net assets   0.60%   0.60%   0.60%   0.59%   0.59%
Ratio of net expenses to average net assets excluding interest expense   0.59%   0.59%   0.59%(d)    0.59%   0.59%
Ratio of net investment income to average net assets   6.26%   4.19%   3.80%(d)    1.66%   2.31%
Portfolio turnover rate (c)   24%   24%   39%   40%   36%

 

 

(a) Calculated based upon average shares outstanding
(b) Total return is calculated assuming an initial investment made at the net asset value at the beginning of year, reinvestment of any dividends and distributions at net asset value on the dividend/distributions payment date and a redemption at the net asset value on the last day of the year. The return does not reflect the deduction of taxes that a shareholder would pay on Fund dividends/distributions or the redemption of Fund shares.
(c) Portfolio turnover rates exclude securities received or delivered as a result of processing in-kind capital share transactions.
(d) Includes expense offset arrangements of 0.01%.

 

See Notes to Financial Statements

57

VANECK VECTORS ETF TRUST

FINANCIAL HIGHLIGHTS

For a share outstanding throughout each year:

 

     Gold Miners ETF 
     For the Year Ended December 31, 
     2019     2018     2017     2016     2015 
Net asset value, beginning of year  $21.07   $23.25   $20.92   $13.72   $18.43 
Income from investment operations:                         
Net investment income   0.19(a)   0.14(a)   0.10(a)   0.03    0.12 
Net realized and unrealized gain (loss) on investments   8.27    (2.21)   2.41    7.23    (4.71)
Total from investment operations   8.46    (2.07)   2.51    7.26    (4.59)
Less:                         
Dividends from net investment income   (0.19)   (0.11)   (0.18)   (0.06)   (0.12)
Net asset value, end of year  $29.34   $21.07   $23.25   $20.92   $13.72 
Total return (b)   40.15%   (8.92)%   11.99%   52.91%   (24.93)%
Ratios/Supplemental Data                                                           
Net assets, end of year (000’s)  $12,998,726   $10,575,687   $7,574,585   $9,685,012   $4,316,718 
Ratio of gross expenses to average net assets   0.52%   0.52%   0.53%   0.51%   0.52%
Ratio of net expenses to average net assets   0.52%   0.52%   0.53%   0.51%   0.52%
Ratio of net expenses to average net assets excluding interest expense   0.52%   0.52%   0.53%   0.51%   0.52%
Ratio of net investment income to average net assets   0.76%   0.66%   0.42%   0.21%   0.66%
Portfolio turnover rate (c)   14%   15%   12%   26%   24%
      
     Junior Gold Miners ETF 
     For the Year Ended December 31, 
     2019     2018     2017     2016     2015 
Net asset value, beginning of year  $30.11   $34.21   $31.72   $19.22   $24.04 
Income from investment operations:                         
Net investment income   0.08(a)   0.14(a)   0.05(a)   0.14    0.15 
Net realized and unrealized gain (loss) on investments   12.36    (4.10)   2.45    13.87    (4.83)
Total from investment operations   12.44    (3.96)   2.50    14.01    (4.68)
Less:                         
Dividends from net investment income   (0.16)   (0.14)   (0.01)   (1.51)   (0.14)
Net asset value, end of year  $42.39   $30.11   $34.21   $31.72   $19.22 
Total return (b)   41.31%   (11.58)%   7.89%   73.75%   (19.48)%
Ratios/Supplemental Data                         
Net assets, end of year (000’s)  $5,219,220   $4,273,395   $4,634,495   $3,454,333   $1,300,681 
Ratio of gross expenses to average net assets   0.53%   0.53%   0.55%(d)   0.52%(d)   0.56%
Ratio of net expenses to average net assets   0.53%   0.53%   0.54%(d)   0.52%(d)   0.56%
Ratio of net expenses to average net assets excluding interest expense and taxes   0.53%   0.53%   0.53%(d)   0.52%(d)   0.55%
Ratio of net investment income (loss) to average net assets   0.24%   0.45%   0.16%(d)   0.14%(d)   0.66%
Portfolio turnover rate (c)   19%   28%   67%   58%   47%

 

 
(a) Calculated based upon average shares outstanding
(b) Total return is calculated assuming an initial investment made at the net asset value at the beginning of year, reinvestment of any dividends and distributions at net asset value on the dividend/distributions payment date and a redemption at the net asset value on the last day of the year. The return does not reflect the deduction of taxes that a shareholder would pay on Fund dividends/distributions or the redemption of Fund shares.
(c) Portfolio turnover rates exclude securities received or delivered as a result of processing in-kind capital share transactions.
(d) The ratios presented do not reflect the Fund’s proportionate share of income and expenses form the Fund’s investment in underlying funds.

 

See Notes to Financial Statements

58

 

FINANCIAL HIGHLIGHTS

For a share outstanding throughout each year:

 

     Low Carbon Energy ETF 
     For the Year Ended December 31, 
     2019     2018     2017     2016     2015 
Net asset value, beginning of year  $55.10   $60.94   $50.62   $54.57   $54.09 
Income from investment operations:                         
Net investment income   0.05(a)   0.26(a)   1.12(a)   1.38    0.46 
Net realized and unrealized gain (loss) on investments   20.55    (5.76)   9.97    (4.26)   0.33 
Total from investment operations   20.60    (5.50)   11.09    (2.88)   0.79 
Less:                         
Dividends from net investment income       (0.34)   (0.77)   (1.07)   (0.31)
Net asset value, end of year  $75.70   $55.10   $60.94   $50.62   $54.57 
Total return (b)   37.38%   (9.02)%   21.90%   (5.26)%   1.45%
Ratios/Supplemental Data                                                       
Net assets, end of year (000’s)  $104,710   $78,976   $87,351   $64,958   $91,857 
Ratio of gross expenses to average net assets   0.65%   0.65%   0.67%   0.64%   0.62%
Ratio of net expenses to average net assets   0.62%   0.63%   0.63%   0.62%   0.62%
Ratio of net expenses to average net assets excluding interest expense   0.62%   0.62%   0.62%   0.62%   0.62%
Ratio of net investment income to average net assets   0.08%   0.44%   1.94%   2.04%   0.88%
Portfolio turnover rate (c)   40%   31%   21%   32%   27%
                          
     Natural Resources ETF 
     For the Year Ended December 31, 
     2019     2018     2017     2016     2015 
Net asset value, beginning of year  $32.20   $37.09   $32.31   $26.38   $33.73 
Income from investment operations:                         
Net investment income   0.96(a)   0.81(a)   0.72(a)   0.66    0.81 
Net realized and unrealized gain (loss) on investments   4.94    (4.78)   4.81    5.91    (7.37)
Total from investment operations   5.90    (3.97)   5.53    6.57    (6.56)
Less:                         
Dividends from net investment income   (1.00)   (0.92)   (0.75)   (0.64)   (0.79)
Net asset value, end of year  $37.10   $32.20   $37.09   $32.31   $26.38 
Total return (b)   18.34%   (10.69)%   17.14%   24.93%   (19.48)%
Ratios/Supplemental Data                         
Net assets, end of year (000’s)  $70,494   $77,282   $103,863   $95,323   $76,511 
Ratio of gross expenses to average net assets   0.79%   0.72%   0.80%   0.77%   0.75%
Ratio of net expenses to average net assets   0.50%   0.50%   0.50%   0.50%   0.50%
Ratio of net expenses to average net assets excluding interest expense   0.49%   0.49%   0.49%   0.49%   0.49%
Ratio of net investment income to average net assets   2.70%   2.21%   2.09%   2.18%   2.66%
Portfolio turnover rate (c)   24%   23%   34%   37%   9%

 

 

(a) Calculated based upon average shares outstanding
(b) Total return is calculated assuming an initial investment made at the net asset value at the beginning of year, reinvestment of any dividends and distributions at net asset value on the dividend/distributions payment date and a redemption at the net asset value on the last day of the year. The return does not reflect the deduction of taxes that a shareholder would pay on Fund dividends/distributions or the redemption of Fund shares.
(c) Portfolio turnover rates exclude securities received or delivered as a result of processing in-kind capital share transactions.

 

See Notes to Financial Statements

59

VANECK VECTORS ETF TRUST

FINANCIAL HIGHLIGHTS

For a share outstanding throughout each period:

 

    Oil Refiners ETF
                         For the Period
                         August 18, 2015(a)
                         through
    For the Year Ended December 31,     December 31,
    2019    2018    2017    2016      2015 
Net asset value, beginning of period  $26.95   $30.40   $20.86   $19.69     $19.75 
Income from investment operations:                           
Net investment income   0.56(b)   0.74(b)   0.61(b)   0.73      0.07 
Net realized and unrealized gain (loss) on investments   1.91    (3.54)   9.38    1.15      (0.04)
Total from investment operations   2.47    (2.80)   9.99    1.88      0.03 
Less:                           
Dividends from net investment income   (0.41)   (0.52)   (0.37)   (0.71)     (0.07)
Distributions from net realized capital gains       (0.13)   (0.08)          
Return of capital                     (0.02)
Total dividends and distributions   (0.41)   (0.65)   (0.45)   (0.71)     (0.09)
Net asset value, end of period  $29.01   $26.95   $30.40   $20.86   $19.69 
Total return (c)   9.19%   (9.22)%   47.91%   9.55%     0.16%(d)
Ratios/Supplemental Data                                                                     
Net assets, end of period (000’s)  $34,814   $48,509   $10,641   $3,129   $3,938 
Ratio of gross expenses to average net assets   1.03%   0.72%   2.71%   3.42%     4.98%(e)
Ratio of net expenses to average net assets   0.60%   0.60%   0.59%   0.59%     0.59%(e)
Ratio of net expenses to average net assets excluding interest expense   0.59%   0.59%   0.59%   0.59%     0.59%(e)
Ratio of net investment income to average net assets   1.97%   2.32%   2.43%   2.85%     1.19%(e)
Portfolio turnover rate (f)   30%   31%   24%   15%     12%(d)
                            
    Oil Services ETF 
    For the Year Ended December 31, 
    2019    2018    2017    2016      2015 
Net asset value, beginning of year  $14.03   $26.02   $33.36   $26.44   $35.89 
Income from investment operations:                           
Net investment income   0.33(b)   0.35(b)   0.90(b)   0.46      0.63 
Net realized and unrealized gain (loss) on investments   (0.80)(g)   (12.04)   (7.56)   6.93      (9.45)
Total from investment operations   (0.47)   (11.69)   (6.66)   7.39      (8.82)
Less:                           
Dividends from net investment income   (0.29)   (0.30)   (0.68)   (0.47)     (0.63)
Net asset value, end of year  $13.27   $14.03   $26.02   $33.36   $26.44 
Total return (c)   (3.35)%   (44.93)%   (19.95)%   27.92%     (24.58)%
Ratios/Supplemental Data                           
Net assets, end of year (000’s)  $773,324   $1,044,835   $1,651,265   $1,218,137   $1,118,901 
Ratio of gross expenses to average net assets   0.39%   0.38%   0.39%   0.40%     0.39%
Ratio of net expenses to average net assets   0.35%   0.35%   0.35%   0.35%     0.35%
Ratio of net expenses to average net assets excluding interest expense   0.35%   0.35%   0.35%   0.35%     0.35%
Ratio of net investment income to average net assets   2.28%   1.44%   3.36%   1.70%     2.30%
Portfolio turnover rate (f)   29%   22%   34%   24%     18%

 

 

(a) Commencement of operations
(b) Calculated based upon average shares outstanding
(c) Total return is calculated assuming an initial investment made at the net asset value at the beginning of period, reinvestment of any dividends and distributions at net asset value on the dividend/distributions payment date and a redemption at the net asset value on the last day of the period. The return does not reflect the deduction of taxes that a shareholder would pay on Fund dividends/distributions or the redemption of Fund shares.
(d) Not Annualized
(e) Annualized
(f) Portfolio turnover rates exclude securities received or delivered as a result of processing in-kind capital share transactions.
(g) The amount shown for a share outstanding does not correspond with the aggregate net gain (loss) on investments for the period due to the timing of sales and repurchases of shares in relation to fluctuating market values of the investments of the Fund.

