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Condensed Schedule of Investments (Parenthetical)
3 Months Ended
Mar. 31, 2019
USD ($)
Collateral Amount On Open Futures Contracts $ 10,092,231
Cash Equivalents | United States Treasury Obligations | U.S. Treasury Bills 2.37%, 4/04/2019  
Interest rate 2.37%
Expiration date 4/04/2019
Cash Equivalents | United States Treasury Obligations | U.S. Treasury Bills 2.41%, 4/11/2019  
Interest rate 2.41%
Expiration date 4/11/2019
Cash Equivalents | United States Treasury Obligations | U.S. Treasury Bills 2.42%, 4/18/2019  
Interest rate 2.42%
Expiration date 4/18/2019
Cash Equivalents | United States Treasury Obligations | U.S. Treasury Bills 2.43%, 4/25/2019  
Interest rate 2.43%
Expiration date 4/25/2019
Cash Equivalents | United States Treasury Obligations | U.S. Treasury Bills 2.46%, 5/02/2019  
Interest rate 2.46%
Expiration date 5/02/2019
Cash Equivalents | United States Treasury Obligations | U.S. Treasury Bills 2.47%, 5/09/2019  
Interest rate 2.47%
Expiration date 5/09/2019
Cash Equivalents | United States Treasury Obligations | U.S. Treasury Bills 2.48%, 5/16/2019  
Interest rate 2.48%
Expiration date 5/16/2019
Cash Equivalents | United States Treasury Obligations | U.S. Treasury Bills 2.50%, 5/23/2019  
Interest rate 2.50%
Expiration date 5/23/2019
Cash Equivalents | United States Treasury Obligations | U.S. Treasury Bills 2.49%, 5/30/2019  
Interest rate 2.49%
Expiration date 5/30/2019
Cash Equivalents | United States Treasury Obligations | U.S. Treasury Bills 2.51%, 6/06/2019  
Interest rate 2.51%
Expiration date 6/06/2019
Cash Equivalents | United States Treasury Obligations | U.S. Treasury Bills 2.51%, 6/13/2019  
Interest rate 2.51%
Expiration date 6/13/2019
Cash Equivalents | United States Treasury Obligations | U.S. Treasury Bills 2.49%, 6/20/2019  
Interest rate 2.49%
Expiration date 6/20/2019
Cash Equivalents | United States Treasury Obligations | U.S. Treasury Bills 2.47%, 7/05/2019  
Interest rate 2.47%
Expiration date 7/05/2019
Cash Equivalents | United States Treasury Obligations | U.S. Treasury Bills 2.48%, 7/11/2019  
Interest rate 2.48%
Expiration date 7/11/2019
Cash Equivalents | United States Treasury Obligations | U.S. Treasury Bills 2.47%, 7/18/2019  
Interest rate 2.47%
Expiration date 7/18/2019
Cash Equivalents | United States Treasury Obligations | U.S. Treasury Bills 2.47%, 7/25/2019  
Interest rate 2.47%
Expiration date 7/25/2019
Cash Equivalents | United States Treasury Obligations | U.S. Treasury Bills 2.48%, 8/01/2019  
Interest rate 2.48%
Expiration date 8/01/2019
Cash Equivalents | United States Treasury Obligations | U.S. Treasury Bills 2.46%, 8/08/2019  
Interest rate 2.46%
Expiration date 8/08/2019
Cash Equivalents | United States Treasury Obligations | U.S. Treasury Bills 2.47%, 8/15/2019  
Interest rate 2.47%
Expiration date 8/15/2019
Cash Equivalents | United States Treasury Obligations | U.S. Treasury Bills 2.47%, 8/22/2019  
Interest rate 2.47%
Expiration date 8/22/2019
Cash Equivalents | United States Treasury Obligations | U.S. Treasury Bills 2.48%, 8/29/2019  
Interest rate 2.48%
Expiration date 8/29/2019
Cash Equivalents | United States Treasury Obligations | U.S. Treasury Bills 2.48%, 9/05/2019  
Interest rate 2.48%
Expiration date 9/05/2019
Cash Equivalents | United States Treasury Obligations | U.S. Treasury Bills 2.48%, 9/12/2019  
Interest rate 2.48%
Expiration date 9/12/2019
Cash Equivalents | United States Treasury Obligations | U.S. Treasury Bills 2.46%, 9/19/2019  
Interest rate 2.46%
Expiration date 9/19/2019
Cash Equivalents | United States Treasury Obligations | U.S. Treasury Bills 2.41%, 9/26/2019  
Interest rate 2.41%
Expiration date 9/26/2019