The fund aims to passively reflect the performance of the Bloomberg Commodity Index Total Return 3 Month Forward, which is a benchmark for longer dated commodity investments representing a diversified basket of commodity futures.
Fund Exposure
The fund provides exposure to twenty-five eligible commodities, including energy, precious metals, livestock, and grains. The index is weighted based on commodity production percentage and commodity liquidity percentage, with weighting limits applied at both single commodity and commodity group levels.
Risks
Some of the risks associated with this fund include exposure to commodity price fluctuations, counterparty risk with derivatives, potential conflicts of interest with DWS entities, and the possibility of losses due to replication costs. The fund is classified in category 5 for risk, indicating relatively high share price fluctuations and the likelihood of both gains and losses.