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Redemptions and Allocation of Net Income or Loss (Details)
9 Months Ended
Sep. 30, 2022
USD ($)
Class A  
Redemptions  
Notice period by Limited Partner for redemption of Limited Partner units 10 days
Notice period by General Partner for redemption of Limited Partner units 15 days
Class B  
Redemptions  
Notice period by Limited Partner for redemption of Limited Partner units 10 days
Notice period by General Partner for redemption of Limited Partner units 15 days
Legacy 1 Class  
Redemptions  
Notice period by Limited Partner for redemption of Limited Partner units 10 days
Notice period by General Partner for redemption of Limited Partner units 15 days
Redemption fees applicable for stockholders who redeem units on or after one-year anniversary of subscriptions $ 0
Lock in period for redemption of units following subscription 3 months
Legacy 2 Class  
Redemptions  
Notice period by Limited Partner for redemption of Limited Partner units 10 days
Notice period by General Partner for redemption of Limited Partner units 15 days
Redemption fees applicable for stockholders who redeem units on or after one-year anniversary of subscriptions $ 0
Lock in period for redemption of units following subscription 3 months
Global 1 Class  
Redemptions  
Notice period by Limited Partner for redemption of Limited Partner units 10 days
Notice period by General Partner for redemption of Limited Partner units 15 days
Redemption fees applicable for stockholders who redeem units on or after one-year anniversary of subscriptions $ 0
Lock in period for redemption of units following subscription 3 months
Global 2 Class  
Redemptions  
Notice period by Limited Partner for redemption of Limited Partner units 10 days
Notice period by General Partner for redemption of Limited Partner units 15 days
Redemption fees applicable for stockholders who redeem units on or after one-year anniversary of subscriptions $ 0
Lock in period for redemption of units following subscription 3 months
Global 3 Class  
Redemptions  
Notice period by Limited Partner for redemption of Limited Partner units 10 days
Notice period by General Partner for redemption of Limited Partner units 15 days
Minimum period of holding of units after which no redemption fees are applicable 1 year
Redemption fees applicable for stockholders who redeem units on or after one-year anniversary of subscriptions $ 0
Lock in period for redemption of units following subscription 3 months