 |
Basic Fund Data |
|
| Fund Provider: |
PowerShares Capital Management |
| Asset Class: |
Commodity |
| Fund Category: |
Commodity |
| Ticker: |
DBO |
| Expense Ratio: |
0.50% |
| Fund Category Expense Ratio Average: |
0.73% |
| Options: |
Yes |
| Fund Inception Date: |
01-05-2007 |
| Fund Structure: |
Open-Ended |
Fund Weighting Restrictions: |
Non-diversified Fund Rules |
Fund Tracking Method: |
Full Replication |
| Dividend Payment Frequency: |
|
|
 |
Basic Index Data |
|
| Index Name: |
DB Liquid Commodity Index - Optimum Yield Oil Excess Return |
| Index Provider: |
Deutsche Bank |
| No of Index Holdings: |
1 |
|
 |
Explanation of Index Strategy |
|
Security Selection Category: |
Screened |
Security Selection Method: |
|
Security Selection Frequency: |
Monthly |
Index Weighting Category: |
Fixed Weight |
Index Weighting Method: |
Modified Equal |
Index Weighting Frequency: |
Monthly |