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Financial Highlights
9 Months Ended
Sep. 30, 2017
Teucrium Corn Fund [Member]  
Financial Highlights

Note 6 – Financial Highlights

 

The following tables present per unit performance data and other supplemental financial data for the three and nine months ended September 30, 2017 and 2016. This information has been derived from information presented in the financial statements and is presented with total expenses gross of expenses waived by the Sponsor and with total expenses net of expenses waived by the Sponsor, as appropriate.

 

Per Share Operation Performance  Three months ended
September 30, 2017
   Three months ended
September 30, 2016
   Nine months ended
September 30, 2017
   Nine months ended
September 30, 2016
 
Net asset value at beginning of period  $19.09   $20.34   $18.77   $21.24 
Income (loss) from investment operations:                    
Investment Income   0.06    0.03    0.15    0.08 
Net realized and unrealized loss on commodity futures contracts   (1.38)   (1.48)   (0.79)   (1.95)
Total expenses   (0.17)   (0.18)   (0.53)   (0.66)
Net decrease in net asset value   (1.49)   (1.63)   (1.17)   (2.53)
Net asset value at end of period  $17.60   $18.71   $17.60   $18.71 
Total Return   (7.81)%   (8.01)%   (6.23)%   (11.91)%
Ratios to Average Net Assets (Annualized)                    
Total expenses   4.35%   4.37%   4.29%   4.61%
Total expense, net   3.78%   3.70%   3.78%   4.35%
Net investment loss   (2.49)%   (3.16)%   (2.72)%   (3.81)%

 

The financial highlights per share data are calculated consistent with the methodology used to calculate asset-based fees and expenses.

Teucrium Soybean Fund [Member]  
Financial Highlights

Note 6Financial Highlights

 

The following tables present per unit performance data and other supplemental financial data for the three and nine months ended September 30, 2017 and 2016. This information has been derived from information presented in the financial statements. This information has been derived from information presented in the financial statements and is presented with total expenses gross of expenses waived by the Sponsor and with total expenses net of expenses waived by the Sponsor, as appropriate.

 

Per Share Operation Performance  

Three months

ended
September 30, 2017

   

Three months

ended
September 30, 2016

    Nine months
ended
September 30,
2017
   

Nine months

ended
September 30, 2016

 
Net asset value at beginning of period   $ 18.10     $ 21.37     $ 19.08     $ 17.34  
Income (loss) from investment operations:                                
Investment Income     0.06       0.02       0.15       0.07  
Net realized and unrealized gain (loss) on commodity futures contracts     0.35       (2.67 )     (0.38 )     1.69  
Total expenses     (0.18 )     (0.19 )     (0.52 )     (0.57 )
Net increase (decrease) in net asset value   0.23     (2.84 )     (0.75 )     1.19  
Net asset value at end of period   $ 18.33     $ 18.53     $ 18.33     $ 18.53  
Total Return     1.27 %     (13.29 )%     (3.93 )%     6.86 %
Ratios to Average Net Assets (Annualized)                                
Total expenses     4.89 %     6.04 %     4.34 %     4.79 %
Total expenses, net     3.85 %     4.03 %     3.70 %     4.03 %
Net investment loss     (2.55 )%     (3.49 )%     (2.63 )%     (3.50 )%

 

The financial highlights per share data are calculated consistent with the methodology used to calculate asset-based fees and expenses.

Teucrium Sugar Fund [Member]  
Financial Highlights

Note 6Financial Highlights

 

The following table presents per unit performance data and other supplemental financial data for the three and nine months ended September 30, 2017 and 2016. This information has been derived from information presented in the financial statements. This information has been derived from information presented in the financial statements and is presented with total expenses gross of expenses waived by the Sponsor and with total expenses net of expenses waived by the Sponsor, as appropriate.

