The exposures presented are intended to illustrate the Fund’s exposure to certain asset classes through its investment in futures. The exposure percentage represents the notional contract value in U.S. dollars of the Fund’s futures divided by the Fund’s total net assets. Notional contract values represent the aggregate exposure that a futures contract provides to the underlying reference asset or currency. Notional contract values are not reflected in the Fund’s computation of net asset value. Only unrealized gains and losses from the futures (and certain other derivative instruments) are reflected in the Fund’s computation of net asset value.