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Schedule of Investments - SIT RISING RATE ETF [Member]
6 Months Ended 9 Months Ended
Jun. 30, 2015
USD ($)
Contracts
shares
Mar. 31, 2016
USD ($)
Contracts
shares
Investment Owned, at Fair Value $ 6,061,502 $ 19,502,915
Investment Owned, Balance, Principal Amount 6,608 48,032
US Treasury Securities [Member]    
Investment Owned, at Fair Value   18,248,996
First American US Treasury Money Market Fund [Member]    
Investment Owned, at Fair Value   681,076
Purchased Options [Member]    
Investment Owned, at Fair Value $ 16,500 $ 8,375
Purchased Options [Member] | CBT U.S. Treasury 10 Year Note [Member]    
Investment Owned, Balance, Contracts | Contracts 22 67
Investment Owned, at Fair Value $ 16,500 $ 8,375
Short-term Investments [Member]    
Investment Owned, at Fair Value $ 5,661,952 18,930,072
Short-term Investments [Member] | US Treasury Securities [Member]    
Investment Owned, at Fair Value   18,248,996
Investment Owned, Balance, Principal Amount   $ 18,250,000
Short-term Investments [Member] | First American US Treasury Money Market Fund [Member]    
Investment Owned, Balance, Shares | shares 5,661,952 [1] 681,076 [2]
Investment Owned, at Fair Value $ 5,661,952 [1] $ 681,076 [2]
Investments [Member]    
Investment Owned, at Fair Value 5,678,452 18,938,447
Assets in Excess of Other Liabilities [Member]    
Investment Owned, at Fair Value 383,050 [3] 564,468 [4]
Written Options Contracts [Member]    
Investment Owned, at Fair Value $ (27,070) $ (190,117)
Written Options Contracts [Member] | CBT U.S. Treasury 5 Year Note [Member]    
Investment Owned, Balance, Contracts | Contracts 45 157
Investment Owned, at Fair Value $ (27,070) $ (190,117)
Short Futures Contracts [Member] | CBT U.S. Treasury 5 Year Note [Member]    
Investment Owned, Balance, Contracts | Contracts 24 77
Investment Owned, Unrealized Gain/(Loss) $ 9,187 $ 3,500
Short Futures Contracts [Member] | CBT U.S. Treasury 2 Year Note [Member]    
Investment Owned, Balance, Contracts | Contracts 63 190
Investment Owned, Unrealized Gain/(Loss) $ (2,579) $ 44,532
[1] Annualized seven-day yield as of June 30, 2015
[2] Annualized seven-day yield as of March 31, 2016
[3] $411,045 of cash is pledged as collateral for futures contracts and written options
[4] $731,483 of cash is pledged as collateral for futures contracts and written options