KraneShares Asia Pacific High Income USD Bond ETF(KHYB · ETF)

ETF quote, holdings, sector allocation, technicals, and options analytics.

Market data may be delayed, incomplete, or inaccurate. Not a recommendation to buy, sell, or hold any security. Verify quotes with your broker before trading. See Terms §17.

Snapshot
$24.16
52-Week Range
$23.51 – $24.88
YTD
-1.51%
IV Rank (30D)
71.52
Straddle Price
$2.25
P/C Vol Ratio
0.00
Info

KraneShares Asia Pacific High Income USD Bond ETF (KHYB) ETF

Exchange
ARCX
Inception
2018-06-26
Has Options
Yes
ETF Profile
holdings as of 2026-03-31
Holdings
71
AUM
$17.2M
Provider
Unknown
Inception
2018-06-26
Exchange
ARCX
Data As Of
2026-03-31
Expense Ratio
Dividend Yield
8.14%
Distribution
Monthly
Recent distributions
Ex-Date Pay Date Amount Type
2026-05-28 2026-05-29 $0.1938 CD
2026-04-29 2026-04-30 $0.1938 CD
2026-03-30 2026-03-31 $0.1792 CD
2026-02-26 2026-02-27 $0.1864 CD
2026-01-29 2026-01-30 $0.1863 CD
2025-11-26 2025-11-28 $0.1716 CD
Asset Allocation
Top Holdings
top 50 of 71 holdings
Symbol Name Weight % Asset Class Country
Wynn Macau, Limited 2.62% Debt MO
MANAPPURAM FINANCE LIMITED 2.38% Debt IN
MUTHOOT FINANCE LIMITED 2.37% Debt IN
Studio City Finance Limited 2.33% Debt MO
KRUNG THAI BANK PUBLIC COMPANY LIMITED 2.32% Debt TH
Fortune Star (BVI) Limited 2.28% Debt CN
India Clean Energy Holdings 2.27% Debt IN
MEDCO CYPRESS TREE PTE. LTD. 2.21% Debt ID
STANDARD CHARTERED PLC 2.16% Debt GB
N/A 2.15% Debt HK
LONGFOR GROUP HOLDINGS LIMITED 2.15% Debt CN
Azure Power Energy Ltd 1.63% Debt IN
SAMMAAN CAPITAL LIMITED 1.50% Debt IN
MUANGTHAI CAPITAL PUBLIC COMPANY LIMITED 1.50% Debt TH
Wynn Macau, Limited 1.49% Debt MO
PIRAMAL FINANCE LIMITED 1.48% Debt IN
MONGOLIAN MINING CORPORATION 1.47% Debt MN
Islamic Republic of Pakistan 1.45% Debt PK
VEDANTA RESOURCES FINANCE II PLC 1.41% Debt IN
Fortune Star (BVI) Limited 1.35% Debt CN
India Cleantech Energy 1.31% Debt IN
VEDANTA RESOURCES FINANCE II PLC 1.25% Debt IN
SAN MIGUEL GLOBAL POWER HOLDINGS CORP. 1.25% Debt PH
HEALTH AND HAPPINESS (H&H) INTERNATIONAL HOLDINGS LIMITED 1.23% Debt CN
MGM China Holdings Limited 1.23% Debt MO
VEDANTA RESOURCES FINANCE II PLC 1.23% Debt IN
MELCO RESORTS FINANCE LIMITED 1.23% Debt HK
STANDARD CHARTERED PLC 1.21% Debt GB
NICKEL INDUSTRIES LIMITED 1.21% Debt ID
VEDANTA RESOURCES FINANCE II PLC 1.21% Debt IN
Golomt Bank JSC 1.21% Debt MN
IRB INFRASTRUCTURE DEVELOPERS LIMITED 1.20% Debt IN
Rakuten Group, Inc. 1.20% Debt JP
Nomura Holdings, Inc. 1.20% Debt JP
PETRON CORP. 1.19% Debt PH
GLP PTE. LTD. 1.19% Debt SG
IIFL FINANCE LIMITED 1.19% Debt IN
GC Treasury Center Company Limited 1.19% Debt TH
MUTHOOT FINANCE LIMITED 1.18% Debt IN
MUANGTHAI CAPITAL PUBLIC COMPANY LIMITED 1.18% Debt TH
Wynn Macau, Limited 1.18% Debt MO
FWD GROUP HOLDINGS LIMITED 1.18% Debt HK
Islamic Republic of Pakistan 1.17% Debt PK
GREENTOWN CHINA HOLDINGS LIMITED 1.17% Debt CN
FWD LIMITED 1.17% Debt HK
MELCO RESORTS FINANCE LIMITED 1.16% Debt HK
Trade and Development Bank of Mongolia JSC 1.16% Debt MN
MINERAL RESOURCES LIMITED 1.15% Debt AU
MELCO RESORTS FINANCE LIMITED 1.15% Debt HK
GLP China Holdings Limited 1.15% Debt CN
Fund Holdings
KraneShares Asia Pacific High Income USD Bond ETF · NPORT-P period 2026-03-31 (filed 2026-02-27)
Net assets: $17M · 71 total positions · equity 0.00% · non-equity 95.28%
Non-equity holdings — 71 positions, 95.28% of NAV
Category Weight Value Positions
Non-US Sovereign 93.78% $16.1M 69
Corporate 1.49% $255241 1
Derivative (FX) 0.01% $2339 1
Price History
Seasonality
MonthAvg ReturnYears of Data
Jan -0.77% 5
Feb -1.02% 5
Mar -1.26% 5
Apr -0.47% 5
May -0.73% 5
Jun -0.50% 5
Jul +0.20% 4
Aug -0.16% 5
Sep -1.23% 5
Oct -2.17% 5
Nov +2.44% 5
Dec -1.54% 5
Technical Indicators

Quick-reference for reading the values below. Indicators combine to confirm a view — no single one is a trade signal on its own.

