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ETFS Forward Commodity Securities
(1) NAV for Individual Securities - The NAV (Net Asset value or Price) of each Individual Commodity Security is calculated in the following way: Individual Commodity Index * Multiplier / 10.
Each Individual Commodity Index is available on the following website: www.djindexes.com
The NAV of Individual Securities will be a "true" NAV if the relevant DJ-AIG individual commodity feed was sourced on a Pricing Day. If it is not a Pricing Day (due to Holiday or a Market Disruption Day), then the NAV shown will be an indicative NAV.
(1) Securities traded in EUR could be denominated in USD and are converted into EUR using the public exchange rate. Please note that these are indicative NAVs, unhedged against the base currency. Therefore, the daily return in the trading currency is not likely to match the daily return in the base currency.
(2) NAV for Index Securities - The NAV of Index Commodity Securities is the sum of the component Individual Commodity Securities. The NAV for Index Securities will be a true NAV as long as all of the Index Commodity Securities' components are priced on a Pricing Day. If it is a Pricing Day for all the components, then the NAV shown will be an indicative NAV.
Click here for a detailed breakdown of the number of micro securities in each Index Security.

Definitions
Below is a summary of the key inputs for calculation of ETFS Commodity Securities' Net Asset Value. A full definition and examples of each can be found in the ETFS Commodity Securities Prospectus.
| Capital Adjustment: |
The Capital Adjustment is a daily rate which represents an accumulation of interest on the underlying cash value of the securities. The Capital Adjustment is announced once a week (generally on Wednesday).
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| Collateral Yield: |
The Collateral Yield is the Capital Adjustment before fees, expressed as a percentage rate per annum. |
| Multiplier: |
The Multiplier represents the cumulative effect of the capital adjustment. It changes daily and started at 1.000000 on the date the securities were first listed.
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Number of Micro Securities (and relative weights) in each Index Securities as at last close
Classes of Micro Securities
Number of Micro Securities in each Index Security on January 17, 2012
These are the numbers until the next rebalancing (scheduled for January 2013)
Natural Gas
WTI Crude Oil
Brent Crude Oil
Gasoline
Heating Oil
Aluminium
Copper
Zinc
Nickel
Gold
Silver
Live Cattle
Lean Hogs
Wheat
Corn
Soybeans
Sugar
Cotton
Coffee
Soybean Oil
All Commodities
719,998
37,147
20,714
10,579
18,284
256,421
38,799
100,697
24,450
145,575
24,850
82,906
38,143
245,401
422,819
124,066
28,538
78,705
160,527
80,944
Energy
2,886,451
149,099
82,706
42,470
73,399
Industrial Metals
1,032,434
155,267
406,294
98,583
Precious Metals
951,199
162,181
Livestock
792,252
364,483
Agriculture
364,850
630,404
184,982
42,523
117,347
239,364
120,574
Petroleum
438,043
242,845
124,774
215,640
Grains
425,790
737,442
216,388
Softs
172,568
475,623
971,238
Ex-Energy
-
-
-
-
-
272,573
41,197
107,066
25,995
154,426
26,362
87,961
40,469
261,031
448,526
131,612
30,288
83,489
170,459
86,000

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