XML 17 R2.htm IDEA: XBRL DOCUMENT v3.21.2
Condensed Statements of Financial Condition (Unaudited) - USD ($)
Jun. 30, 2021
Dec. 31, 2020
Assets    
Cash and cash equivalents (at cost $- and $311,507,932, respectively) (Notes 2 and 5) $ 238,613,805 $ 311,507,932
Equity in trading accounts:    
Cash and cash equivalents (at cost $- and $33,830,326, respectively) 74,940,810 33,830,326
Unrealized gain (loss) on open commodity futures contracts 6,209,650 2,196,530
Receivable for shares sold 0 1,936,691
Receivable from General Partner (Note 3) 0 660,603
Dividends receivable 4,649 267
Interest receivable 4,787 11,948
Prepaid insurance* [1] 48,736 2,399
Prepaid registration fees 0 94,582
Total Assets 319,822,437 350,241,278
Liabilities and Partners' Capital    
General Partner management fees payable (Note 3) 196,713 221,384
Professional fees payable 168,238 161,123
Brokerage commissions payable 17,169 21,299
Directors' fees payable* [1] 4,962 4,727
Registration fees payable 33,928 0
Total Liabilities 421,010 408,533
Commitments and Contingencies (Notes 3, 4 & 5)
Partners' Capital    
General Partners 0 0
Limited Partners 319,401,427 349,832,745
Total Partners' Capital 319,401,427 349,832,745
Total Liabilities and Partners' Capital $ 319,822,437 $ 350,241,278
Limited Partners' shares outstanding 16,600,000 27,100,000
Net asset value per share $ 19.24 $ 12.91
Market value per share $ 19.25 $ 12.88
[1] Certain prior year amounts have been reclassified for consistency with the current presentation.