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Statements of Financial Condition (USD $)
Dec. 31, 2012
Dec. 31, 2011
Assets:    
Investment in Funds, at fair value (Note 5) $ 18,321,947 $ 22,884,691
Cash (Note 3c) 60,923 70,392
Total assets 18,382,870 22,955,083
Liabilities:    
Brokerage fees (Note 3c) 82,723 103,298
Management fees (Note 3b) 24,472 30,483
Professional fees 49,687 65,623
Other 14,260 16,064
Redemptions payable (Note 6) 192,306 318,128
Total liabilities 363,448 533,596
Partners' Capital: (Notes 1 and 6)    
General Partner, 157.9234 unit equivalents outstanding at December 31, 2012 and 2011 253,022 284,865
Limited Partners, 11,088.9038 and 12,272.1137 Redeemable Units outstanding at December 31, 2012 and 2011, respectively 17,766,400 22,136,622
Total partners' capital 18,019,422 22,421,487
Total liabilities and partners' capital $ 18,382,870 $ 22,955,083
Net asset value per unit 1,602.18 1,803.82