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  1. 5 New ETFs That Capture 2025’s Biggest Investment Themes
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5 New ETFs That Capture 2025’s Biggest Investment Themes

Zandile ChiwanzaOct 13, 2025
2025-10-13

In a year marked by shifting interest rates, evolving credit markets, and growing investor appetite for alternative assets, several new funds have debuted, each designed to meet the changing needs of today’s diversified portfolios.

Man Group Enters U.S. Market With Actively Managed Credit ETFs

At a time when income-focused investors are grappling with volatile fixed income markets, London-based Man Group has launched its first U.S.-listed ETFs, the Man Active High Yield ETF (MHY) and the Man Active Income ETF (MANI).

Rising interest rates prompt caution in traditional bond sectors. Meanwhile, actively managed credit funds like MHY and MANI offer potential opportunities to capitalize on selective credit exposures and income generation. Both funds, listed on NYSE Arca, come with expense ratios of 0.69% and 0.85%, respectively. That reflects the premium for active management in a challenging yield environment.


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Grayscale Lists First Multi-Asset Crypto ETF

Amid surging institutional interest, Grayscale Investments introduced the Grayscale CoinDesk Crypto 5 ETF (GDLC), the first multi-asset crypto exchange-traded product (ETP) to provide diversified exposure to the largest digital currencies. With increasing institutional participation and regulatory clarity improving, GDLC offers a timely vehicle for investors looking to access the crypto space beyond bitcoin. The fund tracks the CoinDesk 5 Index. That index in turn tracks an index with smaller weightings in Ripple’s XRP, solana, and cardano, recently converted from an LLC. GDLC carries an expense ratio of 0.59%.

Simplify’s Private Credit ETF Meets Rising Demand for Alternative Income

Simplify Asset Management’s newest fund, the Simplify VettaFi Private Credit Strategy ETF (PCR) launches amid heightened investor interest in private credit, driven by traditional fixed income’s compressed yields and ongoing search for income alternatives. Private credit has been gaining momentum. It’s an asset class that can provide attractive yields with different risk drivers compared to public bonds. PCR’s strategy focuses on business development companies (BDCs) and closed-end funds (CEFs) investing in private credit. Thus, it offers a blend of income and capital appreciation. The fund’s 0.76% net expense ratio is positioned competitively given its niche focus and added hedge designed to mitigate volatility.

Vanguard’s Emerging Markets ex-China ETF Debuts

At a time when geopolitical uncertainties and regulatory challenges have prompted some investors to seek emerging market exposure outside of China, Vanguard has introduced the Vanguard Emerging Markets ex-China ETF (VEXC). Additionally, expectations of further interest rate cuts globally could support EM asset performance, making VEXC’s timing particularly relevant. The fund offers a low-cost option to capture growth potential across a broad range of emerging economies, excluding China. Thereby, it appeals to investors looking for regional diversification within EM equities. VEXC carries an expense ratio of 0.07%.

VettaFi.com is owned by VettaFi LLC (“VettaFi”). VettaFi is the index provider for PCR, for which it receives an index licensing fee. However, PCR is not issued, sponsored, endorsed, or sold by VettaFi. VettaFi has no obligation or liability in connection with the issuance, administration, marketing, or trading of PCR.

Originally published by Advisor Perspectives

For more information, please visit VettaFi.com | ETF Trends.

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