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Combined Schedule of Investments - Investments (Details) - USD ($)
Dec. 31, 2022
Dec. 31, 2021
Commodity Futures Contracts [Member]    
Fair value   $ 13,415,301
Percentage of net assets   5.07%
Notional amount, asset   $ 234,855,437
Money Market Funds [Member]    
Cost $ 188,640,417 32,968,833
Fair value $ 188,640,417 $ 32,968,833
Percentage of net assets 40.54% 12.48%
Shares (in shares)  
Money Market Funds [Member] | First American Government Obligations Fund - Class X [Member]    
Index 4.105% 0.026%
Cost $ 28,382,122 $ 30,443,449
Fair value $ 28,382,122 $ 30,443,449
Percentage of net assets 6.10% 11.52%
Shares (in shares) 28,382,122 30,443,449
Money Market Funds [Member] | Goldman Sachs Financial Square Government Fund - Institutional Class [Member]    
Index 4.14% 0.03%
Cost $ 160,258,295 $ 2,525,384
Fair value $ 160,258,295 $ 2,525,384
Percentage of net assets 34.44% 0.96%
Shares (in shares) 160,258,295 2,525,384
Commercial Paper [Member]    
Cost $ 198,351,250 $ 119,951,019
Fair value $ 199,360,060 $ 119,980,366
Percentage of net assets 42.84% 45.38%
Commercial Paper [Member] | American Electric Power Company, Inc. [Member]    
Index 4.565%  
Cost $ 4,968,750  
Fair value $ 4,990,000  
Percentage of net assets 1.07%  
Maturity date Jan. 17, 2023  
Principal amount $ 5,000,000  
Commercial Paper [Member] | Brookfield Infrastructure Holdings (Canada) Inc. [Member]    
Index   0.17%
Cost   $ 2,499,021
Fair value   $ 2,499,717
Percentage of net assets   0.95%
Maturity date   Jan. 25, 2022
Principal amount   $ 2,500,000
Commercial Paper [Member] | Entergy Corporation [Member]    
Index 4.311%  
Cost $ 9,926,808  
Fair value $ 9,996,460  
Percentage of net assets 2.15%  
Maturity date Jan. 04, 2023  
Principal amount $ 10,000,000  
Commercial Paper [Member] | Humana Inc. [Member]    
Index 4.67% 0.14%
Cost $ 7,448,250 $ 4,998,425
Fair value $ 7,492,333 $ 4,999,883
Percentage of net assets 1.61% 1.89%
Maturity date Jan. 09, 2023 Jan. 07, 2022
Principal amount $ 7,500,000 $ 5,000,000
Commercial Paper [Member] | Jabil Inc. [Member]    
Index 5.073%  
Cost $ 4,980,555  
Fair value $ 4,991,667  
Percentage of net assets 1.07%  
Maturity date Jan. 13, 2023  
Principal amount $ 5,000,000  
Commercial Paper [Member] | Hyundai Capital America [Member]    
Index 4.00%  
Cost $ 9,903,645  
Fair value $ 9,990,145  
Percentage of net assets 2.15%  
Maturity date Jan. 10, 2023  
Principal amount $ 10,000,000  
Commercial Paper [Member] | ITT Inc. [Member]    
Index 4.475%  
Cost $ 4,965,088  
Fair value $ 4,988,975  
Percentage of net assets 1.07%  
Maturity date Jan. 19, 2023  
Principal amount $ 5,000,000  
Commercial Paper [Member] | VW Credit, Inc. [Member]    
Index 4.434%  
Cost $ 7,448,106  
Fair value $ 7,483,613  
Percentage of net assets 1.61%  
Maturity date Jan. 19, 2023  
Principal amount $ 7,500,000  
Commercial Paper [Member] | Investment One [Member] | Albemarle Corporation [Member]    
Index   0.181%
Cost   $ 9,996,324
Fair value   $ 9,998,489
Percentage of net assets   3.78%
Maturity date   Jan. 31, 2022
Principal amount   $ 10,000,000
Commercial Paper [Member] | Investment One [Member] | Brookfield Infrastructure Holdings (Canada) Inc. [Member]    
Index 4.742%  
Cost $ 14,877,488  
Fair value $ 14,968,886  
Percentage of net assets 3.22%  
Maturity date Jan. 17, 2023  
Principal amount $ 15,000,000  
Commercial Paper [Member] | Investment One [Member] | CNH Industrial Capital LLC [Member]    
Index 4.566%  
Cost $ 9,935,000  
Fair value $ 9,972,500  
Percentage of net assets 2.14%  
Maturity date Jan. 23, 2023  
Principal amount $ 10,000,000  
