Company: DBE
Filing Date: 2025-11-10
Form Type: 424B3
Source: 0001193125-25-273341
Chunk: 62

Company: Invesco DB Energy Fund
Filing Date: 2025-11-10
Form: 424B3
Chunk 62
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 the end of each trading day to calculate the closing level of the Index. The IIV per Share is based on the prior day’s final NAV, adjusted four times per minute throughout the trading day to reflect the continuous price changes of the Fund’s futures positions, which provides a continuously updated estimated NAV per Share. The Index Sponsor calculates and publishes the closing level of the Index daily. The Managing Owner publishes the NAV of the Fund and the NAV per Share daily. The Index Sponsor also calculates and publishes the intra-day Index level, and the Index Sponsor calculates, and the Managing Owner publishes, the IIV per Share (quoted in U.S. dollars) once every fifteen seconds throughout each trading day. All of the foregoing information is published as follows: The intra-day level of the Index (symbol: DBENIX) and the IIV per Share (symbol: DBE.IV) (each quoted in U.S. dollars) are published once every fifteen seconds throughout each trading day on the consolidated tape, Reuters and/or Bloomberg. The IIV per Share (symbol: DBE.IV) is also published on the Managing Owner’s website at https://www.invesco.com/ETFs , or any successor thereto. The current trading price per Share (symbol: DBE) (quoted in U.S. dollars) is published continuously as trades occur throughout each trading day on the consolidated tape, Reuters and/or Bloomberg and on the Managing Owner’s website at https://www.invesco.com/ETFs , or any successor thereto. The most recent end-of-day Index closing level (symbol: DBCMYEEN) is published as of the close of business for the NYSE Arca each trading day on the consolidated tape, Reuters and/or Bloomberg. The most recent end-of-day NAV of the Fund (symbol: DBE.NV) is published as of the close of business on Reuters and/or Bloomberg and on the Managing Owner’s website at https://www.invesco.com/ETFs , or any successor thereto. In addition, the most recent end-of-day NAV of the Fund (symbol: DBE.NV) is published the following morning on the consolidated tape. All of the foregoing information with respect to the Index is also published at https://index.db.com .

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Any adjustments made to the Index will be published on both https://index.db.com and at https://www.invesco.com/ETFs , or any successor(s) thereto. The Index Sponsor obtains information for inclusion in, or for