us en false false Default
Skip directly to Accessibility Notice
CMCI VanEck CMCI Commodity Strategy ETF Please read important disclosure Close important disclosure false

CMCI
VanEck CMCI Commodity Strategy ETF

CMCI
VanEck CMCI Commodity Strategy ETF

  • NAV
    $26.31

    as of December 05, 2025
  • YTD RETURNS
    8.53%

    as of December 05, 2025
  • Total Net Assets
    $2.63M

    as of December 05, 2025
  • Gross Expense Ratio
    4.40%
  • Net Expense Ratio
    0.65%
  • Inception Date
    08/21/2023

About CMCI

VanEck CMCI Commodity Strategy ETF seeks to track, before fees and expenses, the performance of the UBS Constant Maturity Commodity Total Return Index, a diversified commodity index that allocates across maturities with the aim of minimizing exposure to the front end of the futures curves and mitigating the impact of negative roll yield in contango environments.

Overview

Why CMCI

  • Seeks improved roll returns with constant exposure across futures maturities
  • Diversified across 29 commodities and five sectors
  • No K-1s, investor-friendly tax reporting

Performance

Performance History:

Average Annual Total Returns* (%)

  1 MO 3 MO YTD 1 YR 3 YR 5 YR 10 YR LIFE
08/21/23
CMCI (NAV) 0.39 2.38 7.27 8.22 -- -- -- 4.25
CMCI (Share Price) 0.17 2.30 6.59 8.13 -- -- -- 4.26
CMCITR (Index) 0.50 2.67 8.34 9.39 4.31 13.45 8.21 5.31
Performance Differential (NAV - Index) -0.11 -0.29 -1.07 -1.17 -- -- -- -1.06
  1 MO 3 MO YTD 1 YR 3 YR 5 YR 10 YR LIFE
08/21/23
CMCI (NAV) 0.54 2.58 5.34 4.73 -- -- -- 3.69
CMCI (Share Price) 0.81 2.73 5.03 5.11 -- -- -- 3.88
CMCITR (Index) 0.62 2.82 6.17 5.86 6.31 14.76 7.32 4.74
Performance Differential (NAV - Index) -0.08 -0.24 -0.83 -1.13 -- -- -- -1.05

Prices as of 12/05/2025

NAV/
Market
Price
Volume
30-Day Avg./
Last Trading Day
Daily Change
NAV/
Last Price
YTD Change NAV/
Last Price
Premium/
Discount
30-Day
Median
Bid Ask
Spread
NAV
Chart
CMCI $26.31
$26.36
708
88
$0.14 / +0.54%
$0.14 / +0.55%
+8.53%
+8.00%
$0.05
0.21%
0.94%

