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Condensed Statements of Financial Condition - USD ($)
Jun. 30, 2023
Dec. 31, 2022
Assets    
Cash and cash equivalents (at cost $- and $21,025,033, respectively) $ 32,621,720 $ 21,025,033
Equity in trading accounts:    
Cash and cash equivalents (at cost $- and $69,049,486, respectively) 45,434,147 69,049,486
Unrealized gain (loss) on open commodity futures contracts (4,597,000) (3,133,690)
Dividends receivable 58,608 89,236
Interest receivable 213,453 180,448
Prepaid license fees 4,596 3,717
Prepaid insurance and Other [1] 20,321 8,077
ETF transaction fees receivable 0 350
Total Assets 73,755,845 87,222,657
Liabilities and Partners' Capital    
Payable for shares redeemed 0 3,545,150
General Partner management fees payable 36,463 45,709
Professional fees payable 141,257 308,982
Brokerage commissions payable 12,602 12,602
Directors' fees payable [1] 1,443 1,882
Total Liabilities 191,765 3,914,325
Commitments and Contingencies (Notes 3, 4 & 5)
Partners' Capital    
General Partners 0 0
Limited Partners 73,564,080 83,308,332
Total Partners' Capital 73,564,080 83,308,332
Total Liabilities and Partners' Capital $ 73,755,845 $ 87,222,657
Limited Partners' shares outstanding 2,250,000 2,350,000
Net asset value per share $ 32.70 $ 35.45
Market value per share $ 32.62 $ 35.50
[1] Certain prior year amounts have been reclassified for consistency with the current presentation.