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Condensed Schedule of Investments [Parenthetical] (USD $)
6 Months Ended
Jun. 30, 2014
Collateral amount on open futures contracts $ 1,573,065
Cash Equivalents [Member] | U.S. Treasury Bill,0.03%, 8/28/2014 [Member]
 
Interest rate 0.03%
Expiration date 8/28/2014
Cash Equivalents [Member] | U.S. Treasury Bills,0.04%, 10/30/2014 [Member]
 
Interest rate 0.04%
Expiration date 10/30/2014
Cash Equivalents [Member] | U.S. Treasury Bills,0.05%, 12/26/2014 [Member]
 
Interest rate 0.05%
Expiration date 12/26/2014
Open Futures Contracts - Long [Member] | ICE Brent Crude Oil Futures CO August 2014 contracts, expiring July 2014 [Member]
 
Expiration date July 2014