Commercial Paper [Member] | Investment One [Member] | Conagra Brands, Inc. [Member]    
Index   0.16%
Cost   $ 7,497,300
Fair value   $ 7,499,867
Percentage of net assets   2.84%
Maturity date   Jan. 05, 2022
Principal amount   $ 7,500,000
Commercial Paper [Member] | Investment One [Member] | Crown Castle Inc. [Member]    
Index 4.877%  
Cost $ 7,443,000  
Fair value $ 7,491,000  
Percentage of net assets 1.61%  
Maturity date Jan. 10, 2023  
Principal amount $ 7,500,000  
Commercial Paper [Member] | Investment One [Member] | General Motors Financial Company, Inc. [Member]    
Index 4.276% 0.16%
Cost $ 12,400,060 $ 4,998,000
Fair value $ 12,486,207 $ 4,999,889
Percentage of net assets 2.68% 1.89%
Maturity date Jan. 10, 2023 Jan. 06, 2022
Principal amount $ 12,500,000 $ 5,000,000
Commercial Paper [Member] | Investment One [Member] | Harley-Davidson Financial Services, Inc. [Member]    
Index 4.721% 0.167%
Cost $ 5,263,032 $ 9,996,061
Fair value $ 5,298,631 $ 9,999,444
Percentage of net assets 1.14% 3.78%
Maturity date Jan. 03, 2023 Jan. 13, 2022
Principal amount $ 5,300,000 $ 10,000,000
Commercial Paper [Member] | Investment One [Member] | Glencore Funding LLC [Member]    
Index 4.506%  
Cost $ 9,934,607  
Fair value $ 9,988,895  
Percentage of net assets 2.15%  
Maturity date Jan. 10, 2023  
Principal amount $ 10,000,000  
Commercial Paper [Member] | Investment One [Member] | Jabil Inc. [Member]    
Index   0.25%
Cost   $ 2,499,219
Fair value   $ 2,499,670
Percentage of net assets   0.95%
Maturity date   Jan. 20, 2022
Principal amount   $ 2,500,000
Commercial Paper [Member] | Investment One [Member] | Viatris Inc. [Member]    
Index   0.25%
Cost   $ 4,997,466
Fair value   $ 4,998,577
Percentage of net assets   1.89%
Maturity date   Feb. 11, 2022
Principal amount   $ 5,000,000
Commercial Paper [Member] | Investment One [Member] | Oracle Corporation [Member]    
Index 4.358%  
Cost $ 4,973,125  
Fair value $ 4,997,611  
Percentage of net assets 1.07%  
Maturity date Jan. 05, 2023  
Principal amount $ 5,000,000  
Commercial Paper [Member] | Investment One [Member] | WGL Holdings, Inc. [Member]    
Index   0.22%
Cost   $ 4,998,686
Fair value   $ 4,999,664
Percentage of net assets   1.89%
Maturity date   Jan. 12, 2022
Principal amount   $ 5,000,000
Commercial Paper [Member] | Investment One [Member] | V.F. Corporation [Member]    
Index 4.364%  
Cost $ 4,959,390  
Fair value $ 4,990,444  
Percentage of net assets 1.07%  
Maturity date Jan. 17, 2023  
Principal amount $ 5,000,000  
Commercial Paper [Member] | Investment One [Member] | Walgreens Boots Alliance, Inc. [Member]    
Index 4.842%  
Cost $ 4,970,188  
Fair value $ 4,971,512  
Percentage of net assets 1.07%  
Maturity date Feb. 13, 2023  
Principal amount $ 5,000,000  
Commercial Paper [Member] | Investment Two [Member] | Albemarle Corporation [Member]    
Index   0.20%
Cost   $ 4,998,834
Fair value   $ 4,999,722
Percentage of net assets   1.89%
Maturity date   Jan. 11, 2022
Principal amount   $ 5,000,000
Commercial Paper [Member] | Investment Two [Member] | Brookfield Infrastructure Holdings (Canada) Inc. [Member]    
Index 4.734%  
Cost $ 4,959,225  
Fair value $ 4,989,644  
Percentage of net assets 1.07%  
Maturity date Jan. 17, 2023  
Principal amount $ 5,000,000  
Commercial Paper [Member] | Investment Two [Member] | CNH Industrial Capital LLC [Member]    
Index 4.78%  
Cost $ 9,899,472  
Fair value $ 9,943,862  
Percentage of net assets 2.14%  
Maturity date Feb. 13, 2023  
Principal amount $ 10,000,000  
Commercial Paper [Member] | Investment Two [Member] | Conagra Brands, Inc. [Member]    
Index   0.15%
Cost   $ 4,998,710
Fair value   $ 4,999,646
Percentage of net assets   1.89%
Maturity date   Jan. 18, 2022