 

See Notes to Financial Statements

60

 

FINANCIAL HIGHLIGHTS

For a share outstanding throughout each year:

 

    Rare Earth/Strategic Metals ETF 
    For the Year Ended December 31, 
    2019    2018    2017    2016    2015 
Net asset value, beginning of year  $13.56   $29.75   $16.90   $13.68   $25.49 
Income from investment operations:                         
Net investment income   0.30(a)   0.66(a)   0.44(a)   0.12    0.51 
Net realized and unrealized gain (loss) on investments   (0.18)(d)   (15.16)   13.28    3.48    (11.68)
Total from investment operations   0.12    (14.50)   13.72    3.60    (11.17)
Less:                         
Dividends from net investment income   (0.21)   (1.69)   (0.87)   (0.38)   (0.64)
Net asset value, end of year  $13.47   $13.56   $29.75   $16.90   $13.68 
Total return (b)   0.91%   (48.70)%   81.43%   26.35%   (43.76)%
Ratios/Supplemental Data                                                       
Net assets, end of year (000’s)  $192,937   $92,538   $182,207   $42,663   $28,381 
Ratio of gross expenses to average net assets   0.64%   0.63%   0.73%   0.86%   0.82%
Ratio of net expenses to average net assets   0.60%   0.59%   0.61%   0.61%   0.57%
Ratio of net expenses to average net assets excluding interest expense   0.57%   0.57%   0.57%   0.57%   0.57%
Ratio of net investment income to average net assets   2.14%   2.73%   1.99%   1.43%   2.01%
Portfolio turnover rate (c)   64%   68%   57%   104%   49%
                          
    Steel ETF 
    For the Year Ended December 31, 
    2019    2018    2017    2016    2015 
Net asset value, beginning of year  $34.87   $45.74   $37.82   $19.52   $35.45 
Income from investment operations:                         
Net investment income   1.16(a)   1.30(a)   0.92(a)   0.42    1.03 
Net realized and unrealized gain (loss) on investments   2.75    (9.99)   8.12    18.28    (15.92)
Total from investment operations   3.91    (8.69)   9.04    18.70    (14.89)
Less:                         
Dividends from net investment income   (1.04)   (2.18)   (1.12)   (0.40)   (1.02)
Return of capital                   (0.02)
Total dividends   (1.04)   (2.18)   (1.12)   (0.40)   (1.04)
Net asset value, end of year  $37.74   $34.87   $45.74   $37.82   $19.52 
Total return (b)   11.02%   (18.94)%   23.86%   95.77%   (42.03)%
Ratios/Supplemental Data                         
Net assets, end of year (000’s)  $66,042   $57,534   $150,937   $185,324   $44,904 
Ratio of gross expenses to average net assets   0.71%   0.61%   0.62%   0.60%   0.69%
Ratio of net expenses to average net assets   0.56%   0.56%   0.56%   0.55%   0.55%
Ratio of net expenses to average net assets excluding interest expense   0.55%   0.55%   0.55%   0.55%   0.55%
Ratio of net investment income to average net assets   3.11%   2.80%   2.25%   1.88%   3.76%
Portfolio turnover rate (c)   19%   16%   31%   20%   15%

 

 

(a) Calculated based upon average shares outstanding
(b) Total return is calculated assuming an initial investment made at the net asset value at the beginning of year, reinvestment of any dividends and distributions at net asset value on the dividend/distributions payment date and a redemption at the net asset value on the last day of the year. The return does not reflect the deduction of taxes that a shareholder would pay on Fund dividends/distributions or the redemption of Fund shares.
(c) Portfolio turnover rates exclude securities received or delivered as a result of processing in-kind capital share transactions.
(d) The amount shown for a share outstanding does not correspond with the aggregate net gain (loss) on investments for the period due to the timing of sales and repurchaes of shares in relation to fluctuating market values of the investments of the Fund.

 

See Notes to Financial Statements

61

VANECK VECTORS ETF TRUST

FINANCIAL HIGHLIGHTS

For a share outstanding throughout each year:

 

    Unconventional Oil & Gas ETF 
    For the Year Ended December 31, 
    2019    2018    2017    2016    2015 
Net asset value, beginning of year  $10.93   $15.73   $18.25   $13.24   $22.12 
Income from investment operations:                         
Net investment income   0.15(a)   0.10(a)   0.09(a)   0.09    0.32 
Net realized and unrealized gain (loss) on investments   0.32    (4.81)   (2.50)   4.98    (8.86)
Total from investment operations   0.47    (4.71)   (2.41)   5.07    (8.54)
Less:                         
Dividends from net investment income   (0.20)   (0.09)   (0.11)   (0.06)   (0.34)
Net asset value, end of year  $11.20   $10.93   $15.73   $18.25   $13.24 
Total return (b)   4.32%   (29.96)%   (13.20)%   38.31%   (38.60)%
Ratios/Supplemental Data                                                       
Net assets, end of year (000’s)  $19,601   $30,063   $69,203   $59,324   $38,398 
Ratio of gross expenses to average net assets   0.96%   0.61%   0.70%   0.71%   0.72%
Ratio of net expenses to average net assets   0.54%   0.54%   0.54%   0.54%   0.54%
Ratio of net expenses to average net assets excluding interest expense   0.54%   0.54%   0.54%   0.54%   0.54%
Ratio of net investment income to average net assets   1.26%   0.65%   0.56%   0.63%   1.62%
Portfolio turnover rate (c)   30%   17%   17%   23%   22%
                          
    Uranium+Nuclear Energy ETF 
    For the Year Ended December 31, 
    2019    2018    2017    2016    2015 
Net asset value, beginning of year  $49.67   $49.09   $47.55   $45.25   $51.50 
Income from investment operations:                         
Net investment income   1.07(a)   1.30(a)   1.35(a)   2.08    1.87 
Net realized and unrealized gain (loss) on investments   (0.85)   1.22    2.57    1.94    (6.63)
Total from investment operations   0.22    2.52    3.92    4.02    (4.76)
Less:                         
Dividends from net investment income   (1.18)   (1.94)   (2.38)   (1.72)   (1.49)
Net asset value, end of year  $48.71   $49.67   $49.09   $47.55   $45.25 
Total return (b)   0.44%   5.15%   8.27%   8.87%   (9.26)%
Ratios/Supplemental Data                         
Net assets, end of year (000’s)  $22,730   $25,661   $27,815   $34,076   $39,211 
Ratio of gross expenses to average net assets   0.93%   0.85%   0.89%   0.79%   0.70%
Ratio of net expenses to average net assets   0.61%   0.60%   0.61%   0.61%   0.61%
Ratio of net expenses to average net assets excluding interest expense   0.60%   0.60%   0.60%   0.60%   0.60%
Ratio of net investment income to average net assets   2.13%   2.58%   2.67%   3.37%   2.34%
Portfolio turnover rate (c)   15%   32%   19%   36%   27%

 

 

(a) Calculated based upon average shares outstanding
(b) Total return is calculated assuming an initial investment made at the net asset value at the beginning of year, reinvestment of any dividends and distributions at net asset value on the dividend/distributions payment date and a redemption at the net asset value on the last day of the year. The return does not reflect the deduction of taxes that a shareholder would pay on Fund dividends/distributions or the redemption of Fund shares.
(c) Portfolio turnover rates exclude securities received or delivered as a result of processing in-kind capital share transactions.

 

See Notes to Financial Statements

62

VANECK VECTORS ETF TRUST

NOTES TO FINANCIAL STATEMENTS

December 31, 2019

 

Note 1—Fund Organization—VanEck Vectors ETF Trust (the “Trust”) is registered under the Investment Company Act of 1940, as amended, as an open-end management investment company. The Trust was incorporated in Delaware as a statutory trust on March 15, 2001. The Trust operates as a series fund, and offers multiple investment portfolios, each of which represents a separate series of the Trust. These financial statements relate only to the investment portfolios listed in the diversification table below (each a “Fund” and, collectively, the “Funds”).

 

Each Fund was created to provide investors with the opportunity to purchase a security representing a proportionate undivided interest in a portfolio of securities consisting of substantially all of the common stocks in substantially the same weighting as their index.

 

Fund   Diversification Classification  
Agribusiness ETF   Non-Diversified  
Coal ETF   Non-Diversified  
Gold Miners ETF   Non-Diversified  
Junior Gold Miners ETF   Non-Diversified  
Low Carbon Energy ETF*   Non-Diversified  
Natural Resources ETF   Diversified  
Oil Refiners ETF   Non-Diversified  
Oil Services ETF   Non-Diversified  
Rare Earth/Strategic Metals ETF   Non-Diversified  
Steel ETF   Non-Diversified  
Unconventional Oil & Gas ETF   Non-Diversified  
Uranium+Nuclear Energy ETF   Non-Diversified  

 

* Formerly known as Global Alternative Energy ETF

 

Note 2—Significant Accounting Policies—The preparation of financial statements in conformity with U.S. generally accepted accounting principles (“GAAP”) requires management to make estimates and assumptions that affect the reported amounts and disclosures in the financial statements. Actual results could differ from those estimates.

