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CEMB - iShares J.P. Morgan EM Corporate Bond ETF (USD) (US4642862514)

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(%)
US4642862514
CEMB ISIN
Exchange Traded Funds (ETF)
Type of fund
BlackRock
Provider
45.12 USD
NAV per Share | 24/07/2026
17/04/2012
Inception Date
12 times per year
Dividend payments
CEOJLS
CFI
CEMB
Ticker
Formed
Status
Fixed Income
Investment category
Corporate bonds
Sector
Emerging markets
Investor locations
J.P. Morgan CEMBI Broad Diversified Core Index
Benchmark
0.5 %
Total Cost Ratio
Physical
Replication method
397.15 mln USD
Fund NAV | 23/07/2026
No
UCITS

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Yield on 24/07/2026, Cboe BZX Exchange

  • YTD
    0.79 %
  • 1M
    -0.75 %
  • 3M
    -0.61 %
  • 6M
    1.44 %
  • 1Y
    6.91 %
  • 3Y
    22.45 %
  • 5Y
    6.4 %
  • 10Y
    -
At the price on the exchange, taking into account income payments

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Price dynamics

Fund profile

The iShares J.P. Morgan EM Corporate Bond ETF seeks to replicate as close as possible the price and yield performance of the J.P. Morgan CEMBI Broad Diversified Core Index by investing in a portfolio comprised primarily of USD-denominated, emerging market corporate bonds

CEMB profile

The iShares J.P. Morgan EM Corporate Bond ETF (USD) is a(n) Fixed Income Exchange Traded Funds (ETF) seeks to invest in Corporate bonds sector located in Emerging markets. The BlackRock fund’s base currency is USD and the share class was registered 17.04.2012 with unique ISIN - US4642862514. Main exchange is Cboe BZX Exchange and ticker symbol is CEMB. The total expense ratio is 0.5%. The iShares J.P. Morgan EM Corporate Bond ETF (USD) pays dividends 12 time(s) per year.

