Commodities Ex Crypto (US Tax)

Strategy Description

Exposure to commodities allows investors to take advantage of 4 key global trends:

  • Sustainability the move to carbon neutrality requires more copper, iron ore, silver, nickel, cobalt, aluminum, etc. This is positive for industrial metals and provides a long-term tailwind
  • Infrastructure the US needs to upgrade infrastructure and China has not developed many parts of the interior. Commodities are required for both countries’ growth / infrastructure plans.
  • Supply producers have carefully managed capex to improve bottom lines and ESG scores, as well as to prepare for a fossil-free world. This limited supply cannot be resolved overnight.
  • Inflation & USD weakness since commodities are finite and priced in USD, their inclusion in portfolios can improve returns in a world of monetary supply expansion and potential inflation.

This strategy invests across the commodity spectrum – precious and industrial metals, agriculture commodities and energy markets.

Daily transparency and liquidity; implementation is via low-cost ETFs to minimize costs.

Portfolio Performance

20212022202320242025YTD
Portfolio (%)6.676.66-2.877.7338.199217.4932
Annualized ReturnStandard DeviationDividend Yield
Portfolio13.236785101651%18.240913310121%0%

Allocation Breakdown

Asset Class


Equity0
Fixed Income0
Commodities99.5%
Cash0.5%

Geo


North America100%
Greater Europe0
Other0

Sector


Energy12.733083344547%
Gold26.382880314311%
Silver16.741018877493%
Industrial Metals22.061406170526%
Grains9.15058314772%
Softs3.9687352955309%
Livestock2.4382823072996%
Rare Earth and Strategic Metals6.0199805812988%

Top Holdings

Asset ClassWeight (%)
1. State Street SPDR Bloomberg Enhanced Roll Yield Commodity Strategy No K-1 ETF43.26%
2. SPDR Gold MiniShares Trust19.94%
3. Invesco DB Base Metals Fund15.24%
4. abrdn Physical Silver Shares ETF15.04%
5. VanEck Rare Earth and Strategic Metals ETF6.02%

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