Principal amount   $ 5,000,000
Commercial Paper [Member] | Investment Two [Member] | Crown Castle Inc. [Member]    
Index 4.765%  
Cost $ 12,449,410  
Fair value $ 12,482,050  
Percentage of net assets 2.68%  
Maturity date Jan. 12, 2023  
Principal amount $ 12,500,000  
Commercial Paper [Member] | Investment Two [Member] | General Motors Financial Company, Inc. [Member]    
Index 4.473% 0.20%
Cost $ 7,418,417 $ 9,995,111
Fair value $ 7,484,417 $ 9,998,333
Percentage of net assets 1.61% 3.78%
Maturity date Jan. 18, 2023 Jan. 31, 2022
Principal amount $ 7,500,000 $ 10,000,000
Commercial Paper [Member] | Investment Two [Member] | Harley-Davidson Financial Services, Inc. [Member]    
Index 4.944% 0.17%
Cost $ 7,458,402 $ 4,997,876
Fair value $ 7,475,650 $ 4,999,268
Percentage of net assets 1.61% 1.89%
Maturity date Jan. 25, 2023 Feb. 01, 2022
Principal amount $ 7,500,000 $ 5,000,000
Commercial Paper [Member] | Investment Two [Member] | Glencore Funding LLC [Member]    
Index 4.526%  
Cost $ 5,461,843  
Fair value $ 5,491,823  
Percentage of net assets 1.18%  
Maturity date Jan. 13, 2023  
Principal amount $ 5,500,000  
Commercial Paper [Member] | Investment Two [Member] | Jabil Inc. [Member]    
Index   0.30%
Cost   $ 7,496,063
Fair value   $ 7,497,625
Percentage of net assets   2.84%
Maturity date   Feb. 08, 2022
Principal amount   $ 7,500,000
Commercial Paper [Member] | Investment Two [Member] | Viatris Inc. [Member]    
Index   0.30%
Cost   $ 4,996,625
Fair value   $ 4,998,292
Percentage of net assets   1.89%
Maturity date   Feb. 11, 2022
Principal amount   $ 5,000,000
Commercial Paper [Member] | Investment Two [Member] | Oracle Corporation [Member]    
Index 4.361%  
Cost $ 9,931,919  
Fair value $ 9,980,889  
Percentage of net assets 2.14%  
Maturity date Jan. 17, 2023  
Principal amount $ 10,000,000  
Commercial Paper [Member] | Investment Two [Member] | WGL Holdings, Inc. [Member]    
Index   0.187%
Cost   $ 4,998,700
Fair value   $ 4,999,870
Percentage of net assets   1.89%
Maturity date   Jan. 06, 2022
Principal amount   $ 5,000,000
Commercial Paper [Member] | Investment Two [Member] | V.F. Corporation [Member]    
Index 4.669%  
Cost $ 6,456,811  
Fair value $ 6,473,422  
Percentage of net assets 1.39%  
Maturity date Feb. 02, 2023  
Principal amount $ 6,500,000  
Commercial Paper [Member] | Investment Two [Member] | Walgreens Boots Alliance, Inc. [Member]    
Index 4.827%  
Cost $ 4,959,098  
Fair value $ 4,961,736  
Percentage of net assets 1.07%  
Maturity date Feb. 28, 2023  
Principal amount $ 5,000,000  
Commercial Paper [Member] | Investment Three [Member] | General Motors Financial Company, Inc. [Member]    
Index   0.16%
Cost   $ 4,998,800
Fair value   $ 4,999,956
Percentage of net assets   1.89%
Maturity date   Jan. 03, 2022
Principal amount   $ 5,000,000
Commercial Paper [Member] | Investment Three [Member] | Harley-Davidson Financial Services, Inc. [Member]    
Index 5.104% 0.25%
Cost $ 4,959,561 $ 4,997,328
Fair value $ 4,977,688 $ 4,997,918
Percentage of net assets 1.07% 1.89%
Maturity date Feb. 02, 2023 Mar. 02, 2022
Principal amount $ 5,000,000 $ 5,000,000
Commercial Paper [Member] | Investment Three [Member] | Jabil Inc. [Member]    
Index   0.31%
Cost   $ 4,996,900
Fair value   $ 4,997,632
Percentage of net assets   1.89%
Maturity date   Feb. 25, 2022
Principal amount   $ 5,000,000
Commercial Paper [Member] | Investment Three [Member] | Viatris Inc. [Member]    
Index   0.31%
Cost   $ 4,996,986
Fair value   $ 4,997,460
Percentage of net assets   1.89%
Maturity date   Mar. 01, 2022
Principal amount   $ 5,000,000
Commercial Paper [Member] | Investment Four [Member] | Viatris Inc. [Member]    
Index   0.20%