 

The Funds are investment companies and follow accounting and reporting requirements of Accounting Standards Codification (“ASC”) 946 Financial Services-Investment Companies.

 

The following summarizes the Funds’ significant accounting policies.

 

A. Security Valuation—The Funds value their investments in securities and other assets and liabilities at fair value daily. Fair value is the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants on the measurement date. Securities traded on the NASDAQ Stock Market LLC (“NASDAQ”) are valued at the NASDAQ official closing price. Securities traded on national exchanges are valued at the closing price on the markets in which the securities trade. Over-the-counter securities not included in the NASDAQ and listed securities for which no sale was reported are valued at the mean of the bid and ask prices. To the extent these securities are actively traded they are categorized as Level 1 in the fair value hierarchy (described below). Certain foreign securities, whose values may be affected by market direction or events occurring before the Funds’ pricing time (4:00 p.m. Eastern Standard Time) but after the last close of the securities’ primary market, are fair valued using a pricing service and are categorized as Level 2 in the fair value hierarchy. The pricing service, using methods approved by the Board of Trustees, considers the correlation of the trading patterns of the foreign security to intraday trading in the U.S. markets, based on indices of domestic securities and other appropriate indicators such as prices of relevant ADR’s and futures contracts. The Funds may also fair value securities in other situations, such as, when a particular foreign market is closed but the Fund is open. Short-term debt securities with sixty days or less to maturity are valued at amortized cost, which with accrued interest approximates fair value. Money market fund investments are valued at net asset value and are categorized as Level 1 in the fair value hierarchy. The Pricing Committee of Van Eck Associates Corporation (the “Adviser”) provides oversight of the Funds’ valuation policies and procedures, which are approved by the Funds’ Board of Trustees. Among other things, these procedures allow the Funds to utilize independent pricing services, quotations from securities dealers, and other market sources to determine fair value. The Pricing Committee convenes regularly to review the fair value of financial instruments or other assets. If market quotations for a security or other asset are not readily available, or if the Adviser believes they do not otherwise reflect the fair value of a security or asset, the
63

VANECK VECTORS ETF TRUST

NOTES TO FINANCIAL STATEMENTS

(continued)

 

  security or asset will be fair valued by the Pricing Committee in accordance with the Funds’ valuation policies and procedures. The Pricing Committee employs various methods for calibrating the valuation approaches utilized to determine fair value, including a regular review of key inputs and assumptions, periodic comparisons to valuations provided by other independent pricing services, transactional back-testing and disposition analysis.
   
  Certain factors such as economic conditions, political events, market trends, the nature of and duration of any restrictions on disposition, trading in similar securities of the issuer or comparable issuers and other security specific information are used to determine the fair value of these securities. Depending on the relative significance of valuation inputs, these securities may be classified either as Level 2 or Level 3 in the fair value hierarchy. The price which the Funds may realize upon sale of an investment may differ materially from the value presented in the Schedules of Investments.
   
  The Funds utilize various methods to measure the fair value of their investments on a recurring basis, which includes a hierarchy that prioritizes inputs to valuation methods used to measure fair value. The fair value hierarchy gives highest priority to unadjusted quoted prices in active markets for identical assets and liabilities (Level 1 measurements) and the lowest priority to unobservable inputs (Level 3 measurements). The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities. The three levels of the fair value hierarchy are described below:
   
  Level 1 — Quoted prices in active markets for identical securities.
   
  Level 2 — Significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.).
   
  Level 3 — Significant unobservable inputs (including each Fund’s own assumptions in determining the fair value of investments).
   
  A summary of the inputs and the levels used to value the Funds’ investments, are located in the Schedules of Investments. Additionally, tables that reconcile the valuation of the Funds’ Level 3 investments and that present additional information about valuation methodologies and unobservable inputs, if applicable, are located in the Schedules of Investments.
   
B. Federal Income Taxes—It is each Fund’s policy to comply with the provisions of the Internal Revenue Code applicable to regulated investment companies and to distribute all of its taxable income to its shareholders. Therefore, no federal income tax provision is required.
   
C. Dividends and Distributions to Shareholders—Dividends to shareholders from net investment income and distributions from net realized capital gains, if any, are declared and paid annually by each Fund. Income dividends and capital gain distributions are determined in accordance with U.S. income tax regulations, which may differ from such amounts determined in accordance with GAAP.
   
D. Currency Translation—Assets and liabilities denominated in foreign currencies and commitments under foreign currency contracts are translated into U.S. dollars at the closing prices of such currencies each business day as quoted by one or more sources. Purchases and sales of investments are translated at the exchange rates prevailing when such investments are acquired or sold. Foreign denominated income and expenses are translated at the exchange rates prevailing when accrued. The portion of realized and unrealized gains and losses on investments that result from fluctuations in foreign currency exchange rates is not separately disclosed in the financial statements. Such amounts are included with the net realized and unrealized gains and losses on investment securities in the Statement of Operations. Recognized gains or losses attributable to foreign currency fluctuations on foreign currency denominated assets, other than investments, and liabilities are recorded as net realized gain (loss) on foreign currency transactions and foreign denominated assets and liabilities in the Statements of Operations.
   
E. Restricted Securities—The Funds may invest in securities that are subject to legal or contractual restrictions on resale. These securities generally may be resold in transactions exempt from registration or to the public if the securities are registered. Disposal of these securities may involve time-consuming negotiations and expense, and prompt sale at an acceptable price may be difficult. Information regarding restricted securities, if any, is included at the end of each Fund’s Schedule of Investments.
64

 

 

F. Offsetting Assets and Liabilities—In the ordinary course of business, the Funds enter into transactions subject to enforceable master netting or other similar agreements. Generally, the right of offset in those agreements allows the Funds to offset any exposure to a specific counterparty with any collateral received or delivered to that counterparty based on the terms of the agreements. The Funds may pledge or receive cash and or securities as collateral for derivative instruments and securities lending. For financial reporting purposes, the Funds present securities lending assets and liabilities on a gross basis in the Statements of Assets and Liabilities. Cash collateral held in the form of money market investments, if any, at December 31, 2019 is presented in the Schedules of Investments and in the Statement of Assets and Liabilities. Non-cash collateral is disclosed in Note 9 (Securities Lending).
   
G. Other—Security transactions are accounted for on trade date. Realized gains and losses are determined based on the specific identification method. Dividend income is recorded on the ex-dividend date except that certain dividends from foreign securities are recognized upon notification of the ex-dividend date. Interest income, including amortization of premiums and discounts, is accrued as earned.
   
  In the normal course of business, the Funds enter into contracts that contain a variety of general indemnifications. The Funds’ maximum exposure under these agreements is unknown as this would involve future claims that may be made against the Funds that have not yet occurred. However, the Adviser believes the risk of loss under these arrangements to be remote.

 

Note 3—Investment Management and Other Agreements—The Adviser is the investment adviser to the Funds. The Adviser receives a management fee, calculated daily and payable monthly based on an annual rate of 0.50% of each Fund’s average daily net assets (except for Oil Services ETF). The management fee rate for Oil Services ETF is 0.35%. The Adviser has agreed, until at least May 1, 2020 to waive management fees and assume expenses to prevent each Fund’s total annual operating expenses (excluding acquired fund fees and expenses, interest expense, trading expenses, taxes and extraordinary expenses) from exceeding expense limitations listed in the table below.

 

The current expense limitations for the year ended December 31, 2019, are as follows:

 

Fund  Expense
Limitations
Agribusiness ETF   0.56%
Coal ETF   0.59 
Gold Miners ETF   0.53 
Junior Gold Miners ETF   0.56 
Low Carbon Energy ETF   0.62 
Natural Resources ETF   0.49 
Oil Refiners ETF   0.59 
Oil Services ETF   0.35 
Rare Earth/Strategic Metals ETF   0.57 
Steel ETF   0.55 
Unconventional Oil & Gas ETF   0.54 
Uranium+Nuclear Energy ETF   0.60 

 

Refer to Statement of Operations for the amounts waived/assumed by the Adviser.

 

In addition, Van Eck Securities Corporation, an affiliate of the Adviser, acts as the Funds’ distributor (the “Distributor”). Certain officers and a Trustee of the Trust are officers, directors or stockholders of the Adviser and Distributor.

 

At December 31, 2019, the Adviser owned 2,500 shares of Gold Miners ETF.

 

Effective November 4, 2019, State Street Bank and Trust Company is the Funds’ custodian, securities lending agent and transfer agent. Prior to November 4, 2019, Bank of New York Mellon provided these services to the Funds.

 

For the year ended December 31, 2019, there were offsets to custodian fees under an expense offset agreement and these amounts are reflected in custody expense in the Statements of Operations.

 

Note 4—Capital Share Transactions—As of December 31, 2019, there were an unlimited number of capital shares of beneficial interest authorized by the Trust with no par value. Fund shares are not individually redeemable and are

65

VANECK VECTORS ETF TRUST

NOTES TO FINANCIAL STATEMENTS

(continued)

 

issued and redeemed at their net asset value per share only through certain authorized broker-dealers (“Authorized Participants”) in blocks of shares (“Creation Units”), consisting of 50,000 shares, or multiples thereof.

 

The consideration for the purchase or redemption of Creation Units of the Funds generally consists of the in-kind contribution or distribution of securities constituting the Funds’ underlying index (“Deposit Securities”) plus a balancing cash component to equate the transaction to the net asset value per share of the Fund on the transaction date. Cash may also be substituted in an amount equivalent to the value of certain Deposit Securities, generally as a result of market circumstances, or when the securities are not available in sufficient quantity for delivery, or are not eligible for trading by the Authorized Participant. The Funds may issue Creation Units in advance of receipt of Deposit Securities subject to various conditions, including, for the benefit of the Funds, a requirement to maintain cash collateral on deposit at the custodian equal to at least 115% of the daily marked to market value of the missing Deposit Securities.

 

Authorized Participants purchasing and redeeming Creation Units may pay transaction fees directly to transfer agent. In addition, the Funds may impose certain variable fees for creations and redemptions with respect to transactions in Creation Units for cash, or on transactions effected outside the clearing process, which are treated as increases in capital. These variable fees, if any, are reflected in share transactions in the Statements of Changes in Net Assets.

