RevenueShares ETF Trust

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1 RevenueShares ETF Trust SUMMARY PROSPECTUS NOVEMBER 3, 2015 RevenueShares ADR Fund This summary prospectus is designed to provide investors with key fund information in a clear and concise format. Before you invest, you may want to review the Fund s prospectus, which contains more information about the Fund and its risks. The Fund s prospectus and statement of additional information, each dated October 28, 2015, are incorporated by reference into this Summary Prospectus. All this information may be obtained at no cost online at by calling RevenueShares ETF Trust at or by sending an request to infoadmin@revenueshares.com. RTR Listed on NYSE ARCA CUSIP # Click to view the Fund s prospectus or statement of additional information.

2 OPPENHEIMER REVENUE WEIGHTED ETF TRUST OPPENHEIMER ADR REVENUE ETF Supplement dated December 18, 2015 to the Summary Prospectus dated November 3, 2015, as supplemented This Supplement to the Summary Prospectus supersedes and replaces the Supplement to the Summary Prospectus dated December 10, Effective December 18, 2015, the RevenueShares ETF Trust changed its name to the Oppenheimer Revenue Weighted ETF Trust. Therefore, all references to RevenueShares ETF Trust are hereby replaced with Oppenheimer Revenue Weighted ETF Trust. Effective December 18, 2015, all references to the Fund s Prior Fund Name and Prior CUSIP are hereby replaced with the corresponding New Fund Name and New CUSIP, respectively, as set forth below: Ticker Prior Fund Name New Fund Name Prior CUSIP New CUSIP RTR RevenueShares ADR Fund Oppenheimer ADR Revenue ETF C 500 Please retain this Supplement with your Summary Prospectus for future reference. December 18, 2015 PS

3 REVENUESHARES ETF TRUST REVENUESHARES ADR FUND Supplement dated December 10, 2015 to the Summary Prospectus dated November 3, 2015, as supplemented December 2, 2015 Effective December 18, 2015, the RevenueShares ETF Trust will change its name to the Oppenheimer Revenue Weighted ETF Trust, and all references to RevenueShares ETF Trust will be replaced with Oppenheimer Revenue Weighted ETF Trust. Effective December 18, 2015, the RevenueShares ADR Fund will change its name to the Oppenheimer ADR Revenue ETF, and all references to RevenueShares ADR Fund will be replaced with Oppenheimer ADR Revenue ETF. Please retain this Supplement with your Summary Prospectus for future reference. December 10, 2015 PS

4 REVENUESHARES ETF TRUST REVENUESHARES ADR FUND Supplement dated December 2, 2015 to the Summary Prospectus dated November 3, 2015 As you were previously informed, on September 4, 2015, VTL Associates, LLC ( VTL ), the investment adviser to the RevenueShares ADR Fund (the Fund ), a series of the RevenueShares ETF Trust ( Trust ), entered into an agreement with OppenheimerFunds, Inc. ( OFI ) whereby OFI would acquire VTL (the Transaction ). The Transaction closed on December 2, 2015 ( Closing ). The Fund s investment advisory agreement with VTL and sub-advisory agreement with Index Management Solutions, LLC ( IMS ) terminated upon Closing and a new investment advisory agreement between the Trust, on behalf of the Fund, and VTL took effect (the New Agreement ). The New Agreement was approved by shareholders of the Fund on November 13, Under the New Agreement, VTL will provide the portfolio management previously provided by IMS, and the investment advisory personnel of VTL and IMS who currently manage the Fund will continue to do so as employees of VTL after the Closing. Accordingly, all references to Index Management Solutions, LLC and IMS in the Summary Prospectus are hereby deleted. * * * * * * * In connection with the Transaction, the Trust and VTL entered have entered into a new written fee waiver and expense reimbursement agreement under the same terms as are currently in effect on behalf of the Fund for a period of two years following the Closing. Accordingly, the following information replaces the second sentence in the first footnote under the heading Fees and Expenses in the Summary Prospectus: This agreement will remain in effect and will be contractually binding through December 2, The following replaces the second paragraph under Fees and Expenses in the Summary Prospectus: The following example is intended to help you compare the cost of investing in the Fund with the cost of investing in other funds. The example assumes that you invest $10,000 in the Fund for the time periods indicated and then redeem all of the Shares at the end of those periods. This example assumes that the Fund provides a return of 5% a year and that operating expenses remain the same, except that the Fund s expenses are reduced through December 2, 2017 by the fee waiver and expense reimbursement agreement described above. This example does not include the brokerage commission that you may pay to buy and sell exchange-traded Shares of the Fund. Although your actual costs may be higher or lower, based on these assumptions, your costs would be:

