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BondBloxx JP Morgan USD Emerging Markets 1-10 Year Bond ETF (XEMD)

Emerging Markets Bond | Exchange Traded Fund | Cboe US
44.57 USD -0.15 (-0.324%) ⇩ (July 13, 2026, 3:59 p.m. EDT)

Short-term:★★★⯪☆Long-term:★★★⯪☆Dividends:★★★★☆
Hot Take | July 11, 2026, 2:55 a.m. EDT

The emerging markets bond sector is currently offering a compelling risk-reward profile, anchored by a robust 5.79% yield that provides significant income cushion against potential currency or credit volatility. While the recent price action shows the fund trading near its 52-week highs, suggesting some short-term consolidation after a strong rally, the underlying trend remains constructive with three consecutive years of positive annual returns. The statistical forecast model indicates a very high confidence in a slight upward drift over the next 45 days, which aligns with the technical setup where the price is hovering just above its 50-day moving average. This convergence of attractive income, a solid multi-year uptrend, and positive short-term momentum makes this a prudent core holding for investors seeking diversification away from equities without sacrificing yield.

Model Selection — Backtest MAE (log-scale, lower is better)
ModelMAE
AutoTheta ✓0.002960
MSTL0.003380
AutoARIMA0.003549
AutoETS0.003690

Forecast horizon: 45 days | Selected: AutoTheta

Forecast Reliability
Score 82%
H-stat 0.22
Ljung-Box p 0.000
Jarque-Bera p 0.224
Excess Kurtosis -0.32

Dividend Data

Yield Summary
Last Yield 1yr Yield 3yr Avg 5yr Avg
0.44% 5.84% 6.24%
Dividend History
Date Dividend Yield %
2026-07-01 0.199 0.444911
2026-06-01 0.213 0.474705
2026-05-01 0.198 0.443449
2026-04-01 0.209 0.476516
2026-03-02 0.192 0.426477
2026-02-02 0.219 0.488403
2025-12-30 0.205 0.459384
2025-12-15 0.099 0.221923
2025-12-01 0.199 0.445888
2025-11-03 0.186 0.419108
2025-10-01 0.181 0.414615
2025-09-02 0.229 0.527650
2025-08-01 0.258 0.598469
2025-07-01 0.221 0.513416
2025-06-02 0.237 0.559913
2025-05-01 0.225 0.536468
2025-04-01 0.234 0.556811
2025-03-03 0.206 0.483568
2025-02-03 0.264 0.624172
2024-12-30 0.226 0.540153
2024-12-02 0.211 0.497994
2024-11-01 0.254 0.608456
2024-10-01 0.217 0.510276
2024-09-03 0.210 0.501157
2024-08-01 0.240 0.576826
2024-07-01 0.214 0.524638
2024-06-03 0.215 0.522022
2024-05-01 0.211 0.518708
2024-04-01 0.216 0.520984
2024-03-01 0.201 0.490543
2024-02-01 0.209 0.513880
2023-12-28 0.216 0.527975
2023-12-01 0.213 0.529587
2023-11-01 0.218 0.562726
2023-10-02 0.209 0.544966
2023-09-01 0.219 0.554824
2023-08-01 0.220 0.551544
2023-07-03 0.187 0.470381
2023-06-01 0.237 0.604499
2023-05-01 0.203 0.517923
2023-04-03 0.204 0.514100
2023-03-01 0.212 0.541300
2023-02-01 0.189 0.462532
2022-12-29 0.218 0.551201
2022-12-01 0.206 0.508190
2022-11-01 0.191 0.502817
2022-10-03 0.204 0.536264
2022-09-01 0.189 0.474648
2022-08-01 0.206 0.507327
Additional Data
trailingAnnualDividendRate 0.0
trailingAnnualDividendYield 0.0
dividendYield 5.79

Info Dump

Attribute Value
All Time High 45.41
All Time Low 37.07
Ask 70.85
Ask Size 5,100
Average Daily Volume10 Day 466,190
Average Daily Volume3 Month 215,009
Average Volume 215,009
Average Volume10Days 466,190
Beta3 Year 0.64
Bid 17.92
Bid Size 700
Category Emerging Markets Bond
Crypto Tradeable 0
Currency USD
Custom Price Alert Confidence HIGH
Day High 44.685
Day Low 44.53
Dividend Yield 5.79
Esg Populated 0
Exchange BTS
Exchange Data Delayed By 0
Exchange Timezone Name America/New_York
Exchange Timezone Short Name EDT
Fifty Day Average 44.78122
Fifty Day Average Change -0.21622086
Fifty Day Average Change Percent -0.0048283823
Fifty Two Week Change Percent 3.8327098
Fifty Two Week High 45.41
Fifty Two Week High Change -0.8450012
Fifty Two Week High Change Percent -0.018608263
Fifty Two Week Low 42.771
Fifty Two Week Low Change 1.7939987
Fifty Two Week Low Change Percent 0.041944277
Fifty Two Week Range 42.771 - 45.41
First Trade Date Milliseconds 1,656,595,800,000
Full Exchange Name Cboe US
Fund Family BondBloxx Investment Management
Fund Inception Date 1,656,374,400
Gmt Off Set Milliseconds -14,400,000
Has Pre Post Market Data 1
Language en-US
Legal Type Exchange Traded Fund
Long Business Summary Under normal circumstances, the fund will invest at least 80% of its net assets in emerging markets bonds with an average life of 1-10 years denominated in U.S. dollars, either directly or indirectly.
Long Name BondBloxx JP Morgan USD Emerging Markets 1-10 Year Bond ETF
Market us_market
Market State PRE
Max Age 86,400
Message Board Id finmb_1783964824
Nav Price 44.7583
Net Assets 982,907,840.0
Net Expense Ratio 0.29
Open 44.64
Phone (800) 896-5089
Previous Close 44.71
Price Hint 2
Quote Source Name Nasdaq Real Time Price
Quote Type ETF
Region US
Regular Market Change -0.145
Regular Market Change Percent -0.324313
Regular Market Day High 44.685
Regular Market Day Low 44.53
Regular Market Day Range 44.53 - 44.685
Regular Market Open 44.64
Regular Market Previous Close 44.71
Regular Market Price 44.565
Regular Market Time 1,783,972,790
Regular Market Volume 70,889
Short Name BondBloxx JP Morgan USD Emergin
Source Interval 15
Symbol XEMD
Three Year Average Return 0.1004511
Total Assets 982,907,840
Tradeable 0
Trailing Annual Dividend Rate 0.0
Trailing Annual Dividend Yield 0.0
Trailing Peg Ratio None
Trailing Three Month Nav Returns 3.96939
Trailing Three Month Returns 3.96939
Triggerable 1
Two Hundred Day Average 44.58706
Two Hundred Day Average Change -0.022060394
Two Hundred Day Average Change Percent -0.00049477123
Type Disp ETF
Volume 70,889
Yield 0.0579
Ytd Return 3.31814