
Generally, the fund aims to achieve its investment goal by primarily allocating its capital to financial instruments whose value is linked to commodities. These commodity-based derivatives are supported by holdings in fixed-income securities. Specifically, the fund utilizes various derivative types, such as commodity index-linked notes, swap agreements, commodity options, futures contracts, and options on futures, to gain exposure to the performance of commodity markets. Importantly, it accomplishes this without directly owning or purchasing physical commodities.
Sector exposure data isn't available for this fund yet.
Holdings data isn't available for this fund yet.