Commodities Series 12 - Diversified Commodities Index

Series 12 tracks the performance of the BNP Paribas Strategy C52 10% Index (“Index”). The objective of this Index is to provide a long only, diversified exposure to the commodity asset class, excluding Agriculture and Livestock, with a targeted volatility of 10%.

Index Features

The key features of Index are outlined below:


The Index provides diversification across 3 commodity sectors and Natural Gas:

  1. Industrial Metals Sector;
  2. Precious Metals Sector;
  3. Energy Sector; and
  4. Natural Gas

Including exposure across 12 individual commodities and cash

1) Copper;
2) Zinc;
3) Aluminium;
4) Nickel;
5) Gold;
6) Silver;
7) WTI Crude Oil;

8) Brent Crude Oil;
9) Gasoline;
10) Low Sulphur Gas Oil;
11) ULS Diesel;
12) Natural Gas; and
13) Cash.

Please refer to Section 9 of the PDS for an outline of the key risks

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