Adams Diversified Equity Fund (ADX) Reports 18.9% Return for 2025, Outperforming Benchmark
Written by Emily J. Thompson, Senior Investment Analyst
Updated: Jan 15 2026
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Should l Buy ADX?
Source: Globenewswire
- Investment Return Highlight: Adams Diversified Equity Fund achieved an 18.9% net asset return in 2025, outperforming the S&P 500's 17.9% and leading its peer group by 2.4%, showcasing its strong investment management capabilities.
- Market Price Performance: The fund's total return on market price was 25.7%, significantly surpassing peers, reflecting high investor confidence and enhancing its competitive position in the market.
- Dividend Yield: In 2025, the fund paid $1.85 per share in income dividends, resulting in an annual distribution rate of 8.1%, providing stable cash flow for long-term investors and boosting investor confidence.
- Net Asset Value Growth: As of December 31, 2025, the fund's net assets reached $3.03 billion, a 13.7% increase from $2.66 billion in 2024, demonstrating effective asset management and market appeal.
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Analyst Views on ADX
Wall Street analysts forecast ADX stock price to rise
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Current: 22.970
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About ADX
Adams Diversified Equity Fund, Inc. (the Fund) is a diversified, closed-end investment company. The Fund is an internally managed fund whose investment objectives are preservation of capital, the attainment of reasonable income from investments, and an opportunity for capital appreciation. The Fund is an internally managed large-cap United States equity fund. The Fund invests at least 80% of its assets in highly liquid Standard and Poor's 500 (S&P 500) stocks. The Fund may invest up to 20% of assets in commodities (other than physical commodities), including swaps. The Fund invests in various sectors, such as communication services, consumer discretionary, consumer staples, energy, financials, health care, industrials, real estate, utilities, and information technology (IT).
About the author

Emily J. Thompson
Emily J. Thompson, a Chartered Financial Analyst (CFA) with 12 years in investment research, graduated with honors from the Wharton School. Specializing in industrial and technology stocks, she provides in-depth analysis for Intellectia’s earnings and market brief reports.

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- Investment Return Highlight: Adams Diversified Equity Fund achieved an 18.9% net asset return for 2025, outperforming the S&P 500's 17.9% and the Morningstar U.S. Large Blend Category's 16.2%, showcasing the fund's robust investment capabilities.
- Market Price Performance: The fund's total return on market price for 2025 was 25.7%, reflecting investor confidence and indicating its resilience amid market fluctuations.
- Dividend Yield: The fund distributed $1.85 per share in income dividends and realized capital gains, resulting in an annual distribution rate of 8.1%, providing investors with stable cash flow and enhancing the appeal of long-term holdings.
- Net Asset Value Growth: As of December 31, 2025, the fund's net assets reached $3.03 billion, a 13.7% increase from $2.66 billion in 2024, demonstrating effective asset management and growth potential.
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- Investment Return Highlight: The Adams Natural Resources Fund achieved a net asset return of 9.4% in 2025, outperforming its benchmark return of 9.1%, demonstrating stability in a weak energy market and boosting investor confidence.
- Strong Market Performance: The fund's market price return was 9.9%, exceeding both the S&P 500 Energy and Materials sectors, while providing an annual distribution rate of 8.4%, further enhancing shareholder returns.
- Net Asset Value Growth: As of December 31, 2025, the fund's net assets reached $662,418,619, an increase from $636,334,398 in 2024, reflecting the effectiveness of the fund's management and investment strategies.
- Major Holdings Distribution: The fund's top ten holdings account for 64.1% of net assets, with Exxon Mobil representing 23.9%, indicating a concentrated investment strategy in the energy sector aimed at capitalizing on industry recovery opportunities.
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- Investment Return Highlight: Adams Diversified Equity Fund achieved an 18.9% net asset return in 2025, outperforming the S&P 500's 17.9% and leading its peer group by 2.4%, showcasing its strong investment management capabilities.
- Market Price Performance: The fund's total return on market price was 25.7%, significantly surpassing peers, reflecting high investor confidence and enhancing its competitive position in the market.
- Dividend Yield: In 2025, the fund paid $1.85 per share in income dividends, resulting in an annual distribution rate of 8.1%, providing stable cash flow for long-term investors and boosting investor confidence.
- Net Asset Value Growth: As of December 31, 2025, the fund's net assets reached $3.03 billion, a 13.7% increase from $2.66 billion in 2024, demonstrating effective asset management and market appeal.
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