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Financial Highlights (Tables) (Teucrium WTI Crude Oil Fund [Member])
9 Months Ended
Sep. 30, 2013
Teucrium WTI Crude Oil Fund [Member]
 
Schedule of Financial Highlights

 

Per Share Operation Performance for the nine months ended September 30, 2013        
Net asset value at beginning of period   $ 39.87  
Income from investment operations:        
Investment income     0.01  
Net realized and unrealized gain on commodity futures contracts     2.16  
Total expenses     (0.45 )
Net increase in net asset value     1.72  
Net asset value at end of period   $ 41.59  
Total Return     4.31 %
Ratios to Average Net Assets (Annualized)        
Total expense     1.50 %
Net investment loss     (1.45 )%

  

 

Per Share Operation Performance for the nine months ended September 30, 2012        
Net asset value at beginning of period   $ 44.45  
Income from investment operations:        
Investment income     0.03  
Net realized and unrealized loss on commodity futures contracts     (1.77
Total expenses     (2.38 )
Net decrease in net asset value     (4.12 )
Net asset value at end of period   $ 40.33  
Total Return     (9.27 )%
Ratios to Average Net Assets (Annualized)        
Total expense     7.26 %
Net investment loss     (7.17 )%