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Condensed Statements of Financial Condition - USD ($)
Mar. 31, 2022
Dec. 31, 2021
Assets    
Cash and cash equivalents (at cost $303,107,258 and $248,404,703, respectively) (Notes 2 and 5) $ 303,107,258 $ 248,404,703
Equity in trading accounts:    
Cash and cash equivalents (at cost $ 50,000,000 and $127,265,650, respectively) 50,000,000 127,265,650
Unrealized gain (loss) on open commodity futures contracts 54,076,930 1,362,413
Receivable for shares sold 7,825,572 0
Dividends receivable 30,471 5,336
Interest receivable 4,268 5,280
Prepaid insurance* [1] 72,925 13,105
ETF transaction fees receivable 3,000 0
Total Assets 415,120,424 377,056,487
Liabilities and Partners' Capital    
Payable due to Broker 14,992,094 0
Payable for shares redeemed 11,737,859 0
General Partner management fees payable (Note 3) 192,008 200,355
Professional fees payable 417,807 634,674
Brokerage commissions payable 168,712 166,514
Directors' fees payable* [1] 5,957 8,046
License fees payable 8,747 12,507
Payable to related party 0 4,500,000
Total Liabilities 27,523,184 5,522,096
Commitments and Contingencies (Notes 3, 4 & 5)
Partners' Capital    
General Partners 0 0
Limited Partners 387,597,240 371,534,391
Total Partners' Capital 387,597,240 371,534,391
Total Liabilities and Partners' Capital $ 415,120,424 $ 377,056,487
Limited Partners' shares outstanding 19,684,588 29,984,588
Net asset value per share $ 19.69 $ 12.39
Market value per share $ 19.72 $ 12.49
[1] Certain prior year amounts have been reclassified for consistency with the current presentation.