Fees

Holdings

Daily Holdings (%) as of 12/04/2025

Download XLS Get holdings
Total Holdings: 19
Ticker
Holding Name
Identifier (FIGI)
Maturity Coupon Contracts/Shares Asset Class Market Value
(US$)
Notional Value (US$) % of Net
Assets
912797PM3
United States Treasury Bill
BBG01S6Z6VD4
02/19/2026 -- 350,000 Bond 347,351 -- 13.27
912797RV1
United States Treasury Bill
BBG01WX1MT01
03/05/2026 -- 325,000 Bond 322,058 -- 12.31
912797PD3
United States Treasury Bill
BBG01RV9W4F5
01/22/2026 -- 275,000 Bond 273,671 -- 10.46
912797RU3
United States Treasury Bill
BBG01WRWM2K7
02/26/2026 -- 250,000 Bond 247,934 -- 9.47
912797RK5
United States Treasury Bill
BBG01W7BW7N0
01/29/2026 -- 200,000 Bond 198,899 -- 7.60
912797RL3
United States Treasury Bill
BBG01WCQ4B44
02/05/2026 -- 150,000 Bond 149,072 -- 5.70
912797RW9
United States Treasury Bill
BBG01WH843G4
12/09/2025 -- 125,000 Bond 124,947 -- 4.77
912797QY6
United States Treasury Bill
BBG01VBK92Q1
12/11/2025 -- 125,000 Bond 124,923 -- 4.77
912797RJ8
United States Treasury Bill
BBG01VXS1ZJ3
01/15/2026 -- 125,000 Bond 124,482 -- 4.76
912797RT6
United States Treasury Bill
BBG01WH843H3
02/12/2026 -- 125,000 Bond 124,140 -- 4.74
912797SD0
United States Treasury Bill
BBG01XG1J862
04/02/2026 -- 125,000 Bond 123,532 -- 4.72
912797PV3
United States Treasury Bill
BBG01SR0CQN1
03/19/2026 -- 100,000 Bond 98,967 -- 3.78
912797QD2
United States Treasury Bill
BBG01T8LCHN4
04/16/2026 -- 100,000 Bond 98,678 -- 3.77
912797SV0
United States Treasury Bill
BBG01YFVD558
05/21/2026 -- 100,000 Bond 98,342 -- 3.76
912797SX6
United States Treasury Bill
BBG01YQ45NL8
06/04/2026 -- 45,000 Bond 44,190 -- 1.69
912797SW8
United States Treasury Bill
BBG01YKHNF78
05/28/2026 -- 40,000 Bond 39,307 -- 1.50
912797RA7
United States Treasury Bill
BBG01VPVQGC7
01/02/2026 -- 25,000 Bond 24,929 -- 0.95
912797SB4
United States Treasury Bill
BBG01X05YWJ6
03/12/2026 -- 25,000 Bond 24,758 -- 0.95
--
Cmci Tr Swap
--
-- -- 1,520 Swap -- 2,616,982 --
--
Other/Cash
--
-- -- 0 Cash 26,581 -- 1.02
← Scroll for more information →
These are not recommendations to buy or to sell any security. Securities and holdings may vary.

Portfolio

Distributions

Distribution History

Year Ex-date Record
Date
Payable date Dividend
Income
Short-Term
Capital Gains
Long-Term
Capital Gains
Return of
Capital
Total
Distributions
2024 12/23/2024 12/23/2024 12/24/2024 $ 0.9600 -- -- -- $ 0.96
2023 12/18/2023 12/19/2023 12/22/2023 $ 0.3950 -- -- -- $ 0.40

All registered investment companies are obliged to distribute portfolio gains to shareholders at yearend regardless of performance. Trading VanEck ETFs will also generate tax consequences and transaction expenses. The information provided is not intended to be tax advice. Tax consequences of dividend distributions may vary by individual taxpayer. There is no guarantee that dividends will be paid. To receive a distribution, you must have been a registered shareholder of the relevant VanEck ETFs on the record date. Distributions are paid to shareholders on the payment date. Past distributions are not indicative of future distributions.

Certain distributions may constitute a return of capital, which will have the effect of reducing your cost basis in the Fund’s shares and thereby increasing the amount of capital gain, if any, or decreasing the amount of capital loss, if any, that you will realize when selling or exchanging Fund shares. The final determination of the tax characteristics cannot be determined until after each Fund’s yearend and are reported to shareholders on Form 1099-DIV. The form is mailed to shareholders shortly after calendar yearend specifying how the distributions paid by the Fund during the prior calendar year should be characterized for purposes of reporting the distribution on a shareholder’s tax return.

The tax treatment and characterization of the Fund’s distributions may vary significantly from time to time depending on whether the Fund has gains or losses on the securities in its portfolio. The Fund’s distributions will normally reflect past and projected net investment income, and may include income from dividends and interest, capital gains and/or a return of capital. The final composition of the tax characteristics of the distributions cannot be determined with certainty until after the end of the year, and will be reported to shareholders at that time. The amount of distributions will vary, depending on a number of factors. As portfolio and market conditions change, the rate of dividends may change. There can be no assurance that the Fund will be able to declare a dividend distribution in each period. Past performance is no guarantee of future results.

Click here to access more detailed yearend tax information

Team

Literature

CMCI