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FINANCIAL HIGHLIGHTS
9 Months Ended
Sep. 30, 2024
FINANCIAL HIGHLIGHTS  
FINANCIAL HIGHLIGHTS

NOTE 6 — FINANCIAL HIGHLIGHTS

The following table presents per share performance data and other supplemental financial data for the three and nine months ended September 30, 2024 and 2023 for the shareholders. This information has been derived from information presented in the condensed financial statements.

    

Three months ended

    

Three months ended

    

Nine months ended

    

Nine months ended

  

September 30, 2024

September 30, 2023

September 30, 2024

September 30, 2023

(Unaudited)

(Unaudited)

(Unaudited)

(Unaudited)

Per Share Operating Performance:

 

  

 

  

 

Net asset value, beginning of period

$

79.63

$

63.64

$

66.91

$

70.05

Total income (loss)

 

(9.61)

 

17.24

3.41

11.05

Total expenses

 

(0.16)

 

(0.13)

(0.46)

(0.35)

Net increase (decrease) in net asset value

 

(9.77)

 

17.11

2.95

10.70

Net asset value, end of period

$

69.86

$

80.75

$

69.86

$

80.75

Total Return

 

(12.27)

%  

 

26.89

%

4.41

%

15.27

%

Ratios to Average Net Assets

 

 

Total income (loss)

 

(10.48)

%  

 

24.09

%

9.94

%

16.30

%

Management fees#

 

0.45

%  

 

0.45

%

0.45

%

0.45

%

Total expenses excluding management fees#

 

0.39

%  

 

0.25

%

0.37

%

0.24

%

Net income (loss)

 

(10.69)

%  

 

23.92

%

9.32

%

15.78

%

#Annualized.

Total returns are calculated based on the change in value during the period. An individual shareholder’s total return and ratio may vary from the above total returns and ratios based on the timing of contributions to and withdrawals from USO. Additionally, only Authorized Participants purchase and redeem shares from the Fund at the NAV per share. Most shareholders will purchase and sell shares in the secondary market at market prices, which may differ from the NAV per share and result in a higher or lower total return.