5 1 Year 3 Years 5 Years 10 Years $50 $215 $455 $1,143 * * * * * * * The following information replaces the information under the heading Management Portfolio Managers in the Summary Prospectus: Vincent T. Lowry serves as a portfolio manager for the Fund and has ultimate responsibility for the investment management of the Fund. Mr. Vincent Lowry is the Senior Vice President of VTL and has managed the Fund since its inception. Michael J. Gompers, Justin V. Lowry and Sean P. Reichert serve as portfolio managers for the Fund and make the day-to-day investment decisions for the Fund. Messrs. Gompers and Justin Lowry are Vice Presidents of VTL, and Mr. Reichert is a Portfolio Manager for VTL. Messrs. Gompers, Justin Lowry and Reichert have managed the Fund since September Please retain this Supplement with your Summary Prospectus for future reference. December 2, 2015 PS

6 On September 4, 2015, VTL Associates, LLC ( VTL ) entered into an agreement with OppenheimerFunds, Inc. ( OFI ) whereby OFI will acquire VTL (the Transaction ). The completion of the Transaction is subject to certain terms and conditions. If completed, the Transaction will cause a change in control of VTL, which will terminate the current investment advisory agreement between the RevenueShares ETF Trust (the Trust ), on behalf of the series of the Trust listed on the front cover of this Summary Prospectus (the Fund ), and VTL. The Board of Trustees of the Trust (the Board ), including the Independent Trustees, has approved: (1) a new investment advisory agreement between the Trust, on behalf of the Fund, and VTL (the New Agreement ); and (2) the submission of a proposal to the Fund s shareholders to approve the New Agreement. The New Agreement would become effective for the Fund only if approved by the shareholders of the Fund and if the Transaction is completed. Under the New Agreement, VTL will provide the portfolio management previously provided by Index Management Solutions, LLC ( IMS ), and the investment advisory personnel of VTL and IMS who currently manage the Fund are expected to continue to do so as employees of VTL after the Transaction. As part of the Transaction, VTL has agreed to enter into a written fee waiver and expense reimbursement agreement, effective upon Closing, that will keep the Fund s expense cap at its current level for a period of two years from the date of the Closing. In addition, the Board, including the Independent Trustees, upon the recommendation of the Nominating Committee of the Board: (1) selected and nominated a new board of trustees of the Trust (the New Board ) for election by the shareholders of the Trust; and (2) approved the submission of a proposal to the Fund s shareholders to elect the New Board. Each nominee for the New Board currently serves as a trustee of certain other open-end funds advised by OFI. If the nominees are elected, and the Transaction is consummated, the New Board would take office and replace the Trust s current trustees upon the closing of the Transaction (the Closing ). As part of the Transaction, the Board also approved a new distribution agreement for the Fund with OppenheimerFunds Distributors, Inc., which will become effective upon Closing. The Board also appointed certain new officers of the Trust to take office upon Closing, including an employee of OFI to be the Trust s new Chief Compliance Officer. Shareholders of the Fund who owned shares as of September 30, 2015 received a proxy statement for a meeting of shareholders to be held on November 13, 2015 for the purpose of voting on the approval of the New Agreement and the New Board. The proxy statement describes the Transaction, the New Agreement and the New Board in detail, as well as the Board s considerations in approving the New Agreement and the nomination of the New Board. Shareholders are encouraged to read and retain the proxy statement.