 

Note 5—Investments—For the year ended December 31, 2019, purchases and sales of investments (excluding short-term investments and in-kind capital share transactions) and the purchases and sales of investments resulting from in-kind capital share transactions (excluding short-term investments) were as follows:

 

            In-kind Capital Share Transactions
Fund  Purchases       Sales      Purchases      Sales 
Agribusiness ETF  $149,185,204   $159,506,389    $99,346,982    $264,601,680 
Coal ETF   10,792,100    11,816,980     1,184,959     19,111,882 
Gold Miners ETF   1,702,048,953    1,554,067,790     2,886,580,464     4,095,190,627 
Junior Gold Miners ETF   963,332,970    829,365,379     1,433,973,693     2,164,458,809 
Low Carbon Energy ETF   36,878,056    36,653,676     3,280,701     6,568,020 
Natural Resources ETF   17,119,815    17,604,019     3,699,120     20,410,754 
Oil Refiners ETF   7,475,585    8,739,214     18,160,803     32,642,629 
Oil Services ETF   242,659,383    225,059,890     1,709,977,726     2,058,183,776 
Rare Earth/Strategic Metals ETF   144,824,390    108,494,166     122,494,595     44,101,860 
Steel ETF   10,834,708    12,995,607     22,421,687     16,577,955 
Unconventional Oil & Gas ETF   6,683,927    6,734,940     1,675,287     14,386,144 
Uranium+Nuclear Energy ETF   3,723,138    3,697,757          2,490,447 

 

Note 6—Income Taxes—As of December 31, 2019, for Federal income tax purposes, the identified cost, gross unrealized appreciation, gross unrealized depreciation and net unrealized appreciation (depreciation) of investments owned were as follows:

 

Fund  Tax
Cost of
Investments
      Gross
Unrealized
Appreciation
      Gross
Unrealized
(Depreciation)
      Net Unrealized
Appreciation
(Depreciation)
Agribusiness ETF  $649,326,703   $145,332,445   $(77,650,010)  $67,682,435 
Coal ETF   42,823,384    118,938    (15,095,336)   (14,976,398)
Gold Miners ETF   10,811,251,411    2,586,778,200    (374,333,512)   2,212,444,688 
Junior Gold Miners ETF   4,543,261,377    1,162,647,623    (430,864,688)   731,782,935 
Low Carbon Energy ETF   72,913,903    35,376,175    (2,462,768)   32,913,407 
Natural Resources ETF   68,954,860    9,512,687    (5,055,725)   4,456,962 
Oil Refiners ETF   37,919,143    1,093,509    (4,224,032)   (3,130,523)
Oil Services ETF   1,364,134,817    18,004,067    (587,993,227)   (569,989,160)
Rare Earth/Strategic Materials ETF   229,013,022    13,336,772    (47,332,693)   (33,995,921)
Steel ETF   78,212,893    3,018,573    (11,683,310)   (8,664,737)
Unconventional Oil & Gas ETF   32,647,722    378,220    (12,898,470)   (12,520,250)
Uranium+Nuclear Energy ETF   23,928,343    3,479,361    (3,215,509)   263,852 
66

 

 

At December 31, 2019, the components of distributable earnings (loss) on a tax basis, for each Fund, were as follows:

 

Fund  Undistributed
Ordinary
Income
  Accumulated
Capital
Losses
  Qualified
Late Year
Losses*
  Other
Temporary
Differences
  Unrealized
Appreciation
(Depreciation)
  Total
Distributable
Earnings (Loss)
Agribusiness ETF  $676,222   $(707,502,202)   $   $(484,842)  $67,692,083   $(639,618,739)
Coal ETF       (311,498,315)   (1,480)   (21,987)   (14,976,267)   (326,498,049)
Gold Miners ETF   3,307,534    (10,353,896,984)       (972,330)   2,212,472,618    (8,139,089,162)
Junior Gold Miners ETF   20,198,595    (4,526,433,128)       (236,762)   731,788,345    (3,774,682,950)
Low Carbon Energy ETF   39,561    (96,324,516)       (12,090)   32,914,942    (63,382,103)
Natural Resources ETF   111,942    (40,945,959)       (12,573)   4,458,325    (36,388,265)
Oil Refiners ETF       (2,902,724)       (559)   (3,129,841)   (6,033,124)
Oil Services ETF   221,445    (936,747,781)       (201,299)   (569,989,160)   (1,506,716,795)
Rare Earth/Strategic Materials ETF   2,019,606    (297,445,357)       (15,491)   (33,992,698)   (329,433,940)
Steel ETF   74,606    (138,851,761)       (16,775)   (8,664,737)   (147,458,667)
Unconventional Oil & Gas ETF   286    (45,537,289)       (3,867)   (12,520,070)   (58,060,940)
Uranium+Nuclear Energy ETF   456,917    (82,501,101)       (11,022)   263,912    (81,791,294)

 

* Qualified late year losses incurred after October 31, 2019 are deemed to arise on the January 1, 2020.

 

The tax character of dividends paid to shareholders during the years ended December 31, 2019 and December 31, 2018 were as follows:

 

   2019 Dividends  2018 Dividends
Fund  Ordinary
Income *
  Ordinary
Income *
Agribusiness ETF  $9,500,095   $12,001,800 
Coal ETF   2,900,150    3,625,600 
Gold Miners ETF   83,020,376    51,959,513 
Junior Gold Miners ETF   19,760,414    19,534,693 
Low Carbon Energy ETF       499,871 
Natural Resources ETF   1,900,000    2,159,650 
Oil Refiners ETF   496,080    1,170,000 
Oil Services ETF   17,651,031    21,321,948 
Rare Earth/Strategic Materials ETF   3,000,424    11,500,061 
Steel ETF   1,830,265    3,600,300 
Unconventional Oil & Gas ETF   350,000    426,800 
Uranium+Nuclear Energy ETF   550,019    1,000,200 

 

* Includes short-term capital gains (if any)

 

At December 31, 2019, the Funds had capital loss carryforwards available to offset future capital gains, as follow:

 

Fund  Short-Term
Capital Losses
with No Expiration
      Long-Term
Capital Losses
with No Expiration
      Total
Agribusiness ETF  $(176,695,262)  $(530,806,940)  $(707,502,202)
Coal ETF   (25,686,329)   (285,811,986)   (311,498,315)
Gold Miners ETF   (1,400,615,888)   (8,953,281,096)   (10,353,896,984)
Junior Gold Miners ETF   (1,526,966,259)   (2,999,466,869)   (4,526,433,128)
Low Carbon Energy ETF   (2,682,903)   (93,641,613)   (96,324,516)
Natural Resources ETF   (2,837,843)   (38,108,116)   (40,945,959)
Oil Refiners ETF   (2,508,048)   (394,676)   (2,902,724)
Oil Services ETF   (76,248,000)   (860,499,781)   (936,747,781)
Rare Earth/Strategic Materials ETF   (84,095,383)   (213,349,974)   (297,445,357)
Steel ETF   (7,461,174)   (131,390,587)   (138,851,761)
Unconventional Oil & Gas ETF   (7,056,729)   (38,480,560)   (45,537,289)
Uranium+Nuclear Energy ETF   (13,905,560)   (68,595,541)   (82,501,101)

 

During the year ended December 31, 2019, Low Carbon Energy ETF, utilized $1,285,485 of its capital loss carryovers available from prior years.

67

VANECK VECTORS ETF TRUST

NOTES TO FINANCIAL STATEMENTS

(continued)

 

During the year ended December 31, 2019, as a result of permanent book to tax differences, primarily due to the tax treatment of gains/losses from securities redeemed in-kind, the Funds incurred differences that affected distributable earnings and aggregate paid in capital by the amounts in the table below. Net assets were not affected by these reclassifications.

 

Fund  Increase (Decrease)
in Distributable
Earnings
  Increase (Decrease)
in Aggregate
Paid in Capital
Agribusiness ETF  $(66,723,217)  $66,723,217 
Coal ETF   2,170,584    (2,170,584)
Gold Miners ETF   (982,720,367)   982,720,367 
Junior Gold Miners ETF   (397,784,270)   397,784,270 
Low Carbon Energy ETF   (2,727,420)   2,727,420 
Natural Resources ETF   (2,693,886)   2,693,886 
Oil Refiners ETF   2,797,067    (2,797,067)
Oil Services ETF   7,029,165    (7,029,165)
Rare Earth/Strategic Materials ETF   (1,311,747)   1,311,747 
Steel ETF   (2,066,666)   2,066,666 
Unconventional Oil & Gas ETF   3,270,108    (3,270,108)
Uranium+Nuclear Energy ETF   (431,106)   431,106 

 

The Funds recognize the tax benefits of uncertain tax positions only where the position is “more-likely-than-not” to be sustained assuming examination by applicable tax authorities. Management has analyzed the Funds’ tax positions, and has concluded that no liability for unrecognized tax benefits should be recorded related to uncertain tax positions taken on return filings for all open tax years. The Funds do not have exposure for additional years that might still be open in certain foreign jurisdictions. Therefore, no provision for income tax is required in the Funds’ financial statements. However, the Funds are subject to foreign taxes on the appreciation in value of certain investments. The Funds provide for such taxes on both realized and unrealized appreciation.

 

The Funds recognize interest and penalties, if any, related to uncertain tax positions as income tax expense in the Statements of Operations. During the year ended December 31, 2019, the Funds did not incur any interest or penalties.

 

Note 7—Principal Risks—The investment objective of each Fund is to seek investment results that correspond generally to the price and yield performance, before fees and expenses, of its underlying index, as indicated in the name of each Fund. The Adviser uses a “passive” or index approach to achieve each Fund’s investment objective by investing in a portfolio of securities that generally replicates the Fund’s index. Non-diversified funds generally hold securities of fewer issuers than diversified funds (see Note 1) and may be more susceptible to the risks associated with these particular issuers, or to a single economic, political or regulatory occurrence affecting these issuers. The Funds may purchase securities on foreign exchanges. Securities of foreign issuers involve special risks and considerations not typically associated with investing in U.S. issuers. These risks include devaluation of currencies, currency controls, less reliable information about issuers, different securities transaction clearance and settlement practices, future adverse political and economic developments and local/regional conflicts or natural or other disasters, such as the recent coronavirus outbreak. These risks are heightened for investments in emerging market countries. Moreover, securities of many foreign issuers and their markets may be less liquid and their prices more volatile than those of comparable U.S. issuers.

 

As a result of events involving Ukraine and the Russian Federation, the United States and the European Union have imposed sanctions on certain Russian individuals and companies. These sanctions do not currently impact the Funds. Additional economic sanctions may be imposed or other actions may be taken that may adversely affect the value and liquidity of the Russian-related issuers held by the Funds.

 

A more complete description of risks is included in each Fund’s Prospectus and Statement of Additional Information.

 

Note 8—Trustee Deferred Compensation Plan—The Trust has a Deferred Compensation Plan (the “Plan”) for Trustees under which the Trustees can elect to defer receipt of their trustee fees until retirement, disability or termination from the Board of Trustees. The fees otherwise payable to the participating Trustees are deemed invested in shares of the Funds as directed by the Trustees.

