Credit Suisse Commodity Return Strategy Fund Class C (CRSCX)
NASDAQ · Mutual Fund · Delayed Price · Currency is USD
25.09
+0.37 (1.50%)
At close: Apr 2, 2026

CRSCX Holdings Information

CRSCX is a mutual fund with a total of 48 individual holdings.

Total Holdings
48
Top 10 Percentage
56.37%
Asset Class
n/a
Fund Category
Commodities Broad Basket
Assets
1.34B
Forward PE Ratio
n/a

Breakdown by Asset Class

Top 25 Holdings

No.SymbolName WeightShares
1n/aCREDIT SUISSE CAYMAN COMMODITY12.42%8,161,323
2TF.0 04.30.26United States Treasury Notes 3.77288%7.41%100,000,000
3RY.0 09.16.26 0000Royal Bank of Canada 3.64%6.39%57,000,000
4BNP.0 11.23.26 MtNBNP Paribas SA 4.21%5.84%54,000,000
5BMO.0 12.29.26 0000Bk Montreal Medium Term Sr Nts Book 144A 3.67%5.50%52,700,000
6CM.V0 03.24.27 0000Canadian Imperial Bank of Commerce 3.64%4.88%57,000,000
7BAC.F 03.11.27 .BofA Finance LLC 3.67%4.09%50,000,000
8n/aGoldman Sachs Intl 03/27 Zcp3.78%49,000,000
9TF.0 01.31.28United States Treasury Notes 3.72188%3.10%41,800,000
10TF.0 04.30.27United States Treasury Notes 3.78288%2.97%40,000,000
11TF.0 01.31.27United States Treasury Notes 3.72088%2.59%35,000,000
12T.4.25 02.15.28United States Treasury Notes 4.25%1.88%25,000,000
13T.3.5 01.15.29United States Treasury Notes 3.5%1.88%25,300,000
14FFCB.F 08.01.28Federal Farm Credit Banks 3.9%1.87%25,100,000
15T.4.25 12.31.26United States Treasury Notes 4.25%1.86%25,000,000
16FHLB.F 07.14.28Federal Home Loan Banks 3.9%1.83%24,600,000
17FNMA.F 02.02.28Federal National Mortgage Association 3.76%1.82%24,600,000
18TF.0 07.31.27United States Treasury Notes 3.78188%1.78%24,000,000
19T.3.5 10.31.27United States Treasury Notes 3.5%1.77%23,800,000
20FHLMC.F 05.23.28Federal Home Loan Mortgage Corp. 3.89%1.76%23,700,000
21n/aSsc Government Mm Gvmxx1.73%23,338,624
22B.0 03.03.26United States Treasury Bills 0.01%1.70%23,000,000
23FHLB.3.5 09.09.27Federal Home Loan Banks 3.5%1.66%22,400,000
24TF.0 10.31.26United States Treasury Notes 3.82788%1.52%20,500,000
25T.4.375 08.15.26United States Treasury Notes 4.375%1.49%20,000,000
Showing 25 of 48 holdings
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As of Feb 28, 2026