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Condensed Schedule of Investments (USD $)
Mar. 31, 2014
Cash Equivalents [Member]
 
% of Partners' Capital 42.62%
Market Values $ 11,010,647
Cash Equivalents [Member] | US Treasury Securities [Member] | U.S. Treasury Bill, 0.07%, 4/24/2014 [Member]
 
% of Partners' Capital 11.61%
Principal Amount 3,000,000
Market Values 2,999,875
Cash Equivalents [Member] | United States [Member] | Money Market Funds [Member]
 
% of Partners' Capital 31.01%
Market Values 8,010,772
Cash Equivalents [Member] | United States [Member] | Money Market Funds [Member] | Morgan Stanley Institutional Liquidity Fund - Government Portfolio [Member]
 
% of Partners' Capital 13.59%
Principal Amount 3,510,274
Market Values 3,510,274
Cash Equivalents [Member] | United States [Member] | Money Market Funds [Member] | Wells Fargo Advantage Government Money Market Fund - Class I [Member]
 
% of Partners' Capital 17.42%
Principal Amount 4,500,498
Market Values 4,500,498
Open Futures Contracts - Long [Member] | United States [Member] | ICE Brent Crude Oil Futures CO May 2014 contracts, expiring April 2014 [Member]
 
Number of Contracts 240 [1]
Unrealized Gain Loss On Open Commodity Contracts $ (247,600) [1]
% of Partners' Capital (0.96%) [1]
[1] Collateral amounted to $3,168,711 on open futures contracts.