v3.25.2
Statements of Income and Expenses - USD ($)
3 Months Ended 6 Months Ended
Jun. 30, 2025
Jun. 30, 2024
Jun. 30, 2025
Jun. 30, 2024
Investment Income:        
Interest income $ 1,021,339 $ 1,397,449 $ 2,055,707 $ 2,870,946
Interest income allocated from the Funds 87,849 307,900 217,229 612,768
Total investment income 1,109,188 1,705,349 2,272,936 3,483,714
Expenses:        
Expenses allocated from the Funds 56,704 58,509 119,339 97,215
Clearing fees related to direct investments 324,277 248,671 682,903 443,525
Ongoing selling agent fees 220,007 265,579 449,513 540,204
Management fees 334,675 419,811 692,588 855,897
General Partner fees 223,735 270,337 457,069 549,734
Incentive fees 0 (195,747) 0 460,557
Professional fees 124,746 131,676 250,797 264,495
Total expenses 1,284,144 1,198,836 2,652,209 3,211,627
Net investment income (loss) (174,956) 506,513 (379,273) 272,087
Net gains (losses) on trading of commodity interests and investments in the Funds:        
Net realized gains (losses) on closed contracts 1,169,657 (750,867) 1,356,180 4,471,720
Net realized gains (losses) on closed contracts allocated from the Funds (1,222,964) 434,333 1,729,888 635,455
Net change in unrealized gains (losses) on open contracts (1,158,889) (1,536,402) 679,623 (2,246,666)
Net change in unrealized gains (losses) on open contracts allocated from the Funds (228,109) (1,538,152) (1,076,332) (2,588,713)
Total trading results (1,440,305) (3,391,088) 2,689,359 271,796
Net income (loss) (1,615,261) (2,884,575) 2,310,086 543,883
Class A [Member]        
Net gains (losses) on trading of commodity interests and investments in the Funds:        
Net income (loss) $ (1,586,110) $ (2,828,569) $ 2,255,049 $ 526,000
Net income (loss) per Redeemable Unit [1] $ (35.04) $ (55.36) $ 49.57 $ 8.93
Weighted average Redeemable Units outstanding 43,861 51,007.4707 44,700.9255 51,401.4252
Class D [Member]        
Net gains (losses) on trading of commodity interests and investments in the Funds:        
Net income (loss) $ (2,779) $ (4,393) $ 3,934 $ 708
Net income (loss) per Redeemable Unit [1] $ (27.78) $ (43.89) $ 39.32 $ 7.09
Weighted average Redeemable Units outstanding 100.058 100.058 100.058 100.058
Class Z [Member]        
Net gains (losses) on trading of commodity interests and investments in the Funds:        
Net income (loss) $ (26,372) $ (51,613) $ 51,103 $ 17,175
Net income (loss) per Redeemable Unit [1] $ (25.03) $ (41.56) $ 49.69 $ 15.95
Weighted average Redeemable Units outstanding 1,024.9813 1,242.489 1,030.9477 1,231.6457
[1] Represents the change in net asset value per Redeemable Unit during the period.