v3.26.1
Statements of Income and Expenses - USD ($)
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
Investment Income:      
Interest income $ 3,900,176 $ 5,379,135 $ 5,635,325
Interest income allocated from the Funds 409,182 1,122,937 1,143,089
Total investment income 4,309,358 6,502,072 6,778,414
Expenses:      
Expenses allocated from the Funds 219,505 241,274 183,806
Clearing fees related to direct investments 1,313,965 1,009,305 768,039
Ongoing selling agent fees 852,027 1,044,947 1,128,173
Management fees 1,331,108 1,641,665 1,798,761
General Partner fees 867,453 1,063,381 1,151,344
Incentive fees 0 663,398 513,461
Professional fees 507,640 526,550 450,270
Total expenses 5,091,698 6,190,520 5,993,854
Net investment income (loss) (782,340) 311,552 784,560
Net gains (losses) on trading of commodity interests and investments in the Funds:      
Net realized gains (losses) on closed contracts (4,975,742) 149,778 4,463,628
Net realized gains (losses) on closed contracts allocated from the Funds 3,428,614 (4,073,019) (1,075,680)
Net change in unrealized gains (losses) on open contracts 2,155,144 (1,085,083) (2,175,156)
Net change in unrealized gains (losses) on open contracts allocated from the Funds (2,655,938) (413,882) (1,530,561)
Total trading results (2,047,922) (5,422,206) (317,769)
Net income (loss) (2,830,262) (5,110,654) 466,791
Class A [Member]      
Net gains (losses) on trading of commodity interests and investments in the Funds:      
Net income (loss) $ (2,775,218) $ (5,017,294) $ 441,453
Net income (loss) per Redeemable Unit [1] $ (73.22) $ (103.43) $ 8.86
Weighted average Redeemable Units outstanding 42,815.8832 50,503.4175 54,756.7504
Class D [Member]      
Net gains (losses) on trading of commodity interests and investments in the Funds:      
Net income (loss) $ (5,810) $ (8,207) $ 11,376
Net income (loss) per Redeemable Unit [1] $ (58.06) $ (82.02) $ 6.98
Weighted average Redeemable Units outstanding 100.058 100.058 416.308
Class Z [Member]      
Net gains (losses) on trading of commodity interests and investments in the Funds:      
Net income (loss) $ (49,234) $ (85,153) $ 13,962
Net income (loss) per Redeemable Unit [1] $ (44.9) $ (69.01) $ 24.24
Weighted average Redeemable Units outstanding 1,057.7273 1,217.0548 1,522.3543
[1] Represents the change in net asset value per Redeemable Unit.