e424b3
424B3 PROSPECTUS SUPPLEMENT DATED March 28, 2011 TO PROSPECTUS DATED January 25, 2011.
Filed Pursuant to Rule 424(b)(3)
Registration No. 333-170917
GREENHAVEN CONTINUOUS COMMODITY INDEX FUND
SUPPLEMENT DATED MARCH 28, 2011 TO
PROSPECTUS DATED JANUARY 25, 2011
This Supplement updates certain performance information contained in the Prospectus dated January 25, 2011 (the “Prospectus”) of GreenHaven Continuous Commodity Index Fund (the “Fund”) and GreenHaven Continuous Commodity Index Master Fund (the “Master Fund”). All capitalized terms used in this Supplement have the same meaning as in the Prospectus.
Prospective investors in the Fund should review carefully the contents of both this Supplement and the Prospectus. This Supplement updates, amends and supplements the information included or incorporated by reference in the Prospectus. If there is an inconsistency between the information in the Prospectus and this Supplement, you should rely on the information in this Supplement.
* * * * * * * * * * * * * * * * * * *
 
Neither the Securities and Exchange Commission nor any state securities commission
has approved or disapproved of these securities or determined if this Prospectus is
truthful or complete. Any representation to the contrary is a criminal offense.
 
THE COMMODITY FUTURES TRADING COMMISSION HAS NOT PASSED UPON THE MERITS
OF PARTICIPATING IN THIS POOL NOR HAS THE COMMISSION PASSED UPON THE
ADEQUACY OR ACCURACY OF THIS DISCLOSURE DOCUMENT.
 
GreenHaven Commodity Services LLC
Managing Owner
 

 


 

The Performance Table located on page 11 through 12 of the Prospectus is hereby deleted and replaced, in its entirety, with the following:
                         
Date   Month   NAV   Rate of Return
  1/23/2008    
Inception
  $ 30.00        
  1/31/2008    
January
  $ 31.65       5.50 %
  2/29/2008    
February
  $ 35.41       11.88 %
  3/31/2008    
March
  $ 32.46       -8.33 %
  4/30/2008    
April
  $ 33.49       3.17 %
  5/31/2008    
May
  $ 33.77       0.84 %
  6/30/2008    
June
  $ 36.83       9.06 %
  7/31/2008    
July
  $ 33.71       -8.47 %
  8/31/2008    
August
  $ 31.65       -6.11 %
  9/30/2008    
September
  $ 27.74       -12.35 %
  10/31/2008    
October
  $ 22.68       -18.24 %
  11/28/2008    
November
  $ 22.03       -2.87 %
  12/31/2008    
December
  $ 21.92       -0.50 %
  2008    
Total Performance
            -26.93 %
                     
Date   Month   NAV   Rate of Return
1/30/2009  
January
  $ 21.80       -0.55 %
2/27/2009  
February
  $ 20.87       -4.27 %
3/31/2009  
March
  $ 21.73       4.12 %
4/30/2009  
April
  $ 21.69       -0.18 %
5/29/2009  
May
  $ 24.21       11.62 %
6/30/2009  
June
  $ 22.73       -6.11 %
7/31/2009  
July
  $ 23.44       3.12 %
8/30/2009  
August
  $ 23.19       -1.07 %
9/30/2009  
September
  $ 23.89       3.02 %
10/30/2009  
October
  $ 24.94       4.40 %
11/30/2009  
November
  $ 26.09       4.61 %
12/31/2009  
December
  $ 26.22       0.50 %
2009  
Total Performance
            19.62 %
1/31/2010  
January
  $ 25.09       -4.31 %
2/28/2010  
February
  $ 25.67       2.31 %
3/31/2010  
March
  $ 25.07       -2.34 %
4/30/2010  
April
  $ 25.76       2.75 %
5/31/2010  
May
  $ 24.50       -4.89 %
6/30/2010  
June
  $ 24.92       1.71 %
7/30/2010  
July
  $ 26.42       6.02 %
8/31/2010  
August
  $ 26.21       -0.79 %
9/30/2010  
September
  $ 28.14       7.36 %
10/29/2010  
October
  $ 29.76       5.76 %
11/30/2010  
November
  $ 29.67       -0.30 %
12/31/2010  
December
  $ 32.88       10.82 %
   
YTD Performance a/o 12/31/2010
            25.40 %

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