Company: DEFI
Filing Date: 2025-03-25
Form Type: POS AM
Source: 0001999371-25-003118
Chunk: 214

Company: Tidal Commodities Trust I
Filing Date: 2025-03-25
Form: POS AM
Chunk 214
---

operations on February 2, 2022, and ceased trading on September 5, 2024. The Fund was listed on NYSE Arca and is neither: (i) a privately
offered pool pursuant to Section 4(a)(2) of the 1933 Act; (ii) a multi-advisor pool as defined in CFTC Regulation 4.10(d)(2); or (iii)
a principal-protected pool as defined in CFTC Regulation 4.10(d)(3).

Units of beneficial interest issued (from inception until December 31,
2024): 925,000

Aggregate gross sale price for units issued: $23,953,133

Pool NAV as of December 31, 2024: $0

NAV per Share as of December 31, 2024: $0

Worst monthly percentage drawdown*: -15.67% / June 2022

Worst peak to valley drawdown**: -29.89% / March 2022 – September
2022

PAST PERFORMANCE IS NOT NECESSARILY INDICATIVE OF FUTURE RESULTS

| Rates of Return*      |        |    |       |    |       |     |
| Month                 |   2022 |    |  2023 |    |  2024 |     |
| January               |        | %  | 11.69 | %  | (1.55 | )%  |
| February              |   4.40 | %  | (5.96 | )% |  1.63 | %   |
| March                 |   3.32 | %  |  2.71 | %  |  6.09 | %   |
| April                 |  (4.62 | )% | (0.35 | )% | (5.26 | )%  |
| May                   |  (3.70 | )% | (2.15 | )% |  5.81 | %   |
| June                  | (15.67 | )% |  9.46 | %  | (4.92 | )%  |
| July                  |   9.99 | %  |  6.58 | %  |  6.30 | %   |
| August                |  (4.56 | )% | (3.38 | )% | (2.68