The Fund is focused on investments in raw materials, commodities and other hard assets. The Fund will seek to generate absolute returns by investing in commodities and commodities-related instruments through a combination of global commodities, commodity futures, options on commodities, equity or debt securities of companies involved in the commodity business and direct investments in hard assets. The Fund uses an opportunistic, multi-strategy, multi-asset class, long/short investment philosophy. The hedging methodology includes shorting equities, ETFs, options, futures or other negatively correlated derivative instruments. TGHA has a low correlation to the S&P 500, offers diversification across commodity and equity markets and advanced technical risk management while providing enhanced transparency to investors.