Structure CEMB on 14/05/2026

Paper Value
BLK CSH FND TREASURY SL AGENCY 0.47%
Digicel International Finance, 8.625% 1aug2032, USD 0.42%
ICBC, 3.2% perp., USD 0.4%
Sands China, 5.4% 8aug2028, USD 0.36%
YPF, 8.25% 17jan2034, USD 0.35%
Ecopetrol, 8.875% 13jan2033, USD 0.32%
PT Freeport Indonesia, 5.315% 14apr2032, USD 0.3%
First Quantum Minerals, 6.375% 15feb2036, USD 0.3%
TSMC, 2.25% 23apr2031, USD 0.29%
Samarco Mineracao, 4% 30jun2031, USD 0.28%
First Quantum Minerals, 8.625% 1jun2031, USD 0.27%
ORLEN, 6% 30jan2035, USD (C) 0.26%
Ecopetrol, 8.375% 19jan2036, USD 0.26%
OCP SA, 6.75% 2may2034, USD 0.26%
Kuwait Finance House, 5.011% 17jan2029, USD 0.25%
KazMunayGas, 5.375% 24apr2030, USD 0.25%
Wynn Macau, 5.625% 26aug2028, USD 0.25%
Ecopetrol, 6.875% 29apr2030, USD 0.25%
Teva Pharmaceutical Industries, 4.1% 1oct2046, USD 0.25%
Ecopetrol, 7.75% 1feb2032, USD 0.25%
Azule Energy Holdings, 8.125% 23jan2030, USD 0.24%
Naspers, 3.061% 13jul2031, USD 0.23%
Niagara Energy S.A.C, 5.746% 3oct2034, USD 0.23%
KazMunayGas, 6.375% 24oct2048, USD 0.23%
Altice International, 5.75% 15aug2029, USD 0.22%
OCP SA, 7.5% 2may2054, USD 0.22%
Saudi Arabian Oil, 3.5% 16apr2029, USD 0.22%
Aes Panama, 4.375% 31may2030, USD (A) 0.22%
Grupo Nutresa, 9% 12may2035, USD 0.22%
TULLOW HOLDCO 2 LTD 144A 0.21%
Las Vegas Sands Corp, 5.625% 15jun2028, USD 0.21%
Telecom Argentina, 9.25% 28may2033, USD 0.21%
Czechoslovak Group, 6.5% 10jan2031, USD 0.21%
Central American Bottling Corporation, 5.25% 27apr2029, USD 0.21%
Standard Chartered Bank, 6.301% 9jan2029, USD 0.21%
Qatar Islamic Bank, 5.581% 22nov2028, USD (24) 0.21%
Grupo Nutresa, 8% 12may2030, USD 0.21%
AZULE ENERGY FINANCE, 8.25% 22jan2031, USD 0.21%
OCP SA, 6.7% 1mar2036, USD 0.21%
First Quantum Minerals, 8% 1mar2033, USD 0.21%
Bangkok Bank (Hong Kong Branch), 3.733% 25sep2034, USD 0.21%
KazMunayGas, 5.75% 19apr2047, USD (12) 0.21%
VEON Holdings, 3.375% 25nov2027, USD (7) 0.2%
TSMC GLOBAL LTD, 1.375% 28sep2030, USD 0.2%
OCBC, 4.55% 8sep2035, USD (67) 0.2%
Wynn Macau, 5.125% 15dec2029, USD 0.2%
Kuwait Finance House, 4.563% 13jan2031, USD 0.2%
Tencent Holdings, 3.975% 11apr2029, USD (15) 0.2%
Melco Resorts Finance, 5.375% 4dec2029, USD 0.2%
QNB Finance Ltd, 4.5% 24jul2030, USD 0.2%
Sable Holding Limited, 7.125% 15oct2032, USD 0.2%
Bank Hapoalim, 4.722% 14jul2029, USD 0.2%
Qatar National Bank, FRN 2apr2029, USD (489) 0.2%
DBS Group Holdings Ltd, FRN 21mar2028, USD 0.2%
Qatar National Bank, 4.875% 30jan2029, USD (480) 0.2%
Wynn Macau, 6.75% 15feb2034, USD 0.2%
TSMC Arizona, 2.5% 25oct2031, USD 0.2%
Bangkok Bank (Hong Kong Branch), 6.056% 25mar2040, USD 0.2%
Telekom Srbija, 7% 28oct2029, USD 0.2%
Teva Pharmaceutical Industries, 5.125% 9may2029, USD 0.19%
Millicom International Cellular, 4.5% 27apr2031, USD 0.19%
Indofood CBP Sukses Makmur, 3.398% 9jun2031, USD 0.19%
Vista Energy Argentina, 8.5% 10jun2033, USD 0.19%
Ecopetrol, 5.875% 28may2045, USD 0.19%
Naspers, 3.68% 21jan2030, USD 0.19%
Prosus, 3.832% 8feb2051, USD 0.18%
Bangkok Bank (Hong Kong Branch), 3.466% 23sep2036, USD 0.18%
Reliance Industries, 2.875% 12jan2032, USD 0.18%
Teva Pharmaceutical Industries, 6.75% 1mar2028, USD 0.18%
Genting Malaysia, 3.882% 19apr2031, USD 0.18%
Saudi Arabian Oil, 2.694% 17jun2031, USD 0.18%
Latam Airlines, 7.875% 15apr2030, USD 0.18%
Ecopetrol, 8.625% 19jan2029, USD 0.18%
Tenaga Nasional, 4.851% 1nov2028, USD (2) 0.18%
Saudi Arabian Oil, 4.25% 16apr2039, USD 0.18%
TSMC Arizona, 4.25% 22apr2032, USD 0.17%
TSMC, 1.75% 23apr2028, USD 0.17%
Can-Pack, 3.875% 15nov2029, USD 0.17%
Telecom Argentina, 9.5% 18jul2031, USD 0.17%
Studio City Finance, 5% 15jan2029, USD 0.17%
Kuwait Finance House, 6.25% perp., USD 0.16%
Ivanhoe Mines, 7.875% 23jan2030, USD 0.16%
Banco de Credito del Peru, 6.45% 30jul2035, USD 0.16%
Ecopetrol, 4.625% 2nov2031, USD 0.16%
First Quantum Minerals, 7.25% 15feb2034, USD 0.16%
SK Hynix, 5.5% 16jan2029, USD 0.16%
Cable & Wireless Communications, 9% 15jan2033, USD 0.16%
Bangkok Bank (Hong Kong Branch), 5.65% 5jul2034, USD (11) 0.16%
Nickel Industries, 9% 30sep2030, USD 0.16%
HTA Holdings, 7.5% 4jun2029, USD 0.16%
Erdemir, 8.375% 23jul2029, USD 0.16%
OTP Bank, 7.3% 30jul2035, USD (14) 0.16%
Hunt Oil Company of Peru, 7.75% 5nov2038, USD 0.16%
Vedanta Resources, 10.875% 17sep2029, USD 0.16%
Paiton Energy, 4.625% 10aug2030, USD 0.16%
Standard Chartered Plc, 7.767% 16nov2028, USD 0.16%
TSMC Arizona, 3.125% 25oct2041, USD 0.16%
Reliance Industries, 3.625% 12jan2052, USD 0.16%
TSMC Arizona, 4.5% 22apr2052, USD 0.16%
YPF, 9.5% 17jan2031, USD 0.16%
Other - %

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