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Statements of Cash Flows - Teucrium Sugar Fund - USD ($)
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Cash flows from operating activities:      
Net (loss) income $ (78,172,611) $ 82,415,019 $ 56,155,237
Adjustments to reconcile net (loss) income to net cash (used in) provided by operating activities:      
Net change in unrealized depreciation (appreciation) on commodity and cryptocurrency futures contracts 33,905,514 29,744,871 (35,293,415)
Changes in operating assets and liabilities:      
Due from broker (60,950,291) (613,126) 4,252
Interest receivable (300,369) 0 (16,732)
Other assets (8,069) (962) 9,681
Due to broker (888,877) (26,389,281) 22,138,032
Management fee payable to Sponsor 205,103 (36,930) 122,811
Other liabilities (37,523) 57,885 32,801
Net cash (used in) provided by operating activities (106,260,173) 75,182,178 53,147,965
Cash flows from financing activities:      
Proceeds from sale of Shares 1,249,793,734 176,654,005 305,412,019
Redemption of Shares (935,239,671) (297,814,864) (215,240,207)
Net cash provided by (used in) financing activities 288,110,526 (132,348,530) 90,148,445
Net change in cash and cash equivalents 181,850,353 (57,166,352) 143,296,410
Cash and cash equivalents, beginning of period 252,211,943 309,378,295 166,081,885
Cash and cash equivalents, end of period 434,062,296 252,211,943 309,378,295
Teucrium Sugar Fund [Member]      
Cash flows from operating activities:      
Net (loss) income (672,495) 5,467,243 196,761
Adjustments to reconcile net (loss) income to net cash (used in) provided by operating activities:      
Net change in unrealized depreciation (appreciation) on commodity and cryptocurrency futures contracts 172,519 408,983 (1,060,274)
Changes in operating assets and liabilities:      
Due from broker 88,182 (535,983) 0
Interest receivable (29,225) (540) (876)
Other assets (2,965) 0 1,140
Due to broker 0 (475,661) 237,753
Management fee payable to Sponsor 1,422 9,198 (317)
Other liabilities (13,050) 9,000 3,200
Net cash (used in) provided by operating activities (455,612) 4,882,240 (622,613)
Cash flows from financing activities:      
Proceeds from sale of Shares 27,142,395 14,673,718 9,284,965
Redemption of Shares (25,042,205) (10,072,388) (9,028,815)
Net cash provided by (used in) financing activities 2,100,190 4,601,330 256,150
Net change in cash and cash equivalents 1,644,578 9,483,570 (366,463)
Cash and cash equivalents, beginning of period 21,332,902 11,849,332 12,215,795
Cash and cash equivalents, end of period $ 22,977,480 $ 21,332,902 $ 11,849,332