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Schedule of Investments - Investments - Teucrium Sugar Fund (Details) - USD ($)
Dec. 31, 2023
Dec. 31, 2022
Teucrium Sugar Fund [Member] | Sugar Futures Contracts [Member]    
Fair value $ 2,687,998 $ 911,329
Percentage of net assets 15.17% 3.76%
Notional amount, asset $ 17,717,515 $ 15,697,337
Commercial Paper [Member]    
Cost 142,223,286 198,351,250
Fair value $ 143,041,466 $ 199,360,060
Percentage of net assets 45.50% 42.84%
Commercial Paper [Member] | Teucrium Sugar Fund [Member]    
Cost $ 10,468,148 $ 9,922,209
Fair value $ 10,518,195 $ 9,987,304
Percentage of net assets 59.36% 41.16%
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] | Entergy Corporation [Member] | Teucrium Sugar Fund [Member]    
Index 5.665% 4.311%
Cost $ 2,467,625 $ 2,481,702
Fair value $ 2,476,875 $ 2,499,115
Percentage of net assets 13.98% 10.30%
Maturity date Mar. 01, 2024 Jan. 04, 2023
Principal amount $ 2,500,000 $ 2,500,000
Commercial Paper [Member] | Albemarle Corporation [Member] | Teucrium Sugar Fund [Member]    
Index 5.753%  
Cost $ 2,480,382  
Fair value $ 2,498,823  
Percentage of net assets 14.10%  
Maturity date Jan. 04, 2024  
Principal amount $ 2,500,000  
Commercial Paper [Member] | Brookfield Infrastructure Holdings (Canada) Inc. [Member] | Teucrium Sugar Fund [Member]    
Index 5.814%  
Cost $ 550,863  
Fair value $ 552,447  
Percentage of net assets 3.12%  
Maturity date Jan. 30, 2024  
Principal amount $ 555,000  
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] | VW Credit, Inc. [Member] | Teucrium Sugar Fund [Member]    
Index   4.434%
Cost   $ 2,482,702
Fair value   $ 2,494,537
Percentage of net assets   10.28%
Maturity date   Jan. 19, 2023
Principal amount   $ 2,500,000
Commercial Paper [Member] | FMC Corporation [Member] | Teucrium Sugar Fund [Member]    
Index 5.816%  
Cost $ 2,488,878  
Fair value $ 2,492,850  
Percentage of net assets 14.07%  
Maturity date Jan. 19, 2024  
Principal amount $ 2,500,000  
Commercial Paper [Member] | National Fuel Gas Company [Member] | Teucrium Sugar Fund [Member]    
Index 5.867%  
Cost $ 2,480,400  
Fair value $ 2,497,200  
Percentage of net assets 14.09%  
Maturity date Jan. 08, 2024  
Principal amount $ 2,500,000  
Commercial Paper, One [Member] | Entergy Corporation [Member]    
Index 5.665%  
Cost $ 7,402,875  
Fair value $ 7,430,625  
Percentage of net assets 2.36%  
Maturity date Mar. 01, 2024  
Principal amount $ 7,500,000  
Commercial Paper, One [Member] | General Motors Financial Company, Inc. [Member]    
Index 5.617% 4.276%
Cost $ 7,420,795 $ 12,400,060
Fair value $ 7,480,486 $ 12,486,207
Percentage of net assets 2.38% 2.68%
Maturity date Jan. 18, 2024 Jan. 10, 2023
Principal amount $ 7,500,000 $ 12,500,000
Commercial Paper, One [Member] | General Motors Financial Company, Inc. [Member] | Teucrium Sugar Fund [Member]    
Index   4.276%
Cost   $ 2,475,149
Fair value   $ 2,497,369
Percentage of net assets   10.29%
Maturity date   Jan. 10, 2023
Principal amount   $ 2,500,000
Commercial Paper, One [Member] | Albemarle Corporation [Member]    
Index 5.77%  
Cost $ 4,950,475  
Fair value $ 4,998,428  
Percentage of net assets 1.59%  
Maturity date Jan. 03, 2024  
Principal amount $ 5,000,000  
Commercial Paper, 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, One [Member] | Glencore Funding LLC [Member] | Teucrium Sugar Fund [Member]    
Index   4.526%
Cost   $ 2,482,656
Fair value   $ 2,496,283
Percentage of net assets   10.29%
Maturity date   Jan. 13, 2023
Principal amount   $ 2,500,000
Commercial Paper, One [Member] | Brookfield Infrastructure Holdings (Canada) Inc. [Member]    
Index 5.794% 4.742%
Cost $ 4,979,416 $ 14,877,488
Fair value $ 4,993,666 $ 14,968,886
Percentage of net assets 1.59% 3.22%
Maturity date Jan. 09, 2024 Jan. 17, 2023
Principal amount $ 5,000,000 $ 15,000,000
Commercial Paper, One [Member] | FMC Corporation [Member]    
Index 5.816%  
Cost $ 7,466,634  
Fair value $ 7,478,550  
Percentage of net assets 2.38%  
Maturity date Jan. 19, 2024  
Principal amount $ 7,500,000  
Commercial Paper, One [Member] | National Fuel Gas Company [Member]    
Index 5.867%  
Cost $ 4,960,800  
Fair value $ 4,994,400  
Percentage of net assets 1.59%  
Maturity date Jan. 08, 2024  
Principal amount $ 5,000,000  
Money Market Funds [Member]    
Cost 120,047,840 188,640,417
Fair value $ 120,047,840 $ 188,640,417
Percentage of net assets 38.16% 40.54%