7 RevenueShares ADR Fund Investment Objective RevenueShares ADR Fund (the Fund ) seeks to outperform the total return performance of the S&P ADR Index, the Fund s benchmark index (the Benchmark Index ). Fees and Expenses The following table describes the fees and expenses you may pay if you buy and hold shares of the Fund ( Shares ). You may also incur customary brokerage charges when buying or selling Fund Shares. Annual Fund Operating Expenses (expenses that you pay each year as a percentage of the value of your investment) Management Fees 0.60% Distribution and/or Service (12b-1) Fees 0.00% Other Expenses 0.41% Total Annual Fund Operating Expenses 1.01% Fee Waiver and/or Expense Reimbursement % Total Annual Fund Operating Expenses after Fee Waiver and/or Expense Reimbursement 0.49% 1 RevenueShares ETF Trust (the Trust ) and VTL Associates, LLC, the Fund s investment adviser ( VTL or Management ), have entered into a written fee waiver and expense reimbursement agreement pursuant to which VTL has agreed to waive a portion of its fees and/or reimburse expenses to the extent necessary to keep the Fund s Total Annual Fund Operating Expenses (excluding any acquired fund fees and expenses, taxes, interest, brokerage fees, certain insurance costs, and extraordinary and other non-routine expenses) from exceeding 0.49% of average daily net assets. This agreement will remain in effect and will be contractually binding through October 27, If Total Annual Fund Operating Expenses would fall below the expense limit, VTL may cause the Fund s expenses to remain at the expense limit while it is reimbursed for fees that it waived or expenses that it reimbursed during the previous three year period. The following example is intended to help you compare the cost of investing in the Fund with the cost of investing in other funds. The example assumes that you invest $10,000 in the Fund for the time periods indicated and then redeem all of the Shares at the end of those periods. This example assumes that the Fund provides a return of 5% a year and that operating expenses remain the same, except that the Fund s expenses are reduced during the first year by the fee waiver and expense reimbursement agreement described above. This example does not include the brokerage commission that you may pay to buy and sell exchange-traded Shares of the Fund. Although your actual costs may be higher or lower, based on these assumptions, your costs would be: 1 Year 3 Years 5 Years 10 Years $50 $271 $509 $1,193 Portfolio Turnover The Fund pays transaction costs, such as commissions, when it buys and sells securities or other instruments. A higher portfolio turnover rate may indicate higher transaction costs and may result in higher taxes when Shares are held in a taxable account. These costs, which are not reflected in annual Fund operating expenses or in the example, affect the Fund s performance. During the most recent fiscal year, the Fund s portfolio turnover rate was 25.62% of the average value of its portfolio. Principal Investment Strategies The Fund is an exchange-traded fund ( ETF ). The Fund seeks to achieve its investment objective by attempting to replicate the portfolio of the RevenueShares ADR Index (the Underlying Index ). The Underlying Index is constructed by re-weighting the constituent securities of the Benchmark Index according to the revenue earned by the companies in the Benchmark Index, subject to certain asset diversification requirements. The Underlying Index thus generally contains the same securities as the Benchmark Index, but in different proportions. Constituent securities that are added to or removed 1

8 from the Benchmark Index during a calendar quarter are generally added to and removed from the Underlying Index on a quarterly basis, causing the Fund to make corresponding changes to its portfolio. Under normal circumstances, the Fund will invest at least 80% of its net assets in American Depositary Receipts ( ADRs ) included in the Benchmark Index, and generally expects to be substantially invested at such times, with at least 95% of its net assets invested in these securities. ADRs are receipts typically issued by an American bank or trust company that evidence ownership of underlying securities issued by a foreign corporation. Generally, ADRs are designed for use in the U.S. securities markets. The Fund also holds the securities of foreign companies in the form of global shares ( Global Shares ) or, in the case of Canadian equities, ordinary shares. Global Shares are the actual (ordinary) shares of a non-u.s. company, which trade both in the home market and the U.S. and are represented by the same share certificate in both the U.S. and the home market. The Fund may invest in securities of companies of all sizes, including small and medium capitalization companies. The Fund will concentrate its investments in a particular industry or group of industries, such as the energy industry, to approximately the same extent that its Underlying Index is concentrated, meaning that it will invest more than 25% of its total assets in that industry or group of industries. Energy companies develop and produce crude oil and natural gas and provide drilling and other energy resources production and distribution related services. The Fund s intention is to replicate the constituent securities of the Underlying Index as closely as possible. When a replication strategy could have adverse consequences to Fund shareholders, however, the Fund may utilize a representative sampling strategy whereby the Fund would hold a significant number of the component securities of the Underlying Index, but may not track that index with the same degree of accuracy as would an investment vehicle replicating the entire index. The Fund does not seek temporary defensive positions when equity markets decline or appear to be overvalued. The Fund is non-diversified and therefore may invest a greater percentage of its assets in a particular issuer than a diversified Fund. Principal Risks Like all investments, investing in the Fund entails risks, including the risk that you may lose part or all of the money you invest. Investment Approach Risk The alternate weighting approach employed by the Underlying Index and the Fund, while designed to enhance potential returns compared to the Benchmark Index, may not produce the desired results. Using revenues as a weighting measure is no guarantee that the Underlying Index or the Fund will outperform the Benchmark Index, and may even cause the Underlying Index or the Fund to underperform the Benchmark Index. Stock Market Risk Stock market risk is the risk that broad movements in financial markets will adversely affect the price of the Fund s investments, regardless of how well the companies in which the Fund invests perform. There is also a risk that the price of one or more of the securities or other instruments in the Fund s portfolio will fall. Foreign Securities Risk Investments in the securities of foreign companies may be more volatile because of economic or political developments, public health and safety issues, demographic changes, market inefficiencies, lack of regulatory oversight, government debt burdens, or a higher risk that essential investment information may be incomplete, unavailable, or inaccurate. Restrictions on currency trading may be imposed by foreign countries, which may adversely affect the value of the Fund s portfolio securities. Certain of the risks associated with foreign investments are heightened for investments in emerging market countries. 2

