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Condensed Statements of Financial Condition - USD ($)
Mar. 31, 2023
Dec. 31, 2022
Assets    
Cash and cash equivalents (at cost $743,670,187 and $317,868,749, respectively) $ 743,670,187 $ 317,868,749
Equity in trading accounts:    
Cash and cash equivalents (at cost $498,821,644 and $241,622,902, respectively) 498,821,644 241,622,902
Unrealized gain (loss) on open commodity futures contracts (82,506,416) (144,765,937)
Unrealized gain (loss) on open swap contracts (2,004)  
Receivable for shares sold 36,467,116 14,488,801
Dividends receivable 1,118,525 1,108,561
Interest receivable 2,640,462 334,804
Prepaid insurance [1] 151,484 16,624
ETF transaction fees receivable 2,000 1,000
Total Assets 1,200,362,998 430,675,504
Liabilities and Partners' Capital    
Payable due to Broker 35,614,331  
General Partner management fees payable 538,223 240,448
Professional fees payable 598,378 922,743
Brokerage commissions payable 160,525 160,052
Directors' fees payable [1] 16,699 8,056
License fees payable 19,661 5,729
Total Liabilities 36,947,817 1,337,028
Commitments and Contingencies
Partners' Capital    
General Partners 0 0
Limited Partners 1,163,415,181 429,338,476
Total Partners' Capital 1,163,415,181 429,338,476
Total Liabilities and Partners' Capital $ 1,200,362,998 $ 430,675,504
Limited Partners' shares outstanding 165,884,588 30,184,588
Net asset value per share $ 7.01 $ 14.22
Market value per share $ 6.94 $ 14.10
[1] Certain prior year amounts have been reclassified for consistency with the current presentation.