Money Market Funds [Member] | Teucrium Sugar Fund [Member]    
Cost $ 3,033,238 $ 9,920,499
Fair value $ 3,033,238 $ 9,920,499
Percentage of net assets 17.12% 40.89%
Money Market Funds [Member] | U.S. Bank Deposit Account [Member]    
Index 5.27%  
Cost $ 39,325,186  
Fair value $ 39,325,186  
Percentage of net assets 12.50%  
Shares (in shares) 39,325,186  
Money Market Funds [Member] | U.S. Bank Deposit Account [Member] | Teucrium Sugar Fund [Member]    
Index 5.27%  
Cost $ 1,532,232  
Fair value $ 1,532,232  
Percentage of net assets 8.65%  
Shares (in shares) 1,532,232  
Money Market Funds [Member] | First American Government Obligations Fund - Class X [Member]    
Index   4.105%
Cost   $ 28,382,122
Fair value   $ 28,382,122
Percentage of net assets   6.10%
Shares (in shares)   28,382,122
Money Market Funds [Member] | First American Government Obligations Fund - Class X [Member] | Teucrium Sugar Fund [Member]    
Index   4.105%
Cost   $ 5,634,177
Fair value   $ 5,634,177
Percentage of net assets   23.22%
Shares (in shares)   5,634,177
Money Market Funds [Member] | Goldman Sachs Financial Square Government Fund - Institutional Class [Member]    
Index 5.25% 4.14%
Cost $ 80,722,654 $ 160,258,295
Fair value $ 80,722,654 $ 160,258,295
Percentage of net assets 25.66% 34.44%
Shares (in shares) 80,722,654 160,258,295
Money Market Funds [Member] | Goldman Sachs Financial Square Government Fund - Institutional Class [Member] | Teucrium Sugar Fund [Member]    
Index 5.25% 4.14%
Cost $ 1,501,006 $ 4,286,322
Fair value $ 1,501,006 $ 4,286,322
Percentage of net assets 8.47% 17.67%
Shares (in shares) 1,501,006 4,286,322
ICE Sugar Futures MAY24 [Member] | Sugar Futures Contracts [Member] | Liability [Member]    
Fair value $ 1,051,261  
Percentage of net assets 0.33%  
Number of contracts 270  
Notional amount, liability $ 6,175,008  
ICE Sugar Futures MAY24 [Member] | Teucrium Sugar Fund [Member] | Sugar Futures Contracts [Member]    
Fair value $ 1,051,261  
Percentage of net assets 5.93%  
Number of contracts 270  
Notional amount, asset $ 6,175,008  
ICE Sugar Futures MAY23 [Member] | Sugar Futures Contracts [Member]    
Fair value   $ 356,963
Percentage of net assets   0.08%
Number of contracts   401
Notional amount, asset   $ 8,407,526
ICE Sugar Futures MAY23 [Member] | Teucrium Sugar Fund [Member] | Sugar Futures Contracts [Member]    
Fair value   $ 356,963
Percentage of net assets   1.47%
Number of contracts   401
Notional amount, asset   $ 8,407,526
ICE Sugar Futures MAR24 [Member] | Sugar Futures Contracts [Member] | Liability [Member]    
Fair value   $ 85,128
Percentage of net assets   0.02%
Number of contracts   427
Notional amount, liability   $ 8,565,278
ICE Sugar Futures MAR24 [Member] | Teucrium Sugar Fund [Member] | Sugar Futures Contracts [Member] | Liability [Member]    
Fair value   $ 85,128
Percentage of net assets   0.35%
Number of contracts   427
Notional amount, liability   $ 8,565,278
ICE Sugar Futures JUL24 [Member] | Sugar Futures Contracts [Member] | Liability [Member]    
Fair value $ 1,128,473  
Percentage of net assets 0.36%  
Number of contracts 233  
Notional amount, liability $ 5,326,193  
ICE Sugar Futures JUL24 [Member] | Teucrium Sugar Fund [Member] | Sugar Futures Contracts [Member]    
Fair value $ 1,128,473  
Percentage of net assets 6.37%  
Number of contracts 233  
Notional amount, asset $ 5,326,193  
ICE Sugar Futures JUL23 [Member] | Sugar Futures Contracts [Member]    
Fair value   $ 554,366
Percentage of net assets   0.12%
Number of contracts   362
Notional amount, asset   $ 7,289,811
ICE Sugar Futures JUL23 [Member] | Teucrium Sugar Fund [Member] | Sugar Futures Contracts [Member]    
Fair value   $ 554,366
Percentage of net assets   2.29%
Number of contracts   362
Notional amount, asset   $ 7,289,811
ICE Sugar Futures MAR25 [Member] | Sugar Futures Contracts [Member] | Liability [Member]    
Fair value $ 508,264  
Percentage of net assets 0.16%  
Number of contracts 268  
Notional amount, liability $ 6,216,314  
ICE Sugar Futures MAR25 [Member] | Teucrium Sugar Fund [Member] | Sugar Futures Contracts [Member]    
Fair value $ 508,264  
Percentage of net assets 2.87%  
Number of contracts 268  
Notional amount, asset $ 6,216,314  
Cash and Cash Equivalents [Member]    
Fair value $ 263,089,306 $ 388,000,477
Percentage of net assets 83.66% 83.37%
Cash and Cash Equivalents [Member] | Teucrium Sugar Fund [Member]    
Fair value $ 13,551,433 $ 19,907,803
Percentage of net assets 76.47% 82.05%