68

 

 

The expense for the Plan is included in “Trustees’ fees and expenses” in the Statements of Operations. The liability for the Plan is shown as “Deferred Trustee fees” in the Statements of Assets and Liabilities.

 

Note 9—Securities Lending—To generate additional income, each of the Funds may lend its securities pursuant to a securities lending agreement with the securities lending agent. Each Fund may lend up to 33% of its investments requiring that the loan be continuously collateralized by cash, cash equivalents, U.S. government securities, or any combination of cash and such securities at all times equal to at least 102% (105% for foreign securities) of the market value plus accrued interest on the securities loaned. Daily market fluctuations could cause the value of loaned securities to be more or less than the value of the collateral received. When this occurs, the collateral is adjusted and settled on the next business day. During the term of the loan, the Funds will continue to receive any dividends, interest or amounts equivalent thereto, on the securities loaned while receiving a fee from the borrower and/or earning interest on the investment of the cash collateral. Such fees and interest are shared with the securities lending agent under the terms of the securities lending agreement. Securities lending income is disclosed as such in the Statements of Operations. The cash collateral is maintained on the Funds’ behalf by the lending agent and is invested in the State Street Navigator Securities Lending Government Money Market Portfolio. Non-cash collateral consists of U.S. Treasuries and U.S. Government Agency securities, and is not disclosed in the Funds’ Schedules of Investments or Statements of Assets and Liabilities as it is held by the agent on behalf of the Funds, and the Funds do not have the ability to re-hypothecate those securities. Loans are subject to termination at the option of the borrower or the Funds. Upon termination of the loan, the borrower will return to the Fund securities identical to the securities loaned. The Funds bear the risk of delay in recovery of, or even loss of rights in, the securities loaned should the borrower of the securities fail financially. The value of loaned securities and related cash collateral, if any, at December 31, 2019 is presented on a gross basis in the Schedules of Investments and Statements of Assets and Liabilities. The following is a summary of the Funds’ securities on loan and related collateral as of December 31, 2019:

 

Fund  Market Value of
Securities on Loan
  Cash
Collateral
  Non-Cash
Collateral
  Total Collateral
Agribusiness ETF          $7,510,630    $827,598    $6,821,610     $7,649,208 
Coal ETF   1,709,344    697,091    1,070,707    1,767,798 
Gold Miners ETF   86,418,103    27,585,223    63,060,722    90,645,945 
Junior Gold Miners ETF   196,868,095    60,229,115    144,696,174    204,925,289 
Low Carbon Energy ETF   4,691,228    1,193,707    3,536,958    4,730,665 
Natural Resources ETF   5,755,656    2,838,207    3,142,022    5,980,229 
Oil Services ETF   59,407,365    19,877,420    41,561,156    61,438,576 
Rare Earth/Strategic Metals ETF   30,938,789    2,126,040    30,307,181    32,433,221 
Steel ETF   10,794,738    3,391,650    7,632,710    11,024,360 
Unconventional Oil & Gas ETF   1,671,202    525,900    1,194,145    1,720,045 
Uranium+Nuclear Energy ETF   1,562,020    1,448,283    217,964    1,666,247 
69

VANECK VECTORS ETF TRUST

NOTES TO FINANCIAL STATEMENTS

(continued)

 

The following table presents money market fund investments held as collateral by type of security on loan as of December 31, 2019:

 

   Gross Amount of Recognized
Liabilities for Securities
Loaned in the Statements of
Assets and Liabilities*
Fund  Equity Securities
Agribusiness ETF  $827,598 
Coal ETF   697,091 
Gold Miners ETF   27,585,223 
Junior Gold Miners ETF   60,229,115 
Low Carbon Energy ETF   1,193,707 
Natural Resources ETF   2,838,207 
Oil Services ETF   19,877,420 
Rare Earth/Strategic Metals ETF   2,126,040 
Steel ETF   3,391,650 
Unconventional Oil & Gas ETF   525,900 
Uranium+Nuclear Energy ETF   1,448,283 

 

* Remaining contractual maturity of the agreements: overnight and continuous

 

Note 10—Bank Line of Credit—The Funds may participate in a $200 million committed credit facility (the “Facility”) to be utilized for temporary financing until the settlement of sales or purchases of portfolio securities, the repurchase or redemption of shares of the Funds at the request of the shareholders and other temporary or emergency purposes. The Funds have agreed to pay commitment fees, pro rata, based on the unused but available balance. Interest is charged to the Funds at rates based on prevailing market rates in effect at the time of borrowings. The Funds earn interest income on uninvested cash balances held at the custodian bank, such amounts, if any, are presented as interest income in the Statements of Operations. During the year ended December 31, 2019, the following Funds borrowed under this Facility:

 

Fund  Days
Outstanding
  Average Daily
Loan Balance
  Average
Interest Rate
  Outstanding Loan
Balance as of
December 31, 2019
Agribusiness ETF   287    $1,397,857    3.67%        $      
Coal ETF   186    197,599    3.62     
Gold Miners ETF   157    7,701,048    3.61     
Junior Gold Miners ETF   85    5,005,298    3.50     
Low Carbon Energy ETF   206    158,140    3.49     
Natural Resources ETF   285    275,365    3.68    147,703 
Oil Refiners ETF   162    139,396    3.70     
Oil Services ETF   219    1,550,682    3.58    2,826,895 
Rare Earth/Strategic Metals ETF   307    1,439,376    3.63    943,932 
Steel ETF   112    278,754    3.77     
Uranium+Nuclear Energy ETF   10    100,145    3.80     

 

Note 11—Recent Accounting Pronouncements—The Funds early adopted certain provisions of Accounting Standards Update No. 2018-13, Disclosure Framework-Changes to the Disclosure Requirements for Fair Value Measurement (“ASU 2018-13”) that eliminate and modify certain disclosure requirements for fair value measurements. The adoption of certain provisions of ASU 2018-13 had no material effect on the financial statements and related disclosures. Management evaluated the additional requirements, not yet adopted, and they are not expected to have a material impact to the financial statements. Public companies will be required to disclose the range and weighted average of significant unobservable inputs for Level 3 fair value measurements. ASU 2018-13 is effective for fiscal years beginning after December 15, 2019 and for interim periods within those fiscal years.

 

Note 12—Subsequent Event Review—The Funds have evaluated subsequent events and transactions for potential recognition or disclosure through the date the financial statements were issued.

70

VANECK VECTORS ETF TRUST

REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM

 

To the Shareholders of VanEck Vectors Agribusiness ETF, VanEck Vectors Coal ETF, VanEck Vectors Gold Miners ETF, VanEck Vectors Junior Gold Miners ETF, VanEck Vectors Low Carbon Energy ETF, VanEck Vectors Natural Resources ETF, VanEck Vectors Oil Refiners ETF, VanEck Vectors Oil Services ETF, VanEck Vectors Rare Earth/Strategic Metals ETF, VanEck Vectors Steel ETF, VanEck Vectors Unconventional Oil & Gas ETF and VanEck Vectors Uranium+Nuclear Energy ETF and the Board of Trustees of VanEck Vectors ETF Trust

 

Opinion on the Financial Statements

We have audited the accompanying statements of assets and liabilities of VanEck Vectors Agribusiness ETF, VanEck Vectors Coal ETF, VanEck Vectors Gold Miners ETF, VanEck Vectors Junior Gold Miners ETF, VanEck Vectors Low Carbon Energy ETF, VanEck Vectors Natural Resources ETF, VanEck Vectors Oil Refiners ETF, VanEck Vectors Oil Services ETF, VanEck Vectors Rare Earth/Strategic Metals ETF, VanEck Vectors Steel ETF, VanEck Vectors Unconventional Oil & Gas ETF and VanEck Vectors Uranium+Nuclear Energy ETF (collectively referred to as the “Funds”) (twelve of the series constituting VanEck Vectors ETF Trust (the “Trust”)), including the schedules of investments, as of December 31, 2019, and the related statements of operations, changes in net assets, and the financial highlights for each of the periods indicated in the table below and the related notes (collectively referred to as the “financial statements”). In our opinion, the financial statements present fairly, in all material respects, the financial position of each of the Funds (twelve of the series constituting VanEck Vectors ETF Trust) at December 31, 2019, and the results of their operations, changes in net assets and financial highlights for each of the periods indicated in the table below, in conformity with U.S. generally accepted accounting principles.

 

Individual fund constituting
the VanEck Vectors ETF Trust
  Statement
of operations
  Statements of
changes in net assets
  Financial highlights
             
VanEck Vectors
Agribusiness ETF
  For the year ended December 31, 2019   For each of the two years in the period ended December 31, 2019   For each of the five years in the period ended December 31, 2019
             
VanEck Vectors
Coal ETF
           
             
VanEck Vectors
Gold Miners ETF
           
             
VanEck Vectors
Junior Gold Miners ETF
           
             
VanEck Vectors Low
Carbon Energy ETF
           
             
VanEck Vectors Natural
Resources ETF
           
             
VanEck Vectors Oil
Services ETF
           
             
VanEck Vectors Rare
Earth/Strategic Metals ETF
           
             
VanEck Vectors Steel ETF            
             
VanEck Vectors Unconventional
Oil & Gas ETF
           
             
VanEck Vectors
Uranium+Nuclear
Energy ETF
           
             
VanEck Vectors Oil
Refiners ETF
  For the year ended December 31, 2019   For each of the two years in the period ended December 31, 2019   For each of the four years in the period ended December 31, 2019 and the period from August 18, 2015 (commencement of operations) through December 31, 2015
71

VANECK VECTORS ETF TRUST

REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM

(continued)

 

Basis for Opinion

These financial statements are the responsibility of the Trust’s management. Our responsibility is to express an opinion on each of the Funds’ financial statements based on our audits. We are a public accounting firm registered with the Public Company Accounting Oversight Board (United States) (“PCAOB”) and are required to be independent with respect to the Trust in accordance with the U.S. federal securities laws and the applicable rules and regulations of the Securities and Exchange Commission and the PCAOB.

 

We conducted our audits in accordance with the standards of the PCAOB. Those standards require that we plan and perform the audits to obtain reasonable assurance about whether the financial statements are free of material misstatement, whether due to error or fraud. The Trust is not required to have, nor were we engaged to perform, an audit of the Trust’s internal control over financial reporting. As part of our audits, we are required to obtain an understanding of internal control over financial reporting, but not for the purpose of expressing an opinion on the effectiveness of the Trust’s internal control over financial reporting. Accordingly, we express no such opinion.

