v3.26.1
Statements of Financial Condition - USD ($)
Jun. 30, 2026
Dec. 31, 2025
Assets    
Cash and cash equivalents (at cost $287,602,465 and $438,463,080, respectively) (Notes 2 and 5) $ 287,602,465 $ 438,463,080 [1]
Equity in trading accounts:    
Cash and cash equivalents (at cost $125,250,865 and $138,387,589, respectively) 125,250,865 138,387,589
Unrealized gain (loss) on open commodity futures contracts 7,579,576 928,964
Unrealized gain (loss) on open swap contracts (878) (907)
Dividends receivable 717,713 1,018,940
Interest receivable 432,882 624,892
Prepaid insurance 89,336 67,288
ETF transaction fees receivable 350  
Total Assets 421,672,309 579,489,846
Liabilities and Partners' Capital    
Payable due to Broker 1,537,512 27,010,990
Payable for shares redeemed 1,178,411  
General Partner management fees payable (Note 3) 215,167 287,984
Professional fees payable 1,030,014 1,522,531
Directors' fees payable 6,378 18,185
License fees payable 4,831 9,356
Registration fees payable 472 472
Total Liabilities 3,972,785 28,849,518
Commitments and Contingencies (Notes 3, 4 & 5)
Partners' Capital    
General Partners 0 0
Limited Partners 417,699,524 550,640,328
Total Partners' Capital 417,699,524 550,640,328
Total Liabilities and Partners' Capital $ 421,672,309 $ 579,489,846
Limited Partners' shares outstanding 35,446,103 45,146,103
Net asset value per share $ 11.78 $ 12.2
Market value per share $ 11.72 $ 12.26
[1] A portion of this amount is designated to meet daily Futures Commission Merchants’ margin requirements.