Objective
OFI Institutional’s Commodities Strategy seeks to outperform through active management the S&P GSCITM Total Return Index over a full market cycle.

As of 9/30/08
 Strategy AUM*:
$251M
 Excess Return Target:
200–250 bps
 Ex Ante Tracking Error Target:
Up to 3%
 Benchmark:
S&P GSCITM Total Return Index

*The OFI Institutional investment team managing the Commodities Strategy for OFI Institutional Asset Management, Inc. also manages $1.5 billion
in the strategy for other OppenheimerFunds, Inc. affiliated entities.

The information presented on this page is complete when read in conjunction with the related disclosure information. Please view this important related disclosure information by clicking here.


Privacy Policy | Disclosures | Site Map

© 2008, OFI Institutional Asset Management. All rights reserved. OFI Institutional Asset Management refers to OFI Institutional Asset Management, Inc. and the other members of the OFI Institutional Asset Management organization. This site has been created for institutional investors in the United States. If you are not an institutional investor, please visit www.oppenheimerfunds.com for a wide range of information about personal investing.