 

Our audits included performing procedures to assess the risks of material misstatement of the financial statements, whether due to error or fraud, and performing procedures that respond to those risks. Such procedures included examining, on a test basis, evidence regarding the amounts and disclosures in the financial statements. Our procedures included confirmation of securities owned as of December 31, 2019, by correspondence with the custodian and brokers or by other appropriate auditing procedures where replies from broker were not received. Our audits also included evaluating the accounting principles used and significant estimates made by management, as well as evaluating the overall presentation of the financial statements. We believe that our audits provide a reasonable basis for our opinion.

 

 

We have served as the auditor of one or more of the VanEck investment companies since 1999.

 

New York, New York

February 27, 2020

72

VANECK VECTORS ETF TRUST

TAX INFORMATION

(unaudited)

 

The following information is provided with respect to the distributions paid during the taxable year ended December 31, 2019:

 

   Agribusiness
ETF
     Coal ETF      Gold Miners
ETF
     Junior
Gold
Miners ETF
     Natural
Resources
ETF
     Oil Refiners
ETF
Record Date       12/24/2019         12/24/2019         12/24/2019         12/24/2019         12/24/2019         12/24/2019  
Ex Date    12/23/2109      12/23/2109      12/23/2109      12/23/2109      12/23/2109      12/23/2109  
Payable Date    12/30/2019      12/30/2019      12/30/2019      12/30/2019      12/30/2019      12/30/2019  
Ordinary Income Per Share    $ 0.909100      $ 1.054600      $ 0.190500      $ 0.163800      $ 1.000000      $ 0.413400  
                                                       
Ordinary Income:                                                      
Qualified Dividend Income for Individuals      96.31 %      91.14 %*      100.00 %*      84.37 %*      97.74 %*      99.90 %*
Dividends Qualifying for the Dividends Received Deduction for Corporations      50.13 %      25.58 %*      47.20 %*      17.64 %*      36.81 %*      54.76 %*
Foreign Source Income             64.89 %*      69.13 %*      45.21 %*      63.92 %*      51.12 %*
Foreign Taxes Paid Per Share           $ 0.100765 **      0.016692 **    $ 0.010363 **    $ 0.072903 **    $ 0.028073 **
                                                       
    Oil
Services
ETF
  Rare Earth /
Strategic
Metals ETF
  Steel ETF   Unconventional
Oil & Gas ETF
  Uranium+
Nuclear
Energy ETF
Record Date    12/24/2019      12/24/2019      12/24/2019      12/31/2019      12/24/2019      12/24/2019  
Ex Date    12/23/2109      12/23/2109      12/23/2109      12/30/2019      12/23/2109      12/23/2109  
Payable Date    12/30/2019      12/30/2019      12/30/2019      01/06/2020      12/30/2019      12/30/2019  
Ordinary Income Per Share    $ 0.290500      $ 0.214700      $ 0.097150      $ 0.072300      $ 0.200000      $ 1.178700  
                                                       
Ordinary Income:                                                      
Qualified Dividend Income for Individuals      53.51 %      49.92 %*      89.28 %*      89.53 %*      100.00 %      100.00 %
Dividends Qualifying for the Dividends Received Deduction for Corporations      43.28 %             20.19 %      20.39 %*      100.00 %      73.92 %
Foreign Source Income             51.07 %*      75.99 %*      76.96 %*              
Foreign Taxes Paid Per Share    $      $ 0.008948 **    $ 0.020792 **      0.001547 **              

 

* Expressed as a percentage of the ordinary income distribution grossed up for foreign taxes.
   
** The foreign taxes paid represent taxes incurred by the Fund on income received by the Fund from foreign sources. Foreign taxes paid may be included in taxable income with an offsetting deduction from gross income or may be taken as a credit for taxes paid to foreign governments.

 

Please consult your tax advisor for proper treatment of this information.

73

VANECK VECTORS ETF TRUST

BOARD OF TRUSTEES AND OFFICERS

December 31, 2019 (unaudited)

 

Name, Address1
and Year of Birth
  Position(s)
Held with
the Trust
  Term of
Office2 and
Length of
Time Served
  Principal Occupation(s)
During Past Five Years
  Number of
Portfolios
in Fund
Complex3
Overseen
  Other Directorships Held
By Trustee During Past Five Years
 
Independent Trustees
David H. Chow,
1957*†
  Chairman Trustee   Since 2008
Since 2006
  Founder and CEO, DanCourt Management LLC (financial/strategy consulting firm and Registered Investment Adviser), March 1999 to present.   55   Director, Forward Management LLC and Audit Committee Chairman, May 2008 to June 2015; Trustee, Berea College of Kentucky, May 2009 to present and currently Chairman of the Investment Committee; Member of the Governing Council of the Independent Directors Council, October 2012 to present; President, July 2013 to June 2015, and Board Member of the CFA Society of Stamford, July 2009 to present; Trustee, MainStay Fund Complex4, January 2016 to present and currently Chairman of the Risk and Compliance Committee.
                     
Laurie A. Hesslein,
1959*†
  Trustee   Since 2019   Citigroup, Managing Director, and Business Head, Local Consumer Lending North America, CEO and President, CitiFinancial Servicing LLC (2013 - 2017).   55   Trustee, Eagle Growth and Income Opportunities Fund; Trustee, THL Credit Senior Loan Fund.
                     
R. Alastair Short,
1953*†
  Trustee   Since 2006   President, Apex Capital Corporation (personal investment vehicle).   66   Chairman and Independent Director, EULAV Asset Management; Trustee, Kenyon Review; Trustee, Children’s Village. Formerly, Independent Director, Tremont offshore funds.
                     
Peter J. Sidebottom,
1962*†
  Trustee   Since 2012   Lead Partner, North America Banking and Capital Markets Strategy, Accenture, May 2017 to present; Partner, PWC/Strategy & Financial Services Advisory, February 2015 to March 2017; Founder and Board Member, AspenWoods Risk Solutions, September 2013 to February 2016; Independent consultant, June 2013 to February 2015; Partner, Bain & Company (management consulting firm), April 2012 to December 2013; Executive Vice President and Senior Operating Committee Member, TD Ameritrade (on-line brokerage firm), February 2009 to January 2012.   55   Board Member, Special Olympics, New Jersey, November 2011 to September 2013; Director, The Charlotte Research Institute, December 2000 to 2009; Board Member, Social Capital Institute, University of North Carolina Charlotte, November 2004 to January 2012; Board Member, NJ-CAN, July 2014 to 2016.
                     
Richard D. Stamberger,
1959*†
  Trustee   Since 2006   President and CEO, SmartBrief, LLC (business media company).   66   Director, Food and Friends, Inc.
                     
Interested Trustee                    
Jan F. van Eck,
19635
  Trustee, Chief Executive Officer and President   Trustee (Since 2006); Chief Executive Officer and President (Since 2009)   Director, President and Chief Executive Officer of Van Eck Associates Corporation (VEAC), Van Eck Absolute Return Advisers Corporation (VEARA) and Van Eck Securities Corporation (VESC); Officer and/or Director of other companies affiliated with VEAC and/or the Trust   55   Director, National Committee on US-China Relations.

 

 
1 The address for each Trustee and officer is 666 Third Avenue, 9th Floor, New York, New York 10017.
2 Each Trustee serves until resignation, death, retirement or removal. Officers are elected yearly by the Trustees.
3 The Fund Complex consists of the VanEck Funds, VanEck VIP Trust and the Trust.
4 The MainStay Fund Complex consists of MainStay Funds, MainStay Funds Trust, MainStay VP Funds Trust and MainStay MacKay Defined Term Municipal Opportunities Fund.
5 “Interested person” of the Trust within the meaning of the 1940 Act. Mr. van Eck is an officer of VEAC, VEARA and VESC.
* Member of the Audit Committee.
Member of the Nominating and Corporate Governance Committee.
74

 

 

Officer’s Name,
Address1 and
Year of Birth
  Position(s)
Held with
the Trust
  Term of Office2
and Length of
Time Served
  Principal Occupation(s) During Past Five Years
Officer Information            
Matthew A. Babinsky,
1983
  Assistant Vice President and Assistant Secretary   Since 2016   Assistant Vice President, Assistant General Counsel and Assistant Secretary of VEAC, VEARA and VESC; Officer of other investment companies advised by VEAC and VEARA. Formerly, Associate, Clifford Chance US LLP.
             
Russell G. Brennan,
1964
  Assistant Vice President and Assistant Treasurer   Since 2008   Assistant Vice President of VEAC; Officer of other investment companies advised by VEAC and VEARA.
             
Charles T. Cameron,
1960
  Vice President   Since 2006   Portfolio Manager of VEAC; Officer and/or Portfolio Manager of other investment companies advised by VEAC and VEARA. Formerly, Director of Trading of VEAC.
             
John J. Crimmins,
1957
  Vice President, Treasurer, Chief Financial Officer and Principal Accounting Officer   Vice President, Chief Financial Officer and Principal Accounting Officer (Since 2012); Treasurer (Since 2009)   Vice President of VEAC and VEARA; Officer of other investment companies advised by VEAC and VEARA. Formerly, Vice President of VESC.
             
Eduardo Escario,
1975
  Vice President   Since 2012   Regional Director, Business Development/Sales for Southern Europe and South America of VEAC.
             
Henry Glynn,
1983
  Assistant Vice President   Since 2018   Head of ETF Capital Markets Europe of Van Eck Switzerland AG. Formerly, Member of the Capital Markets team at Vanguard Group.
             
F. Michael Gozzillo,
1965
  Chief Compliance Officer   Since 2018   Vice President and Chief Compliance Officer of VEAC and VEARA; Chief Compliance Officer of VESC; Officer of other investment companies advised by VEAC and VEARA. Formerly, Chief Compliance Officer of City National Rochdale, LLC and City National Rochdale Funds.
             
Laura Hamilton,
1977
  Vice President   Since 2019   Assistant Vice President of VEAC and VESC; Officer of other investment companies advised by VEAC and VEARA. Formerly, Operations Manager of Royce & Associates.
             
Nicholas Jackson,
1974
  Assistant Vice President   Since 2018   Vice President, Business Development of VanEck Australia Pty Ltd.
             
Laura I. Martínez,
1980
  Vice President and Assistant Secretary   Vice President (Since 2016); Assistant Secretary (Since 2008)   Vice President, Associate General Counsel and Assistant Secretary of VEAC, VEARA and VESC; Officer of other investment companies advised by VEAC and VEARA. Formerly, Assistant Vice President of VEAC, VEARA and VESC.
             
Matthew McKinnon,
1970
  Assistant Vice President   Since 2018   Head of Business Development of Asia Pacific of VanEck Australia Pty Ltd. Formerly, Director, Intermediaries and Institutions of VanEck Australia Pty Ltd.
             
