Company: DEFI
Filing Date: 2025-03-27
Form Type: 424B3
Source: 0001999371-25-003249
Chunk: 4

Company: Tidal Commodities Trust I
Filing Date: 2025-03-27
Form: 424B3
Chunk 4
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 and IRAs                                            | 122 |
| GENERAL POOL DISCLOSURE                                                          | 124 |
| PERFORMANCE OF THE OTHER COMMODITY POOLS OPERATED BY THE COMMODITY POOL OPERATOR | 124 |
| Amplify Inflation Fighter ETF (TICKER: IWIN)                                     | 125 |
| CNIC ICE US Carbon Neutral Power Futures Index ETF (TICKER: AMPD)                | 125 |
| Ionic Inflation Protection ETF (TICKER: CPII)                                    | 126 |
| Return Stacked™ Bonds & Managed Futures ETF (TICKER: RSBT)                       | 127 |
| INCORPORATION BY REFERENCE OF CERTAIN INFORMATION                                | 130 |
| INFORMATION YOU SHOULD KNOW                                                      | 130 |
| WHERE YOU CAN FIND MORE INFORMATION                                              | 131 |
| INDEX TO FINANCIAL STATEMENTS                                                    |   2 |
| Glossary of Defined Terms                                                        |   1 |

<div align='center'>PROSPECTUS SUMMARY</div>

This is only a summary of the prospectus and, while it contains material information about the Fund and its Shares, it does not contain or summarize all of the information about the Fund and the Shares contained in this prospectus that is material and/or which may be important to you. You should read this entire prospectus, including “What Are the Risk Factors Involved with an Investment in the Fund?” beginning on page 19, before making an investment decision about the Shares. In addition, this prospectus includes a statement of additional information that follows and is bound together with the primary disclosure document. Both the primary disclosure document and the statement of additional information contain important information.

Principal Offices of the Fund and the Sponsor

The Fund is a series of the Trust. The principal offices of the Sponsor, the Trust and the Fund are located at 234 West Florida Street, Suite 203, Milwaukee, Wisconsin 53204. The telephone number is (844) 986-7700.

Breakeven Point

The amount of trading income required for the redemption value of a Share at the end of one year to equal the selling price of the Share, assuming an initial price of $106.00, is $0.00 or 0.00% of the selling price. For more information, see “Breakeven Analysis” below.

The Fund’s Current Net Assets and Year to Date Performance

As of December 31, 2024, the Fund’s total net assets were $14,