Cost   $ 4,998,584
Fair value   $ 4,999,444
Percentage of net assets   1.89%
Maturity date   Jan. 21, 2022
Principal amount   $ 5,000,000
Corn Futures Contracts [Member] | CBOT Corn Futures JUL23 [Member]    
Fair value $ 1,585,798,000  
Percentage of net assets 0.34%  
Number of contracts 1,363  
Notional amount, asset $ 45,779,763,000  
Corn Futures Contracts [Member] | CBOT Corn Futures MAY22 [Member]    
Fair value   $ 3,767,282
Percentage of net assets   1.43%
Number of contracts   1,418
Notional amount, asset   $ 42,185,500
Corn Futures Contracts [Member] | CBOT Corn Futures JUL22 [Member]    
Fair value   $ 196,244
Percentage of net assets   0.07%
Number of contracts   1,218
Notional amount, asset   $ 36,144,150
Corn Futures Contracts [Member] | CBOT Corn Futures DEC22 [Member]    
Fair value   $ 1,973,026
Percentage of net assets   0.75%
Number of contracts   1,558
Notional amount, asset   $ 42,533,400
Exchange Traded Funds [Member]    
Cost [1] 39,425,287 12,799,498
Fair value [1] $ 39,572,698 $ 14,178,019
Percentage of net assets [1] 8.49% 5.37%
Shares (in shares) [1]
Exchange Traded Funds [Member] | Teucrium Corn Fund [Member]    
Cost [1]
Fair value [1] $ 9,885,980 $ 3,537,560
Percentage of net assets [1] 2.12% 1.34%
Shares (in shares) [1] 367,555 163,930
Exchange Traded Funds [Member] | Teucrium Soybean Fund [Member]    
Cost [1]
Fair value [1] $ 9,921,042 $ 3,538,006
Percentage of net assets [1] 2.13% 1.34%
Shares (in shares) [1] 348,075 155,374
Exchange Traded Funds [Member] | Teucrium Sugar Fund [Member]    
Cost [1]
Fair value [1] $ 9,745,653 $ 3,591,878
Percentage of net assets [1] 2.09% 1.36%
Shares (in shares) [1] 1,024,284 389,317
Exchange Traded Funds [Member] | Teucrium Wheat Fund [Member]    
Cost [1]
Fair value [1] $ 10,020,023 $ 3,510,575
Percentage of net assets [1] 2.15% 1.33%
Shares (in shares) [1] 1,254,840 475,836
Soybean Futures Contracts [Member] | CBOT Soybean Futures MAR23 [Member]    
Fair value $ 642,912,000  
Percentage of net assets 0.14%  
Number of contracts 268  
Notional amount, asset $ 20,421,600,000  
Soybean Futures Contracts [Member] | CBOT Soybean Futures MAY23 [Member]    
Fair value $ 807,218,000  
Percentage of net assets 0.17%  
Number of contracts 229  
Notional amount, asset $ 17,518,500,000  
Soybean Futures Contracts [Member] | CBOT Soybean Futures NOV23 [Member]    
Fair value $ 1,070,240,000  
Percentage of net assets 0.23%  
Number of contracts 289  
Notional amount, asset $ 20,472,038,000  
Soybean Futures Contracts [Member] | CBOT Soybean Futures MAR22 [Member]    
Fair value   $ 591,547
Percentage of net assets   0.22%
Number of contracts   234
Notional amount, asset   $ 15,669,225
Soybean Futures Contracts [Member] | CBOT Soybean Futures MAY22 [Member]    
Fair value   $ 1,008,504
Percentage of net assets   0.38%
Number of contracts   199
Notional amount, asset   $ 13,422,550
Soybean Futures Contracts [Member] | CBOT Soybean Futures NOV22 [Member]    
Fair value   $ 1,084,800
Percentage of net assets   0.41%
Number of contracts   250
Notional amount, asset   $ 15,865,625
Sugar Futures Contracts [Member] | ICE Sugar Futures MAY23 [Member]    
Fair value $ 356,963,000  
Percentage of net assets 0.08%  
Number of contracts 401  
Notional amount, asset $ 8,407,526,000  
Sugar Futures Contracts [Member] | ICE Sugar Futures JUL23 [Member]    
Fair value $ 554,366,000  
Percentage of net assets 0.12%  
Number of contracts 362  
Notional amount, asset $ 7,289,811,000  
Sugar Futures Contracts [Member] | ICE Sugar Futures MAY22 [Member]    
Fair value   $ 225,299
Percentage of net assets   0.09%
Number of contracts   381
Notional amount, asset   $ 7,936,992
