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Statements of Cash Flows - USD ($)
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
Cash Flows from Operating Activities:      
Net income (loss) $ (671,250,844) $ 75,029,489 $ 18,400,201
Adjustments to reconcile net income (loss) to net cash provided by (used in) operating activities:      
Change in unrealized (gain) loss on open commodity futures contracts (184,838,398) 146,128,350 (15,817,312)
Change in unrealized (gain) loss on open swap contracts (14,903,211)    
(Increase) decrease in dividends receivable 792,123 (1,103,225) (5,150)
(Increase) decrease in interest receivable (3,264,454) (329,524) 8,906
(Increase) decrease in prepaid insurance (25,105) (3,519) 479
(Increase) decrease in prepaid registration fees     103,290
(Increase) decrease in ETF transaction fees receivable   (1,000) 1,000
Increase (decrease) in payable due to Broker 8,268,236    
Increase (decrease) in General Partner management fees payable 260,187 40,093 (11,747)
Increase (decrease) in professional fees payable (78,568) 288,069 (29,327)
Increase (decrease) in brokerage commissions payable 11,825 (6,462) 22,521
Increase (decrease) in directors' fees payable 13,065 10 2,479
Increase (decrease) in license fees payable 19,965 (6,778) 1,694
Increase (decrease) in related party payable   (4,500,000) 4,500,000
Net cash provided by (used in) operating activities (864,995,179) 215,535,503 7,177,034
Cash Flows from Financing Activities:      
Addition of partnership shares 3,310,238,894 1,298,186,833 474,128,846
Redemption of partnership shares (2,075,910,597) (1,329,901,038) (546,118,094)
Net cash provided by (used in) financing activities 1,234,328,297 (31,714,205) (71,989,248)
Net Increase (Decrease) in Cash and Cash Equivalents 369,333,118 183,821,298 (64,812,214)
Total Cash, Cash Equivalents and Equity in Trading Accounts, beginning of year 559,491,651 375,670,353 440,482,567
Total Cash, Cash Equivalents and Equity in Trading Accounts, end of year $ 928,824,769 $ 559,491,651 $ 375,670,353