Arian Neiron,
1979
  Vice President   Since 2018   Managing Director and Head of Asia Pacific of VanEck Australia Pty Ltd.; Officer and/or Director of other companies affiliated with VEAC and/or the Trust.
             
James Parker,
1969
  Assistant Treasurer   Since 2014   Assistant Vice President of VEAC; Manager, Portfolio Administration of VEAC and VEARA. Officer of other investment companies advised by VEAC and VEARA.
             
Adam Phillips,
1970
  Vice President   Since 2018   ETF Chief Operating Officer of VEAC; Director of other companies affiliated with VEAC.
             
Philipp Schlegel,
1974
  Vice President   Since 2016   Managing Director of Van Eck Switzerland AG.
             
Jonathan R. Simon,
1974
  Senior Vice President, Secretary and Chief
Legal Officer
  Senior Vice President (Since 2016); Secretary and Chief Legal Officer (Since 2014)   Senior Vice President, General Counsel and Secretary of VEAC, VEARA and VESC; Officer and/or Director of other companies affiliated with VEAC and/or the Trust. Formerly, Vice President of VEAC, VEARA and VESC.

 

 
1 The address for each Officer is 666 Third Avenue, 9th Floor, New York, New York 10017.
2 Officers are elected yearly by the Trustees.
75

 

This report is intended for the Funds’ shareholders. It may not be distributed to prospective investors unless it is preceded or accompanied by a VanEck Vectors ETF Trust (the “Trust”) prospectus and summary prospectus, which includes more complete information. Investing involves substantial risk and high volatility, including possible loss of principal. An investor should consider the investment objective, risks, charges and expenses of the Fund carefully before investing. To obtain a prospectus and summary prospectus, which contains this and other information, call 800.826.2333 or visit vaneck.com. Please read the prospectus and summary prospectus carefully before investing.

 

Additional information about the Trust’s Board of Trustees/Officers and a description of the policies and procedures the Trust uses to determine how to vote proxies relating to portfolio securities are provided in the Statement of Additional Information. The Statement of Additional Information and information regarding how the Trust voted proxies relating to portfolio securities during the most recent twelve month period ending June 30 is available, without charge, by calling 800.826.2333, or by visiting vaneck.com, or on the Securities and Exchange Commission’s website at http://www.sec.gov.

 

The Trust files its complete schedule of portfolio holdings with the Securities and Exchange Commission for the first and third quarters of each fiscal year on Form N-PORT. The Trust’s Form N-PORT Filings are available on the Commission’s website at http://www.sec.gov and may be reviewed and copied at the Commission’s Public Reference Room in Washington, D.C. Information on the operation of the Public Reference Room may be obtained by calling 202.942.8090. The Funds’ complete schedules of portfolio holdings are also available by calling 800.826.2333 or by visiting vaneck.com.

 

 

Investment Adviser: Van Eck Associates Corporation  
Distributor: Van Eck Securities Corporation
666 Third Avenue, New York, NY 10017
vaneck.com
 
Account Assistance: 800.826.2333 HAAR

 

Item 2. CODE OF ETHICS.
   
(a) The Registrant has adopted a code of ethics (the “Code of Ethics”) that applies to the principal executive officer, principal financial officer, principal accounting officer or controller, or persons performing similar functions.
   
(b) The Registrant’s code of ethics is reasonably described in this Form N-CSR.
   
(c) The Registrant has not amended its Code of Ethics during the period covered by the shareholder report presented in Item 1 hereto.
   
(d) The Registrant has not granted a waiver or an implicit waiver from a provision of its Code of Ethics during the period covered by the shareholder report presented in Item 1 hereto.
   
(e) Not applicable.
   
(f) The Registrant’s Code of Ethics is attached as an Exhibit hereto.
   
Item 3. AUDIT COMMITTEE FINANCIAL EXPERT.
   
  The Registrant’s Board of Trustees has determined that David Chow, Laurie A. Hesslein, R. Alastair Short, Peter Sidebottom and Richard Stamberger, members of the Audit and Governance Committees, are “audit committee financial experts” and “independent” as such terms are defined in the instructions to Form N-CSR Item 3(a)(2).
   
Item 4. PRINCIPAL ACCOUNTANT FEES AND SERVICES.
   
  The principal accountant fees disclosed in Item 4(a), 4(b), 4(c), 4(d) and 4(g) are for the Funds of the Registrant for which the fiscal year end is December 31.
   
(a) Audit Fees. The aggregate Audit Fees of Ernst & Young for professional services billed for the audits of the financial statements, or services that are normally provided in connection with statutory and regulatory filings or engagements for the fiscal years ended December 31, 2019 and December 31, 2018, were $655,550 and $683,610, respectively.
   
(b) Audit-Related Fees. Not applicable.
   
(c) Tax Fees. The aggregate Tax Fees of Ernst & Young for professional services billed for the review of Federal, state and excise tax returns and other tax compliance consultations for the fiscal years ended December 31, 2019 and December 31, 2018, were $604,585 and $835,807, respectively.
   
(d) All Other Fees
   
  None.
   
(e) The Audit Committee will pre-approve all audit and non-audit services, to be provided to the Funds, by the independent accountants as required by Section 10A of the Securities Exchange Act of 1934. The Audit Committee has authorized the Chairman of the Audit Committee to approve, between meeting dates, appropriate non-audit services.
   
  The Audit Committee after considering all factors, including a review of independence issues, will recommend to the Board of Trustees the independent auditors to be selected to audit the financial statements of the Funds.

 

(f) Not applicable.
   
(g) Not applicable.
   
(h) Not applicable.
   
Item 5. AUDIT COMMITTEE OF LISTED REGISTRANTS.
   
  The Registrant’s Board has an Audit Committee established in accordance with Section 3(a)(58)(A) of the Exchange Act (15 U.S.C. 78c(a)(58)(A)) consisting of five Independent Trustees. Messrs. Chow, Hesslein, Short, Sidebottom and Stamberger currently serve as members of the Audit Committee. Mr. Short is the Chairman of the Audit Committee.
   
Item 6. SCHEDULE OF INVESTMENTS.
   
  Information included in Item 1.
   
Item 7. DISCLOSURE OF PROXY VOTING POLICIES AND PROCEDURES FOR CLOSED-END MANAGEMENT INVESTMENT COMPANIES.
   
  Not applicable.
   
Item 8. PORTFOLIO MANAGER OF CLOSED-END MANAGEMENT INVESTMENT COMPANIES.
   
  Not applicable.
   
Item 9. PURCHASE OF EQUITY SECURITIES BY CLOSED-END MANAGEMENT INVESTMENT COMPANY AND AFFILIATED PURCHASERS.
   
  Not applicable.
   
Item 10. SUBMISSION OF MATTERS TO A VOTE OF SECURITY HOLDERS.
   
  None.
   
Item 11. CONTROLS AND PROCEDURES.
   
(a) The registrant’s principal executive and principal financial officers, or persons performing similar functions, have concluded that the registrant’s disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940, as amended (the “1940 Act”) (17 CFR 270.30a-3 (c)) are effective, as of a date within 90 days of the filing date of the report that includes the disclosure required by this paragraph, based on their evaluation of these controls and procedures required by Rule 30a-3(b) under the 1940 Act (17 CFR 270.30a-3(b)) and Rules 13a-15(b) or 15d-15(b) under the Securities Exchange Act of 1934, as amended (17 CFR 240.13a-15(b) or 240.15d-15 (b)).
   
(b) There were no changes in the registrant’s internal control over financial reporting (as defined in Rule 30a-3(d) under the 1940 Act (17 CFR 270.30a(d)) that occurred during the period covered by this report that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting.
   
Item 12. DISCLOSURE OF SECURITIES LENDING ACTIVITIES FOR CLOSED-END MANAGEMENT INVESTMENT COMPANIES.
   
(a) Not applicable.
   
(b) Not applicable.
   
Item 13. EXHIBITS.
   
(a)(1) The code of ethics is attached as EX-99.CODE ETH
   
(a)(2) A separate certification for each principal executive officer and principal financial officer of the registrant as required by Rule 30a-2 under the Act (17 CFR 270.30a-2) is attached as Exhibit 99.CERT.
   
(b) Certification pursuant to Section 906 of the Sarbanes-Oxley Act of 2002 is furnished as Exhibit 99.906CERT.

 

SIGNATURES

 

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

 

(Registrant) VANECK VECTORS ETF TRUST

 

By (Signature and Title)  /s/ John J. Crimmins, Treasurer and CFO  
     
Date March 9, 2020  

 

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the registrant and in the capacities and on the dates indicated.

 

By (Signature and Title)  /s/ Jan F. van Eck, CEO  
     
Date March 9, 2020  
     
By (Signature and Title)  /s/ John J. Crimmins, Treasurer and CFO  
     
Date March 9, 2020  

 

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EX-99.CODE ETH

 

VANECK VIP TRUST

VANECK FUNDS

VANECK VECTORS ETF TRUST

CODE OF ETHICS FOR PRINCIPAL EXECUTIVE AND

SENIOR FINANCIAL OFFICERS

 

I.COVERED OFFICERS/PURPOSE OF THE CODE

 

VanEck’s Code of Ethics (this “Code”) for the investment companies within the complex (collectively, “Funds” and each, “Company”) applies to the Company’s Principal Executive Officer, Principal Financial Officer and Principal Accounting Officer (the “Covered Officers” each of whom are set forth in Exhibit A) for the purpose of promoting:

 

ohonest and ethical conduct, including the ethical handling of actual or apparent conflicts of interest between personal and professional relationships;
  
ofull, fair, accurate, timely and understandable disclosure in reports and documents that a registrant files with, or submits to, the Securities and Exchange Commission (“SEC”) and in other public communications made by the Company;
  
ocompliance with applicable laws and governmental rules and regulations;
  
othe prompt internal reporting of violations of the Code to an appropriate person or persons identified in the Code; and
  
oaccountability for adherence to the Code.

 

Each Covered Officer should adhere to a high standard of business ethics and should be sensitive to situations that may give rise to actual as well as apparent conflicts of interest.

 

II.COVERED OFFICERS SHOULD HANDLE ETHICALLY ACTUAL AND APPARENT CONFLICTS OF INTEREST

 

OVERVIEW. A “conflict of interest” occurs when a Covered Officer’s private interest interferes with the interests of, or his service to, the Company. For example, a conflict of interest would arise if a Covered Officer, or a member of his family, receives improper personal benefits as a result of his position with the Company.