Sugar Futures Contracts [Member] | ICE Sugar Futures MAR23 [Member]    
Fair value   $ 853,927
Percentage of net assets   0.32%
Number of contracts   392
Notional amount, asset   $ 8,091,507
Commodity and Cryptocurrency Futures Contracts [Member]    
Fair value $ 8,207,381,000  
Percentage of net assets 1.77%  
Number of contracts  
Notional amount, asset $ 189,657,513,000  
Wheat Futures Contracts [Member] | CBOT Wheat Futures JUL23 [Member]    
Fair value $ 3,160,732,000  
Percentage of net assets 0.68%  
Number of contracts 1,711  
Notional amount, asset $ 68,696,650,000  
Wheat Futures Contracts [Member] | CBOT Wheat Futures MAY22 [Member]    
Fair value   $ 1,809,796
Percentage of net assets   0.68%
Number of contracts   687
Notional amount, asset   $ 26,595,488
Wheat Futures Contracts [Member] | CBOT Wheat Futures DEC22 [Member]    
Fair value   $ 1,904,876
Percentage of net assets   0.72%
Number of contracts   686
Notional amount, asset   $ 26,411,000
Cryptocurrency Futures Contracts [Member] | CME Bitcoin Futures JAN23 [Member]    
Fair value $ 24,979,000  
Percentage of net assets 0.01%  
Number of contracts 6  
Notional amount, asset $ 496,050,000  
Cryptocurrency Futures Contracts [Member] | CME Bitcoin Futures FEB23 [Member]    
Fair value $ 4,173,000  
Percentage of net assets 0.00%  
Number of contracts 7  
Notional amount, asset $ 575,575,000  
Cash and Cash Equivalents [Member]    
Fair value $ 388,000,477 $ 152,949,199
Percentage of net assets 83.37% 57.86%
Liability [Member] | Commodity Futures Contracts [Member]    
Fair value   $ 735,475
Percentage of net assets   0.28%
Notional amount, liability   $ 29,484,966
Liability [Member] | Commodity Futures Contracts [Member] | ICE Sugar Futures JUL22 [Member]    
Fair value   $ 80,506
Percentage of net assets   0.03%
Number of contracts   331
Notional amount, liability   $ 6,817,541
Liability [Member] | Commodity Futures Contracts [Member] | CBOT Wheat Futures JUL22 [Member]    
Fair value   $ 654,969
Percentage of net assets   0.25%
Number of contracts   593
Notional amount, liability   $ 22,667,425
Liability [Member] | Commodity Futures Contracts [Member] | CBOT Corn Futures MAY23 [Member]    
Fair value $ 751,309  
Percentage of net assets 0.16%  
Number of contracts 1,575  
Notional amount, liability $ 53,392,500  
Liability [Member] | Commodity Futures Contracts [Member] | CBOT Corn Futures DEC23 [Member]    
Fair value $ 2,215,794  
Percentage of net assets 0.48%  
Number of contracts 1,750  
Notional amount, liability $ 53,440,625  
Liability [Member] | Commodity Futures Contracts [Member] | ICE Sugar Futures MAR24 [Member]    
Fair value $ 85,128  
Percentage of net assets 0.02%  
Number of contracts 427  
Notional amount, liability $ 8,565,278  
Liability [Member] | Commodity Futures Contracts [Member] | CBOT Wheat Futures MAY23 [Member]    
Fair value $ 7,079,231  
Percentage of net assets 1.52%  
Number of contracts 2,005  
Notional amount, liability $ 80,074,688  
Liability [Member] | Commodity Futures Contracts [Member] | CBOT Wheat Futures DEC23 [Member]    
Fair value $ 19,301,607  
Percentage of net assets 4.15%  
Number of contracts 1,956  
Notional amount, liability $ 80,220,450  
Liability [Member] | Commodity and Cryptocurrency Futures Contracts [Member]    
Fair value $ 29,433,069  
Percentage of net assets 6.33%  
Number of contracts  
Notional amount, liability $ 275,693,541  
[1] The Trust eliminates the shares owned by the Teucrium Agricultural Fund from its combined statements of assets and liabilities due to the fact that these represent holdings of the Underlying Funds owned by the Teucrium Agricultural Fund, which are included as shares outstanding of the Underlying Funds.