Pinnacle Opportunity, L.P. is a multi-manager fund that currently pursues a concentrated, opportunistic approach to commodities investing. The Fund employs sector specialists (typically 8 to 12 trading groups) to construct a macro commodities play expressed through long/short, active, fundamental discretionary commodities strategies. Additionally it manages to a higher volatility/return target than more broadly diversified commodities offerings. The Fund currently maintains exposure across commodities sectors such as energy, metals and agriculture; specifically natural gas, crude oil/refined products, electricity, copper, aluminum, corn, soybeans and wheat. Other exposures may include the soft/fiber commodities (coffee, cocoa, sugar, cotton) and livestock (hogs, cattle) complex.