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Investments - Schedule of Fair Value of Derivative Instruments (Details) - Interest Rate Risk [Member] - USD ($)
6 Months Ended 12 Months Ended
Dec. 31, 2024
Jun. 30, 2024
Dry Bulk Index Rates Market Risk [Member]    
Schedule of Fair Value of Derivative Instruments [Line Items]    
Total [1] $ 2,302,435 $ 788,675
Dry Bulk Index Rates Market Risk [Member] | Asset Derivatives [Member]    
Schedule of Fair Value of Derivative Instruments [Line Items]    
Combined Statements of Assets and Liabilities Unrealized appreciation on futures contracts
Fair Value $ 992,720 $ 328,945
Dry Bulk Index Rates Market Risk [Member] | Liability Derivatives [Member]    
Schedule of Fair Value of Derivative Instruments [Line Items]    
Combined Statements of Assets and Liabilities Unrealized depreciation on futures contracts Payable on open futures contracts and Unrealized depreciation on futures contracts
Fair Value $ 3,295,155 $ 1,117,620
Crude Oil Tanker Index Rates Market Risk [Member]    
Schedule of Fair Value of Derivative Instruments [Line Items]    
Total [1] $ 184,850 $ 115,880
Crude Oil Tanker Index Rates Market Risk [Member] | Asset Derivatives [Member]    
Schedule of Fair Value of Derivative Instruments [Line Items]    
Combined Statements of Assets and Liabilities Unrealized appreciation on futures contracts Unrealized appreciation on futures contracts
Fair Value
Crude Oil Tanker Index Rates Market Risk [Member] | Liability Derivatives [Member]    
Schedule of Fair Value of Derivative Instruments [Line Items]    
Combined Statements of Assets and Liabilities Unrealized depreciation on futures contracts Unrealized depreciation on futures contracts
Fair Value $ 184,850 $ 115,880
[1] Represents cumulative depreciation of futures contracts as reported in the Combined Statements of Assets and Liabilities.