 

Certain conflicts of interest arise out of the relationships between Covered Officers and the Company and already are subject to conflict of interest provisions in the Investment Company Act of 1940 (“Investment Company Act”) and the Investment Advisers Act of 1940 (“Investment Advisers Act”). For example, Covered Officers may not individually engage in certain transactions (such as the purchase or sale of securities or other property) with the Company because of their status as “affiliated persons” of the Company. The Company’s and the investment adviser’s compliance programs and procedures are designed to prevent, or identify and correct, violations of these provisions. This Code does not, and is not intended to, repeat or replace these programs and procedures, and such conflicts fall outside of the parameters of this Code.

 

Although typically not presenting an opportunity for improper personal benefit, conflicts arise from, or as a result of, the contractual relationship between the Company and the investment adviser of which the Covered Officers are also officers or employees. As a result, this Code recognizes that the Covered Officers will, in the normal course of their duties (whether formally for the Company or for the adviser, or for both), be involved in establishing policies and implementing decisions that will have different effects on the adviser and the Company. The participation of the Covered Officers in such activities is inherent in the contractual relationship between the Company and the adviser and is consistent with the performance by the Covered Officers of their duties as officers of the Company. Thus, if performed in conformity with the provisions of the Investment Company Act and the Investment Advisers Act, such activities will be deemed to have been handled ethically. In addition, it is recognized by the Funds’ Boards of Directors (“Boards”) that the Covered Officers may also be officers or employees of one or more other investment companies covered by this or other codes.

 

Other conflicts of interest are covered by the Code, even if such conflicts of interest are not subject to provisions in the Investment Company Act and the Investment Advisers Act. The following list provides examples of conflicts of interest under the Code, but Covered Officers should keep in mind that these examples are not exhaustive. The overarching principle is that the personal interest of a Covered Officer should not be placed improperly before the interest of the Company.

 

Each Covered Officer must:

 

  onot use his personal influence or personal relationships improperly to influence investment decisions or financial reporting by the Company whereby the Covered Officer would benefit personally to the detriment of the Company;
    
  onot cause the Company to take action, or fail to take action, for the individual personal benefit of the Covered Officer rather than the benefit the Company;
    
  onot use material non-public knowledge of portfolio transactions made or contemplated for the Company to trade personally or cause others to trade personally in contemplation of the market effect of such transactions;

 

There are some conflict of interest situations that should always be discussed with the Compliance Officer if material. Examples of these include:

 

oservice as a director on the board of any public or private company;
  
othe receipt of any non-nominal gifts;
  
othe receipt of any entertainment from any company with which the Company has current or prospective business dealings unless such entertainment is business related, reasonable in cost, appropriate as to time and place, and not so frequent as to raise any question of impropriety.
  
oany ownership interest in, or any consulting or employment relationship with, any of the Company’s service providers, other than its investment adviser, principal underwriter, administrator or any affiliated person thereof,
 
oa direct or indirect financial interest in commissions, transaction charges or spreads paid by the Company for effecting portfolio transactions or for selling or redeeming shares other than an interest arising from the Covered Officer’s employment, such as compensation or equity ownership.

 

III.DISCLOSURE AND COMPLIANCE

 

oEach Covered Officer should familiarize himself with the disclosure requirements generally applicable to the Company;
  
oEach Covered Officer should not knowingly misrepresent, or cause others to misrepresent, facts about the Company to others, whether within or outside the Company, including to the Company’s directors and auditors, and to governmental regulators and self-regulatory organizations;
  
oEach Covered Officer should, to the extent appropriate within his area of responsibility, consult with other officers and employees of the Funds and the adviser with the goal of promoting full, fair, accurate, timely and understandable disclosure in the reports and documents the Funds file with, or submit to, the SEC and in other public communications made by the Funds; and
  
oIt is the responsibility of each Covered Officer to promote compliance with the standards and restrictions imposed by applicable laws, rules and regulations.

 

IV.REPORTING AND ACCOUNTABILITY

 

Each Covered Officer must:

 

oreport at least annually all affiliations or other relationships related to conflicts of interest that the Company’s Directors and Officers Questionnaire covers;
  
oupon adoption of the Code (or thereafter as applicable, upon becoming a Covered Officer), affirm in writing to the Board that he has received, read, and understands the Code;
  
oannually thereafter affirm to the Board that he has complied with the requirements of the Code;
  
onot retaliate against any other Covered Officer or any employee of the Funds or their affiliated persons for reports of potential violations that are made in good faith, and
  
onotify the Compliance Officer promptly if he knows of any violation of this Code. Failure to do so is itself a violation of this Code.

 

The Compliance Officer or other designated senior legal officer of the Funds’ investment adviser is responsible for applying this Code to specific situations in which questions are presented under it and has the authority to interpret this Code in any particular situation. However, any approvals or waivers sought by the Principal Executive Officer will be considered by the Governance Committee.

 

The Company will follow these procedures in investigating and enforcing this Code:

 

othe Compliance Officer or other designated senior legal officer will take all appropriate action to investigate any potential violations reported to him;
  
oif, after such investigation, the Compliance Officer believes that no violation has occurred, the Compliance Officer is not required to take any further action;
  
oany matter that the Compliance Officer believes is a violation will be reported to the Committee;
  
oif the Committee concurs that a violation has occurred, it will inform the Board, which will consider appropriate action, which may include review of, and appropriate modifications to, applicable policies and procedures; notification to appropriate personnel of the investment adviser or its board; or a recommendation to dismiss the Covered Officer-;
  
othe Committee will be responsible for granting waivers, as appropriate; and any changes to or waivers of this Code will, to the extent required, be disclosed as provided by SEC rules.

 

V.OTHER POLICIES AND PROCEDURES

 

This Code shall be the sole code of ethics adopted by the Funds for purposes of Section 406 of the Sarbanes-Oxley Act and the rules and forms applicable to registered investment companies thereunder. Insofar as other policies or procedures of the Funds, the Funds’ adviser, principal underwriter, or other service providers govern or purport to govern the behavior or activities of the Covered Officers who are subject to this Code, they are superseded by this Code to the extent that they overlap or conflict with the provisions of this Code. The Funds’ and their investment adviser’s and principal underwriter’s codes of ethics under Rule 17j-1 under the Investment Company Act and the adviser’s more detailed policies and procedures set forth in the Van Eck Employee Manual are separate requirements applying to the Covered Officers and others, and are not part of this Code.

 

VI.AMENDMENTS

 

Any amendments to this Code, other than amendments to Exhibit A, must be approved or ratified by a majority vote of the Board.

 

VII.CONFIDENTIALITY

 

All reports and records prepared or maintained pursuant to this Code will be considered confidential and shall be maintained and protected accordingly. Except as otherwise required by law or this Code, such matters shall not be disclosed to anyone other than the appropriate Board and its counsel.

 
VIII.INTERNAL USE

 

The Code is intended solely for the internal use by the Funds and does not constitute an admission, by or on behalf of any Company, as to any fact, circumstance, or legal conclusion.

 

EXHIBIT A

 

COVERED OFFICERS

 

Jan F. van Eck, Chief Executive Officer, VanEck Funds, VanEck VIP Trust and VanEck Vectors ETF Trust

 

John J. Crimmins, Treasurer & Chief Financial Officer, VanEck Funds, VanEck VIP Trust and VanEck Vectors ETF Trust

 
EX-99.CERT 34 c95037_ex99-cert.htm

Exhibit 99.CERT

 

CERTIFICATIONS

 

I, Jan F. van Eck, Chief Executive Officer, certify that:

 

1.     I have reviewed this report on Form N-CSR of VanEck Vectors ETF Trust;

 

2.     Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

 

3.     Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations, and changes in net assets, of the registrant as of, and for, the periods presented in this report;

 

4.     The registrant’s other certifying officer and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal controls over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:

 

(a)     Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

 

(b)     Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

 

(c)     Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report based on such evaluation; and

 

(d)     Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the period covered by this report that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

 

5.     The registrant’s other certifying officer and I have disclosed to the registrant’s auditors and the audit committee of the registrant’s Board of Trustees (or persons performing the equivalent functions):

 

(a)     All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize, and report financial information; and

 

(b)     Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

 

Date: March 9, 2020  
   
  /s/ Jan F. van Eck
  Jan F. van Eck
  Chief Executive Officer
 

I, John J. Crimmins, Treasurer and Chief Financial Officer, certify that:

 

1.     I have reviewed this report on Form N-CSR of VanEck Vectors ETF Trust;

 

2.     Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

 

3.     Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations, and changes in net assets, of the registrant as of, and for, the periods presented in this report;

 

4.     The registrant’s other certifying officer and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal controls over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:

 

(a)     Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

 

(b)     Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

 

(c)     Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report based on such evaluation; and

 

(d)     Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the period covered by this report that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

 

5.     The registrant’s other certifying officer and I have disclosed to the registrant’s auditors and the audit committee of the registrant’s Board of Trustees (or persons performing the equivalent functions):

 

(a)     All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize, and report financial information; and

 

(b)     Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

 

Date: March 9, 2020  
   
  /s/ John J. Crimmins
  John J. Crimmins
  Treasurer & Chief Financial Officer
 
EX-99.906 CERT 35 c95037_ex99-906cert.htm

EX99-906CERT

 

CERTIFICATION

 

Pursuant to Section 906 of the Sarbanes-Oxley Act of 2002 (subsections (a) and (b) of section 1350, chapter 63 of title 18, United States Code), each of the undersigned officers of VanEck Vectors ETF Trust (comprising of Africa Index ETF, Brazil Small-Cap ETF, ChinaAMC CSI 300 ETF, ChinaAMC SME-ChiNext ETF, Egypt Index ETF, India Small-Cap Index ETF, Indonesia Index ETF, Israel ETF, Russia ETF, Russia Small-Cap ETF, Vietnam ETF, Agribusiness ETF, Coal ETF, Gold Miners ETF, Junior Gold Miners ETF, Low Carbon Energy ETF, Natural Resources ETF, Oil Refiners ETF, Oil Services ETF, Rare Earth/Strategic Metals ETF, Steel ETF, Unconventional Oil & Gas ETF, and Uranium+Nuclear Energy ETF), do hereby certify, to such officer’s knowledge, that:

 

The annual report on Form N-CSR of VanEck Vectors ETF Trust for the period ending December 31, 2019 (the “Form N-CSR”) fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934 and information contained in the Form N-CSR fairly presents, in all material respects, the financial condition and results of operations of Market Vectors ETF Trust.

 

Dated: March 9, 2020 /s/ Jan F. van Eck
  Jan F. van Eck
  Chief Executive Officer
  VanEck Vectors ETF Trust
   
Dated: March 9, 2020 /s/ John J. Crimmins
  John J. Crimmins
  Treasurer & Chief Financial Officer
  VanEck Vectors ETF Trust

 

This certification is being furnished solely pursuant to 18 U.S.C. ss. 1350 and is not being filed as part of the Report or as a separate disclosure document.