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Statements of Financial Condition - USD ($)
Dec. 31, 2018
Dec. 31, 2017
Assets:    
Investment in the Fund(s), at fair value (Note 6) [1] $ 1,492,447 $ 6,430,471
Redemptions receivable from the Fund(s) 276,352 501,270
Equity in trading account:    
Unrestricted cash (Note 3c) 3,462,890  
Restricted cash (Note 3c) 118,195 0
Total equity in trading account 3,581,085  
Expense reimbursement 15,047  
Cash at bank (Note 1)   1,000
Interest receivable (Note 3c) 7,851 1,627
Total assets 5,372,782 6,934,368
Liabilities:    
Net unrealized depreciation on open futures contracts 10,645  
Accrued expenses:    
Ongoing placement agent fees (Note 3d) 8,623 11,824
General Partner fees (Note 3a) 3,279 9,460
Management fees (Note 3b) 3,999 8,868
Incentive fees (Note 3b) 18,653  
Professional fees 85,695  
Redemptions payable to General Partner (Note 7)   25,000
Redemptions payable to Limited Partners (Note 7) 84,066 446,118
Total liabilities 214,960 501,270
Partners' Capital (Notes 1 and 7):    
Total partners' capital (net asset value) 5,157,822 6,433,098
Total liabilities and partners' capital 5,372,782 6,934,368
Futures Contracts [Member]    
Liabilities:    
Net unrealized depreciation on open futures contracts 10,645  
Class A [Member]    
Partners' Capital (Notes 1 and 7):    
General Partner   70,104
Limited Partners, Class A, 583,751.985 and 744,227.936 Units outstanding at December 31, 2018 and 2017, respectively 5,085,280 6,362,994
Total partners' capital (net asset value) $ 5,085,280 $ 6,433,098
Net asset value per unit $ 8.71 $ 8.55
Class Z [Member]    
Partners' Capital (Notes 1 and 7):    
General Partner $ 72,542  
Total partners' capital (net asset value) $ 72,542  
Net asset value per unit $ 10.32  
[1] Defined in Note 1.