 

Per Share Operation Performance  Three months ended
September 30, 2017
   Three months ended
September 30, 2016
   Nine months ended
September 30, 2017
   Nine months ended
September 30, 2016
 
Net asset value at beginning of period  $9.64   $12.92   $12.97   $10.02 
Income (loss) from investment operations:                    
Investment Income   0.03    0.02    0.09    0.04 
Net realized and unrealized (loss) gain on commodity futures contracts   (0.17)   1.79    (3.40)   4.79 
Total expenses   (0.07)   (0.08)   (0.23)   (0.20)
Net (decrease) increase in net asset value   (0.21)   1.73    (3.54)   4.63 
Net asset value at end of period  $9.43   $14.65   $9.43   $14.65 
Total Return   (2.18)%   13.39%   (27.29)%   46.21%
Ratios to Average Net Assets (Annualized)                    
Total expenses   5.28%   4.94%   4.41%   5.01%
Total expenses, net   2.95%   2.27%   2.82%   2.30%
Net investment loss   (1.70)%   (1.74)%   (1.77)%   (1.78)%

 

The financial highlights per share data are calculated consistent with the methodology used to calculate asset-based fees and expenses.

Teucrium Wheat Fund [Member]  
Financial Highlights

Note 6Financial Highlights

 

The following tables present per unit performance data and other supplemental financial data for the three and nine months ended September 30, 2017 and 2016. This information has been derived from information presented in the financial statements. This information has been derived from information presented in the financial statements and is presented with total expenses gross of expenses waived by the Sponsor and with total expenses net of expenses waived by the Sponsor, as appropriate.

 

Per Share Operation Performance   Three months ended
September 30, 2017
    Three months ended
September 30, 2016
    Nine months ended
September 30, 2017
    Nine months ended
September 30, 2016
 
Net asset value at beginning of period   $ 7.84     $ 8.22     $ 6.89     $ 9.15  
Income (loss) from investment operations:                                
Investment income     0.02       0.01       0.05       0.03  

Net realized and unrealized loss on commodity futures contracts

    (1.23 )     (0.96 )     (0.18 )     (1.73 )
Total expenses, net     (0.06 )     (0.08 )     (0.19 )     (0.26 )
Net decrease in net asset value, net of expenses waived by the Sponsor     (1.27 )     (1.03 )     (0.32 )     (1.96 )
Net asset value at end of period   $ 6.57     $ 7.19     $ 6.57     $ 7.19  
Total Return     (16.20 )%     (12.53 )%     (4.64 )%     (21.42 )%
Ratios to Average Net Assets                                
Total expenses     4.40 %     4.67 %     3.88 %     4.48 %
Total expenses, net     3.75 %     4.29 %     3.66 %     4.29 %
Net investment loss     (2.46 )%     (3.74 )%     (2.60 )%     (3.75 )%

 

The financial highlights per share data are calculated consistent with the methodology used to calculate asset-based fees and expenses.

Teucrium Agricultural Fund [Member]  
Financial Highlights

Note 5 – Financial Highlights

 

The following table presents per unit performance data and other supplemental financial data for the three and nine months ended September 30, 2017 and 2016. This information has been derived from information presented in the financial statements. This information has been derived from information presented in the financial statements and is presented with total expenses gross of expenses waived by the Sponsor and with total expenses net of expenses waived by the Sponsor, as appropriate.

 

 

Per Share Operation Performance  Three months ended
September 30, 2017
   Three months ended
September 30, 2016
   Nine months ended
September 30, 2017
   Nine months ended
September 30, 2016
 
Net asset value at beginning of period  $25.09   $28.80   $26.33   $26.59 
Income (loss) from investment operations:                    
Net realized and unrealized (loss) gain on investment transactions   (1.53)   (1.57)   (2.70)   0.71 
Total expenses   (0.03)   (0.03)   (0.10)   (0.10)
Net (decrease) increase in net asset value   (1.56)   (1.60)   (2.80)   0.61 
Net asset value at end of period  $23.53   $27.20   $23.53   $27.20 
Total Return   (6.22)%   (5.56)%   (10.63)%   2.29%
Ratios to Average Net Assets (Annualized)                    
Total expenses   2.45%   3.39%   3.99%   3.93%
Total expenses, net   0.50%   0.50%   0.50%   0.50%
Net investment loss   (0.50)%   (0.50)%   (0.50)%   (0.50)%

 

The financial highlights per share data are calculated consistent with the methodology used to calculate asset-based fees and expenses.