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Statements of Financial Condition (Unaudited) - USD ($)
Mar. 31, 2022
Dec. 31, 2021
Assets    
United States Treasury Obligations, at value (cost $679,251,853 and $622,009,958, respectively) $ 679,086,621 $ 622,017,111
Affiliated investments, at value (cost $3,302,125,979 and $2,003,793,764, respectively) 3,302,412,035 2,004,216,762
Other investments:    
LME Commodity Futures Contracts receivable 16,580,767 9,047,339
Unrealized appreciation on LME Commodity Futures Contracts 92,039,329 29,778,683
Cash held by custodian 95,855,327  
Receivable for:    
Fund shares sold 13,030,121  
Dividends from affiliates 361,774 37,411
Total assets 4,199,365,974 2,665,097,306
Other investments:    
Variation margin payable- Commodity Futures Contracts 84,108,738 33,686,495
Payable for:    
Fund shares reacquired 10,424,097  
Management fees 2,946,103 1,862,185
Brokerage commissions and fees 4,543 3,511
Total liabilities 97,483,481 35,552,191
Commitments and Contingencies (Note 10)
Equity    
Shareholder's equity—General Shares 1,042 829
Shareholders' equity—Shares 4,101,881,451 2,629,544,286
Total shareholders' equity 4,101,882,493 2,629,545,115
Total liabilities and equity $ 4,199,365,974 $ 2,665,097,306
General Shares outstanding 40 40
Shares outstanding 157,400,000 126,900,000
Net asset value per share $ 26.06 $ 20.72
Market value per share $ 26.08 $ 20.78