Incrementum Active Commodity Fund

The Incrementum Active Commodity Fund:

Your long-term buy-and-hold investment in the commodity sector. The fund combines strategic investments in commodity stocks and corporate bonds in the commodity sector with dynamic, tactical exposure management through direct investments in commodity derivatives.

Diversification

Strategic allocation in stocks and corporate bonds across five commodity sub-sectors

Active Management

Tactical exposure management driven by a systematic approach

Cashflow

Three sources of cashflow from stock dividends, corporate bond coupons, and VolHarvesting returns

The asset allocation consists of three components:

  1. Strategic exposure in commodity stocks (50%): Diversified, equally weighted stock portfolio across five commodity sub-sectors

  2. Strategic exposure in corporate bonds in the commodity sector (40%): Investment-grade corporate bonds provide yield and reduce volatility

  3. Tactical commodity exposure (-50% to +100%): Managed via the Bloomberg Commodity Index Future using the Incrementum inflation signal
Incrementum Active Commodity Fund
NAVEUR 99.85
Fund Volume21.5 m EUR
Launch Date01.09.2026
Performance
Incrementum Active Commodity Fund -EUR-P-
Current NAV–
Perf. over period–
Perf. since inception–
Period –
Performance Overview and Risk Figures

Performance in %

No data available.

Monthly performance in %

No data available.

Risk Figures

Annualised Volatility14.69%
Sharpe Ratio-0.34
% Positive43.75%¹
Worst Period-1.07%
Best Period2.06%
Maximum Drawdown-2.87%
Number of observations16

¹ daily

Fund Allocation (at month end)

Asset Allocation*

* Delta adjusted

** Via Bloomberg Commodity Index Future & Commodity Stock Futures

*** Incl. short-term government bonds

Sector Allocation (Stocks)*

Agriculture12.5 %
Base Metals12.6 %
Energy13.1 %
Gold & Silver12.7 %
Commodity Trends12.5 %
Total63.4 %

* Delta adjusted

Fund Data and Costs

Fund Data as of 24.09.2026

NAVEUR 99.85
CurrencyEUR
ISINLI1577974697
WKNA42HK6
Bloomberg TickerIACFEUP LE
Investment approachStrategic commodity allocation with active exposure management
Launch date of fund20.02.2014
Launch date of unit class01.09.2026
Fund volume21.5 m EUR
Minimum investmentnone
Cut-off subscriptions and redemptionsDay prior to valuation day by no later than 12.00 noon (CET)
Liquiditydaily
Use of incomereinvested
Fund typeUCITS
Eligible as UCITS target fundyes
SFDR classificationArticle 6
SRI according to PRIIP KID4
Management companyIFM Independent Fund Management AG
FL-9494 Schaan
www.ifm.li
CustodianLiechtensteinische Landesbank AG
FL-9490 Vaduz
www.llb.li
Distribution to private investorsLI, DE, AT, LU
Distribution to professional investorsLI, DE, AT, CH, LU
Savings plan eligibleYes
Taxable value Austriayes
Taxable value AustriaTaxable value Austria
Taxable value Switzerlandyes
Taxable value SwitzerlandTaxable value Switzerland
Information taxable value GermanyInformation taxable value Germany

Costs

Issue premiummax. 5%
Management fee1.4%
Performance fee15.00%
HurdleBloomberg Commodity Index Total Return
High Water Markyes
Administration fee0.20% or min. CHF 40'000.-- p.a. plus CHF 5'000.-- p.a. per unit class from the 2nd unit class onwards
Depositary fee0.09% oder min. CHF 10'000.-- p.a. zzgl. Service-Fee von CHF 420.- per quarter
Legal Documents and Reports
Marketing Documents
Organisation and Distribution Partners

Organisation

Management companyIFM Independent Fund Management AG
FL-9494 Schaan
www.ifm.li
Asset ManagerIncrementum AG
FL-9494 Schaan
www.incrementum.li
DepositaryLiechtensteinische Landesbank AG
FL-9490 Vaduz
www.llb.li
AuditorErnst & Young AG
CH-3008 Bern
www.ey.com
Supervisory authorityFMA Finanzmarktaufsicht Liechtenstein
FL-9490 Vaduz
www.fma-li.li
Facility agent GermanyIFM Independent Fund Management AG
FL-9494 Schaan
www.ifm.li
Contact and information agent AustriaErste Bank der österreichischen Sparkassen AG
AT-1100 Wien
www.sparkasse.at
Facility agent LuxembourgIFM Independent Fund Management AG
FL-9494 Schaan
www.ifm.li

Distribution

Distribution to private investorsLI, DE, AT, LU
Distribution to professional investorsLI, DE, AT, CH, LU
Sales restrictionsUSA
Questions and Answers
What is the fund’s reference number?

Each share class has its own International securities identification number (ISIN). Select the desired share class from the list above and then click on the ‘Fund Data and Costs’ accordion.

Questions & Answers

Contact us!

You have questions about our product or want to arrange a personal meeting?

+423 237 26 66