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Consolidated Statements of Financial Condition - USD ($)
Mar. 31, 2016
Dec. 31, 2015
Equity in commodity Trading accounts:    
Cash on deposit with broker $ 5,016,768 $ 5,323,944
Unrealized gain on open contracts 2,645 3,414
Total due from broker 5,019,413 5,327,358
Cash and cash equivalents on deposit with affiliate 1,992,471 1,449,723
Cash on deposit with bank 136,022 92,621
Interest receivable 779 304
Receivable from US bank 19,713 20,248
Total Assets 7,168,398 6,890,254
Equity in commodity Trading accounts:    
Options written on futures contracts (premiums received $14,464 and $7,356, respectively) 12,590 8,059
Accrued commissions 14,733 13,781
Accrued management fees 15,856 14,747
Accrued incentive fees 38,235 12,324
Accrued operating expenses 152,467 170,958
Accrued offering expenses 9,804 328
Redemptions payable - Trading 86,057 29,009
Distribution payable - Non-Trading 19,713 20,248
Total liabilities 349,455 269,454
Beneficial owners    
Unitholders' Capital 6,724,138 6,532,044
Non-Controlling Interests 94,805 88,756
Total Capital 6,818,943 6,620,800
Total Liabilities and Unitholders' Capital $ 7,168,398 $ 6,890,254
Capital Unit, Class A [Member] | Trading [Member]    
Trading:    
Net Asset Value Per Unit (in Dollars per share) $ 61.52 $ 58.09
Capital Unit, Class B [Member] | Trading [Member]    
Trading:    
Net Asset Value Per Unit (in Dollars per share) $ 71.14 $ 66.84
Beneficial Owner [Member] | Limited Partner [Member] | Capital Unit, Class A [Member] | Trading [Member]    
Beneficial owners    
Unitholders' Capital $ 6,623,280 $ 6,437,129
Beneficial Owner [Member] | Limited Partner [Member] | Capital Unit, Class B [Member] | Trading [Member]    
Beneficial owners    
Unitholders' Capital 67,943 63,836
Managing Owner [Member] | General Partner [Member] | Capital Unit, Class A [Member] | Trading [Member]    
Beneficial owners    
Unitholders' Capital $ 32,915 $ 31,079