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TD Alternative Commodities Pool-ETF Series

ETF
NAV/unit
as of May 12, 2026
$10.14

Value increased +$0.14   (+1.37%)

Closing price/unit
as of May 12, 2026
$

$0.00   (0.00%)

MER 
as of Dec 31, 2025
-
Assets
(in Millions)
$
Risk rating
Medium
Key documents

Fund Overview

Fund Objectives

The fundamental investment objective is to seek to generate capital growth with low correlation to equity and fixed income markets over the long term by capturing returns related to the commodity markets.The Fund uses a combination of conventional and alternative investment strategies, including the use of leverage created through exposure to derivatives, short selling and/or the use of borrowing. The aggregate gross exposure of the Fund’s leverage will not exceed the limits permitted under applicable securities legislation.

Investment Approach

The portfolio adviser seeks to achieve the fundamental investment objective of the Fund by investing primarily in one or a combination of commodity-linked derivative instruments including, but not limited to: swap agreements, futures, options on futures, commodity index-linked notes and commodity options that provide exposure to the investment returns of the commodity markets.The portfolio adviser may over-weight or under-weight itsexposure to a particular commodity, or a subset ofcommodities, in the Fund’s benchmark, such that theFund has greater or lesser exposure to a particularcommodity, or a subset of commodities, than isrepresented by the Fund’s benchmark. The portfolioadviser may also gain exposure to commodities outsideof the Fund’s benchmark. When determining the targetallocation for the strategy, the portfolio adviser may useproprietary qualitative or quantitative models. The targetallocations may include long, short, or no positions in theunderlying financial markets and commodities specified inthe models. The portfolio adviser may include investmentstyles that rely upon buy and sell signals generated fromtechnical analysis systems such as trend-patternrecognition, as well as from fundamental economicanalysis and relative value comparisons.

Key Facts

Portfolio Adviser
TD Asset Management Inc.
Category
Alternative Strategies
Benchmark
Bloomberg Commodity Index Canadian Dollar Hedged Daily Total Return

Benchmark Details

Max Mgmt Fee (%)
0.70
Total Fund Assets (Millions)**
(updated monthly) $
Asset Class
Commodity
Eligibility for Registered Plans
Yes
Ex-Dividend Date
Record Date
Pay Date
Daily Volume
(updated daily)
Units Outstanding
(updated daily)

Portfolio Analysis

Asset Mix


  • Sector Mix

    All sectors may not add up to 100% due to rounding.

  • Fund Geography

    All regions may not add up to 100% due to rounding.

  • Top Ten Holdings


  • Characteristics

    Number of Holdings
    (updated daily)
    Weighted Avg.
    (updated monthly)
  • Trading Information

    Ticker Symbol
    TCOM
    Exchange
    TSX
    Currency
    CAN
    Investment Program (Drip)
    Yes
    CUSIP#
    87809Q102
    SEDOL#
    NA
    ISIN
    CA87809Q1028

Fund documents and Resources

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Managers

Managing Director, Head of Asset Allocation, TDAM
Managing Director, Head of Commodities, TDAM
Vice President & Director, TD Asset Management Inc
Vice President, TD Asset Management Inc.

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Important Fund Information

NOTE: THIS TD ETF profile (the "Profile") IS NOT A REGULATORY ETF FACTS DOCUMENT AND IS FOR INFORMATIONAL PURPOSES ONLY. In contrast, ETF Facts are prescribed documents that are updated annually or more frequently as required (i.e., if there is an amendment, etc.). To access the ETF Facts, please download it from the Fund Documents and Resources section of the digital fund card page.

The performance and portfolio analysis information displayed in the Profile may have different as of dates as indicated 

The information contained in this Profile is based on information available as at the date indicated on the Profile page and does not necessarily reflect subsequent changes in market conditions. This information has been drawn from sources believed to be reliable. Graphs and charts are used for illustrative purposes only and do not reflect future values or future performance of any investment. The information does not provide financial, legal, tax or investment advice. This Profile does not provide financial, legal, tax or investment advise. Particular investment, tax, or trading strategies should be evaluated relative to each individual objectives and risk tolerance. 

The Growth Data Table represents a hypothetical investment of the ETF over the last 10 years, or from the last day of the since inception month for ETFs with less than 10 years of performance history.

The Top Ten Holdings may change due to ongoing portfolio transactions within the ETF.

The MER percentage is based on actual expenses reported in the ETF's most recent Semi-Annual or Annual Management Report of Fund Performance. expressed on an annualized basis. 

Commissions, management fees and expenses all may be associated with investments in exchange-traded funds (ETFs). Please read the prospectus and the ETF Facts before investing. ETFs are not guaranteed, their values change frequently and past performance may not be repeated. ETF units are bought and sold at market price on a stock exchange and brokerage commissions will reduce returns. Index returns do not represent TD ETF returns. The indicated rates of return are the historical total returns for the periods including changes in unit value and reinvestment of all distributions and do not take into account redemption, commission charges or income taxes payable by any unitholder that would have reduced returns. Past performance may not be repeated.  

TD ETFs are managed by TD Asset Management Inc., a wholly-owned subsidiary of The Toronto-Dominion Bank.

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