VanEck CM Commodity Index A (CMCAX)
NASDAQ · Mutual Fund
· Delayed Price · Currency is USD
69.28
+0.10 (0.14%)
Sep 26, 2025, 8:05 AM EDT
CMCAX Holdings List
As of Aug 31, 2025
No. | Symbol | Name | % Weight |
---|---|---|---|
1 | n/a | Cayman Commodity Index Fund Mutual Fund | 23.30% |
2 | B.0 10.16.25 | United States Treasury Bills 4.16% | 6.68% |
3 | B.0 11.20.25 | United States Treasury Bills 4.142% | 6.66% |
4 | B.0 11.28.25 | United States Treasury Bills 4.1675% | 6.65% |
5 | B.0 12.18.25 | United States Treasury Bills 4.151% | 6.64% |
6 | WIB.0 12.26.25 | United States Treasury Bills 4.111% | 6.63% |
7 | B.0 01.15.26 | United States Treasury Bills 4.123% | 5.79% |
8 | WIB.0 11.06.25 | United States Treasury Bills 4.075% | 5.00% |
9 | B.0 01.29.26 | United States Treasury Bills 4.125% | 4.96% |
10 | B.0 09.18.25 | United States Treasury Bills 4.095% | 4.19% |
11 | B.0 09.25.25 | United States Treasury Bills 4.08% | 4.19% |
12 | B.0 11.13.25 | United States Treasury Bills 4.115% | 4.16% |
13 | B.0 12.04.25 | United States Treasury Bills 4.151% | 4.16% |
14 | B.0 02.19.26 | United States Treasury Bills 3.9435% | 3.30% |
15 | TRPXX | Short-Term Investment Trust - Invesco Treasury Portfolio | 2.72% |
16 | B.0 01.02.26 | United States Treasury Bills 4.0955% | 2.49% |
17 | B.0 01.22.26 | United States Treasury Bills 4.125% | 2.48% |
As of Aug 31, 2025