Parametric employs an investment approach that relies on thoughtful portfolio construction as a source of return, rather than market forecasts. We seek to avoid concentrations that occur in mainstream commodity indices by investing across multiple commodity types and sectors, including a material allocation to non-index commodities. The result is a diversified, consistent and long-only exposure that seeks to deliver the strategic benefits of the asset class. Institutional investors have access to a variety of investment vehicles designed to support their plan’s objectives and risk tolerance.