Trend Indicators
  • SMA 20 / 50 / 200 — price above = uptrend, below = downtrend. SMA 50 crossing SMA 200 is the golden/death cross.
  • EMA 12 / 26 — faster-reacting averages; 12 above 26 is short-term bullish.
  • MACD — bullish when MACD > signal (green badge), bearish when below. Divergence from price often precedes reversals.
  • ADX (14) — trend strength regardless of direction. <20 range, 20–25 weak trend, 25–50 trend, >50 strong trend.
  • +DI / −DI — +DI > −DI favors bulls; the reverse favors bears. Read alongside ADX.
Momentum Oscillators
  • RSI (14) — <30 oversold, >70 overbought. 40–60 is neutral; trending names can stay extreme.
  • Stochastic %K / %D — <20 oversold, >80 overbought. %K crossing %D is an early momentum signal.
  • Williams %R — inverted scale: <−80 oversold, >−20 overbought.

Oscillators work best in range-bound markets; in strong trends they give premature reversal signals.

Volume & Volatility
  • Bollinger Bands — price at upper band = overbought, lower = oversold. Narrow bands (squeeze) often precede expansion.
  • OBV — cumulative volume; rising OBV confirms uptrend, falling OBV confirms downtrend. Divergence from price is a warning.
  • Vol SMA 20 / Vol ROC — today's volume vs. 20-day average. Positive ROC with price move = conviction.
  • ATR / True Range — average daily $ move; sizing and stop-loss reference.
  • HV 20 / 30 / 60 — realized (historical) volatility. Compare to IV on the options cards: IV > HV = rich premium.

Confluence matters: trend + momentum + volume agreeing carries far more weight than any single indicator. For how these feed the spread scanner score, see the algorithm docs →

Trend Indicators
SMA 20: $24.14
SMA 50: $24.16
SMA 200: $24.40
Current: $24.15
EMA 12: $24.13
EMA 26: $24.15
MACD: -0.0113 | Signal: -0.0018
BEARISH
ADX (14): 9.61
RANGE
+DI: 40.83
−DI: 31.24
Momentum Oscillators
RSI (14): 50.27
NEUTRAL
Stoch %K: 21.73
Stoch %D: 17.04
Williams %R: -72.73
Volume & Volatility
BB Upper: $24.27
BB Lower: $24.01
NEUTRAL
OBV: 11,283
Vol SMA 20: 4,313
Vol ROC: -57.76%
ATR: $0.07
True Range: $0.06
HV 20: 4.4%
HV 30: 4.1%
HV 60: 6.3%

Data Summary
Data Points: 500
Last Updated: 2026-06-12T21:15:16.376000
Date Range: 2024-06-14T00:00:00 – 2026-06-12T00:00:00
AI Analysis

Choose Frenzy-Fast™ for quick analysis or Frenzy-Pro™ for comprehensive analysis.

Analysis includes technical indicators, news sentiment, risk assessment, and specific price levels to watch.

News
Options Activity
IV Rank (30D)
71.52
IV Rank (7D)
17.15
Avg IV
60.3%
Straddle (30D)
$2.25
Straddle (7D)
$1.93
P/C Volume
0.00
Spread Scanner GPU

Each spread is ranked by a composite score built in three stages. Full documentation →

Stage 1 — Base Score (GPU scanner)

score = P(profit) × (credit / spread_width)
P(profit) from short leg delta (1 − |delta|), penalised above 85%. Credit uses mid-price to handle illiquid chains fairly.

Stage 2 — Skew Adjustment (±25% cap)

RR25 and BF25 from the live options chain. Put skew boosts bull puts, penalises bear calls. High butterfly boosts iron condors. Calendars are skew-neutral.

Stage 3 — Technical Overlay (±50% cap, 5 groups)
Group 1 · Directional Bias (±0.25)
  • RSI <40 bullish / >60 bearish
  • MACD crossover + histogram trend
  • Price vs SMA 50 & SMA 200
Group 2 · Momentum (±0.10)
  • Stochastic %K <20 / >80
  • Williams %R <−80 / >−20
Group 3 · Volatility (up to −0.25 / +0.15)
  • Blended ATR + straddle expected-move penalty
  • Bollinger Band signal (+ counter-trend penalty)
  • BB width — vol contraction boost for ICs
Group 4 · IV Regime (±0.15)
  • IV rank ≥ 75 → strong boost for credit spreads
  • IV rank < 25 → penalty (selling cheap vol)
Group 5 · Liquidity (penalty up to −0.10)
  • Min open interest across all legs
  • OI < 100 → −0.10 · OI < 500 → −0.05

score = base_score × skew_multiplier × tech_multiplier
Both multipliers are shown per spread. Beta is informational only — ATR already captures realized vol. Full algorithm documentation →

Enter a ticker to scan for optimal spread opportunities.

Evaluates all bull put, bear call, iron condor, and calendar spread combinations using GPU-accelerated analysis.

Volatility Surface

Enter a ticker to render the implied volatility surface.

IV Rank (7 DTE)
IV Rank (30 DTE)
Straddle Price (30 DTE)
Beta Analysis
Beta (1Y vs SPY)
0.18
Correlation (SPY)
51.1%
0.26
Ann. Volatility
4.4%
SPY Volatility
12.3%

Low volatility - stock moves less than market

Beta & Alpha Over Time
Constituent Performance

Click any bar to view the full quote for that stock.

Constituents
Symbol Price 1 Day 1 Week 1 Month