Company: DEFI
Filing Date: 2025-02-21
Form Type: POS AM
Source: 0001839882-25-010345
Chunk: 226

Company: Tidal Commodities Trust I
Filing Date: 2025-02-21
Form: POS AM
Chunk 226
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 Foreside Financial Group, LLC (d/b/a ACA Group)

NAV:Net Asset Value of the Fund.

NFA:National Futures Association.

NSCC:National Securities Clearing Corporation.

1933 Act:The Securities Act of 1933.

Redemption Basket:A block of 10,000 Shares used by the Fund to redeem Shares.

SEC:Securities and Exchange Commission.

Secondary Market:The stock exchanges and the over the counter market. Securities are first issued as a primary offering to the public. When the securities are traded from that first holder to another, the issued securities trade in these secondary markets.

Shareholders:Holders of Shares.

Shares:Common units representing fractional undivided beneficial interests in the Fund.

Sponsor:Tidal Investments LLC, a Delaware limited liability company, which is registered as a Commodity Pool Operator, who controls the investments and other decisions of the Fund.

Spot Contract:A cash market transaction in which the buyer and seller agree to the immediate purchase and sale of a cryptocurrency, usually with a two-day settlement.

Swap Agreement:An over the counter derivative that generally involves an exchange of a stream of payments between the contracting parties based on a notional amount and a specified index.

Tracking Error:Possibility that the daily NAV of the Fund will not track the Benchmark.

Trust Agreement:The First Amended and Restated Declaration of Trust and Trust Agreement of the Trust effective as of March 10, 2023.

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Valuation Day:Any day as of which the Fund calculates its NAV.

You:The owner of Shares.

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STATEMENT OF ADDITIONAL INFORMATION

Hashdex Bitcoin ETF</div>

This statement of additional information is the second part of a two-part document. The first part is the Fund’s disclosure document. The disclosure document and this statement of additional information are bound together, and both parts contain important information. This statement of additional information should be read in conjunction with the disclosure document. To obtain a copy of the disclosure document without charge, call the Fund at (844)-986-7700. Before you decide whether to invest, you should read the entire prospectus carefully and consider the risk factors beginning on page 19.

This statement of additional information and accompanying disclosure document are both dated March 27, 2025.

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Hashdex Bitcoin ETF

STATEMENT OF ADDITIONAL INFORMATION

TABLE OF CONTENTS</div>

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 Derivatives Market Purchasers |    3