Vanguard Commodity Strategy Admiral (VCMDX)
NASDAQ · Mutual Fund · Delayed Price · Currency is USD  
29.46
 +0.24 (0.82%)
  Nov 3, 2025, 4:00 PM EST
0.82% (1Y)
| Fund Assets | 2.04B | 
| Expense Ratio | 0.16% | 
| Min. Investment | $50,000 | 
| Turnover | 52.00% | 
| Dividend (ttm) | 0.56 | 
| Dividend Yield | 1.90% | 
| Dividend Growth | -9.84% | 
| Payout Frequency | Annual | 
| Ex-Dividend Date | Dec 18, 2024 | 
| Previous Close | 29.22 | 
| YTD Return | 14.90% | 
| 1-Year Return | 15.60% | 
| 5-Year Return | 89.81% | 
| 52-Week Low | 24.80 | 
| 52-Week High | 29.48 | 
| Beta (5Y) | 0.30 | 
| Holdings | 58 | 
| Inception Date | Jun 25, 2019 | 
About VCMDX
The fund's advisor employs an active investment management approach to invest the fund's assets in commodity-linked investments, which are backed by a portfolio of inflation-linked investments and other fixed income securities. It invests in instruments that create long and short exposure to commodities, including commodity-linked total return swaps, commodity futures contracts and options on commodity futures contracts, commodity-linked structured notes, exchange-traded commodity pools or funds, and other commodity-linked derivative instruments. It is non-diversified.
Fund Family Vanguard
Category Commodities Broad Basket
Stock Exchange NASDAQ
Ticker Symbol VCMDX
Share Class Admiral Shares
Index Bloomberg Commodity TR
Performance
VCMDX had a total return of 15.60% in the past year, including dividends. Since the fund's inception, the average annual return has been 10.28%.
Top 10 Holdings
50.09% of assets| Name | Symbol | Weight | 
|---|---|---|
| Vanguard Cmt Funds-Vanguard Market Liquidity Fund - Vanguard Market Liquidity Fund | n/a | 12.88% | 
| United States Treasury Bill - TREASURY BILL | B.0 10.02.25 | 6.38% | 
| United States Treasury Inflation Indexed Bonds - TSY INFL IX N/B | TII.1.625 04.15.30 | 4.19% | 
| United States Treasury Inflation Indexed Bonds - TSY INFL IX N/B | TII.1.625 10.15.29 | 4.07% | 
| United States Treasury Inflation Indexed Bonds - TSY INFL IX N/B | TII.2.125 04.15.29 | 4.00% | 
| United States Treasury Inflation Indexed Bonds - TSY INFL IX N/B | TII.2.375 10.15.28 | 3.92% | 
| United States Treasury Inflation Indexed Bonds - TSY INFL IX N/B | TII.1.625 10.15.27 | 3.76% | 
| United States Treasury Inflation Indexed Bonds - TSY INFL IX N/B | TII.1.25 04.15.28 | 3.66% | 
| United States Treasury Inflation Indexed Bonds - TSY INFL IX N/B | TII.0.125 04.15.27 | 3.63% | 
| United States Treasury Inflation Indexed Bonds - TSY INFL IX N/B | TII.0.125 10.15.26 | 3.59% | 
Dividend History
| Ex-Dividend | Amount | Pay Date | 
|---|---|---|
| Dec 18, 2024 | $0.5559 | Dec 19, 2024 | 
| Dec 19, 2023 | $0.6166 | Dec 20, 2023 | 
| Dec 19, 2022 | $3.884 | Dec 20, 2022 | 
| Dec 20, 2021 | $8.385 | Dec 21, 2021 | 
| Dec 16, 2020 | $0.1336 | Dec 17, 2020 |