9 Focus Risk To the extent the Fund focuses on companies in a specific country or region, the Fund is subject to greater risks of adverse developments in that country or region and/or the surrounding countries or regions than a fund that is more broadly diversified geographically. Political, social or economic disruptions in the country or region, even in countries in which the Fund is not invested, may adversely affect the value of securities values held by the Fund. Depositary Receipt Risk Changes in foreign currency exchange rates affect the value of ADRs and Global Shares and, therefore, the value of the Fund s portfolio. In addition, although the ADRs and Global Shares in which the Fund invests may be listed on major U.S. exchanges, there can be no assurance that a market for these securities will be made or maintained or that any such market will be or remain liquid. There is also no guarantee that a financial institution will continue to sponsor a particular ADR. As a result, the Fund may have difficulty selling securities, or selling them quickly and efficiently at the prices at which they have been valued. Foreign Market Risk Because Global Shares and the underlying securities of ADRs in the Fund s portfolio trade on foreign exchanges at times when the U.S. markets are not open for trading, the value of the Global Shares or ADRs representing those underlying securities may change materially at times when the U.S. markets are not open for trading, regardless of whether there is an active U.S. market for Shares. Energy Industry Risk Stock prices for energy companies are affected by supply and demand both for their specific product or service and for energy products in general. The price of oil and gas, exploration and production spending, government regulation, world events and economic conditions will likewise affect the performance of these companies. Energy companies may incur large cleanup and litigation costs relating to environmental damage such as oil spills. Market Trading Risk There can be no assurance that an active trading market for Shares will develop or be maintained. Although it is expected that Shares will remain listed for trading on the NYSE Arca, Inc. (the Exchange ), it is possible that an active trading market may not be maintained. Premium/Discount Risk As an ETF, Shares generally trade in the secondary market on the Exchange at market prices that change throughout the day. Although it is expected that the market price of Fund Shares will approximate the Fund s net asset value ( NAV ), there may be times when the market price and the NAV vary significantly. You may pay more than NAV when you buy Shares of the Fund on the Exchange, and you may receive less than NAV when you sell those Shares on the Exchange. Non-Correlation Risk The Fund s return may not match the return of the Underlying Index. The Fund incurs a number of operating expenses that are not reflected in the Underlying Index, including the cost of buying and selling securities. Concentration Risk The Fund will concentrate in industries to the same extent as its Underlying Index. The Fund may be adversely affected by the performance of the securities in a particular industry or group of industries and may be subject to increased price volatility and may be more susceptible to adverse economic, market, political or regulatory occurrences affecting that market, industry, group of industries, sector or asset class than may be the case for a fund that was not concentrated in a particular industry or group of industries. Small and Medium Capitalization Stock Risk Small and medium capitalization companies (including those trading as Global Shares and ADRs) may have an unproven or narrow technological base and limited product lines, distribution channels, markets and financial resources. Small and medium capitalization companies also may be dependent on entrepreneurial management, making the companies more susceptible to certain setbacks and reversals. Securities of small and medium capitalization companies may also be more sensitive to changes in the economy, such as changes in the level of interest rates. As a result, the securities of small and medium capitalization companies may be subject to more abrupt or erratic price movements than securities of larger companies, may have limited marketability, and may be less liquid than securities of companies with larger capitalizations. 3

