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Schedule of Investments
Dec. 31, 2025
USD ($)
contract
Dec. 31, 2024
USD ($)
contract
Number of Contracts | contract 1,651  
United States Money Market Funds | Cash Equivalents    
Market Value $ 62,750,000 $ 75,000,000
% of Partners' Capital 62.48% 65.49%
ICE Brent Crude Futures CO March 2026 contracts, expiring January 2026 | United Kingdom Contracts | Open Commodity Futures Contracts - Long    
Notional Amount [1] $ 98,125,980  
Number of Contracts | contract [1] 1,651  
Fair Value/Unrealized Gain (Loss) on Open Commodity Contracts [1] $ 2,337,370  
% of Partners' Capital [1] 2.33%  
ICE Brent Crude Futures CO March 2025 contracts, expiring January 2025 | United Kingdom Contracts | Open Commodity Futures Contracts - Long    
Notional Amount [2]   $ 111,971,360
Number of Contracts | contract [2]   1,535
Fair Value/Unrealized Gain (Loss) on Open Commodity Contracts [2]   $ 2,601,040
% of Partners' Capital [2]   2.27%
Dreyfus Institutional Preferred Government Money Market Fund - Institutional Shares, 3.71% | United States Money Market Funds | Cash Equivalents    
Shares/Principal Amount [3] $ 30,000,000  
Market Value [3] $ 30,000,000  
% of Partners' Capital [3] 29.87%  
Morgan Stanley Institutional Liquidity Funds - Government Portfolio - Institutional Shares, 4.43% | United States Money Market Funds | Cash Equivalents    
Shares/Principal Amount [4]   $ 75,000,000
Market Value [4]   $ 75,000,000
% of Partners' Capital [4]   65.49%
Morgan Stanley Institutional Liquidity Funds - Government Portfolio - Institutional Shares, 3.69% | United States Money Market Funds | Cash Equivalents    
Shares/Principal Amount [3] $ 32,750,000  
Market Value [3] $ 32,750,000  
% of Partners' Capital [3] 32.61%  
[1] Collateral amounted to $11,582,552 on open commodity futures contracts.
[2] Collateral amounted to $31,741,220 on open commodity futures contracts.
[3] Reflects the 7-day yield at December 31, 2025.
[4] Reflects the 7-day yield at December 31, 2024.