
WisdomTree Commodity Securities Limited
LEI: 21380068Q1JSIAN4FO63
11 November 2022
WISDOMTREE COMMODITY SECURITIES LIMITED
Short and Leveraged Commodity Securities
Changes to Application and Redemption Fees
WisdomTree Commodity Securities Limited (the "Issuer") hereby gives notice that it is amending the Application and Redemption Fees payable by Authorised Participants.
With effect from Monday 12 December 2022, the Application Fee and Redemption Fee in relation to each class will be an amount as notified by the Issuer to each Authorised Participant not exceeding eight basis points of the Application Amount or Redemption Amount (respectively), or in each case such lesser amount as may be accepted by the Issuer either generally or on any particular occasion.
The Issuer may further adjust the Application Fees and Redemption Fees at any time after giving 30 days' written notice to Authorised Participants and through a RIS.
Terms used in this announcement and not otherwise defined bear the meanings given in the base prospectus (the "Prospectus") of the Issuer relating to Short and Leveraged Commodity Securities dated 10 November 2022
For further information, please contact:
WisdomTree
infoeu@wisdomtree.com