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Market Vectors ETFs Announce June 2013 Distributions

The Market Vectors ETF Trust announced regular monthly distributions for its six municipal income ETFs and its income-oriented ETFs.

The following dates apply to distribution declarations for the funds listed below:



Record Date


Payable Date

July 1, 2013 July 3, 2013 July 8, 2013









Distribution Amount

Per Share

Market Vectors Intermediate Municipal Index ETF      


      Monthly       $0.0481
Market Vectors Long Municipal Index ETF


Monthly $0.0632
Market Vectors Short Municipal Index ETF


Monthly $0.0195
Market Vectors High-Yield Municipal Index ETF


Monthly $0.1526
Market Vectors Pre-Refunded Municipal Index ETF


Monthly $0.0283
Market Vectors Emerging Markets Local Currency Bond ETF


Monthly $0.1000
Market Vectors Investment Grade Floating Rate ETF


Monthly $0.0116
Market Vectors LatAm Aggregate Bond ETF


Monthly $0.0900
Market Vectors Renminbi Bond ETF


Monthly $0.0715
Market Vectors CEF Municipal Income ETF


Monthly $0.1170
Market Vectors International High Yield Bond ETF


Monthly $0.1170
Market Vectors Fallen Angel High Yield Bond ETF


Monthly $0.1390
Market Vectors Emerging Markets High Yield Bond ETF


Monthly $0.1337
Market Vectors Preferred Securities Ex Financials ETF


Monthly $0.1568
Market Vectors Treasury-Hedged High Yield Bond ETF


Monthly $0.0567
Market Vectors Mortgage REIT Income ETF


Quarterly $0.6000
Market Vectors BDC Income ETF


Quarterly $0.2499

The majority, and possibly all, of these distributions will be paid out of net investment income earned by the Funds. A portion of this distribution may come from net short-term realized capital gains or return of capital.

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