Company: DEFI
Filing Date: 2025-03-17
Form Type: S-1/A
Source: 0001387131-25-000058
Chunk: 155

Company: Tidal Commodities Trust I
Filing Date: 2025-03-17
Form: S-1/A
Chunk 155
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 2023 – May 2023

PAST PERFORMANCE IS NOT NECESSARILY INDICATIVE OF FUTURE RESULTS

| Rates          
 of Return*     |        |   |       |   |
| Month          |   2023 |   |  2024 |   |
| January        |        | % | -2.42 | % |
| February       |  -1.08 | % |  2.71 | % |
| March          |  -7.91 | % |  4.70 | % |
| April          |   0.76 | % | -0.05 | % |
| May            |  -2.24 | % |  0.11 | % |
| June           |   3.05 | % |  0.86 | % |
| July           |  -0.91 | % | -1.70 | % |
| August         |  -4.14 | % | -0.15 | % |
| September      |   1.94 | % |  1.22 | % |
| October        |  -2.10 | % | -8.77 | % |
| November       |  -2.06 | % |  1.63 | % |
| December       |   3.22 | % | -0.08 | % |
| Annual         
 Rate of Return | -11.38 | % | -3.07 | % |

<div align='center'>73</div>

Return Stacked(R) U.S. Stocks & Futures Yield ETF (TICKER: RSSY)

The Return Stacked(R) U.S. Stocks & Futures Yield ETF commenced trading and investment operations on May 28, 2024. The Fund is listed on CBOE 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): 7,200,000

Aggregate gross sale price for units issued: $146,304,000

Pool NAV as of December 31, 2024: $147,851,592

NAV per