10 Increased Volatility Risk Increased volatility may result from increased cash flows to the Fund and other market participants that continuously or systematically buy large holdings of small and medium capitalization companies (including those trading as Global Shares and ADRs), which can drive prices up and down more dramatically. Additionally, the announcement that a security has been added to a widely followed index or benchmark may cause the price of that security to increase. Conversely, the announcement that a security has been deleted from a widely followed index or benchmark may cause the price of that security to decrease. Non-Diversification Risk The Fund is non-diversified and, as a result, may have greater volatility than other diversified funds. Because a non-diversified fund may invest a larger percentage of its assets in securities of a single company than diversified funds, the performance of that company can have a substantial impact on Share price. Portfolio Turnover Risk Because the Fund is reconstituted quarterly, the Fund may experience portfolio turnover in excess of 100%. Portfolio turnover may involve the payment by the Fund of brokerage and other transaction costs on the sale of securities, as well as on the investment of the proceeds in other securities. The greater the portfolio turnover, the greater the transaction costs to the Fund, which could have an adverse effect on the Fund s total rate of return, and the more likely the Fund is to generate capital gains that must be distributed to shareholders as taxable income. 4

11 Performance The performance information that follows shows the Fund s performance information in a bar chart and an average annual total returns table. The information provides some indication of the risks of investing in the Fund by comparing the Fund s performance with a broad measure of market performance and the index the Fund seeks to track. The Fund s past performance (before and after taxes) is not necessarily an indication of how the Fund will perform in the future. Updated performance for the Fund is available at After-tax returns are calculated using the historical highest individual federal marginal income tax rates and do not reflect the impact of state and local taxes. Actual after-tax returns depend on an investor s tax situation and may differ from those shown. In addition, the after-tax returns shown are not relevant to investors who hold Shares through tax-deferred arrangements, such as 401(k) plans or individual retirement accounts. 40% Annual Total Returns as of December % 30% 20% 10% 0% 7.79% 14.15% 13.72% -10% -20% % % 2014 During the periods shown in the bar chart above, the Fund s highest quarterly return was 30.70% (quarter ended June 30, 2009) and the Fund s lowest quarterly return was % (quarter ended September 30, 2011). Year-to-date return (through September 30, 2015): 14.87% Average Annual Total Returns for the Periods Ended December 31, 2014 Since Inception 1 Year 5 Year (11/18/08) Return Before Taxes 5.27% 3.02% 9.37% Return After Taxes on Distributions 6.66% 1.79% 8.13% Return After Taxes on Distributions and Sale of Fund Shares 2.92% 1.84% 6.95% S&P ADR Index (reflects no deduction for fees, expenses or taxes) 4.37% 4.53% 4.50% RevenueShares ADR Index (reflects no deduction for fees, expenses or taxes) 4.66% 3.71% 4.28% 5

12 Management Investment Adviser VTL Associates, LLC Sub-Adviser Index Management Solutions, LLC Portfolio Managers Vincent T. Lowry serves as a portfolio manager for the Fund and has ultimate responsibility for the investment management of the Fund. Mr. Vincent Lowry is the Chief Executive Officer of VTL and has managed the Fund since its inception. Michael J. Gompers, Justin V. Lowry and Sean P. Reichert serve as portfolio managers for the Fund and make the day-to-day investment decisions for the Fund. Mr. Gompers is the Chief Executive Officer of Index Management Solutions, LLC ( IMS ), and Messrs. Justin Lowry and Reichert are Portfolio Managers for IMS. Messrs. Gompers, Justin Lowry and Reichert have managed the Fund since September IMS is a wholly owned subsidiary of VTL. Purchase and Sale of Fund Shares Unlike conventional mutual funds, the Fund issues and redeems Shares on a continuous basis, at NAV, only in Creation Units consisting of 50,000 Shares. Individual Shares may only be purchased and sold on the Exchange through a broker-dealer. Shares will trade at market prices rather than NAV. As such, Shares may trade at a price greater than NAV (premium) or less than NAV (discount). Tax Information The Fund s distributions generally are taxable to you as ordinary income, capital gains, or some combination of both, unless you are investing through a tax-deferred arrangement, in which case your distributions generally will be taxed when withdrawn from the tax-deferred account. Financial Intermediary Compensation If you purchase the Fund through a broker-dealer or other financial intermediary (such as a bank), VTL may pay the intermediary for the sale of Fund shares and related services. These payments may create a conflict of interest by influencing the broker-dealer or other intermediary and your salesperson to recommend the Fund over another investment. Ask your salesperson or visit your financial intermediary s website for more information. 6

13 RevenueShares ETF Trust SUMMARY PROSPECTUS NOVEMBER 3, 2015 View the Fund s prospectus or statement of additional information online at Click to view the Fund s prospectus or statement of additional information. PR

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