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STATEMENTS OF ASSETS AND LIABILITIES - USD ($)
Jun. 30, 2018
Dec. 31, 2017
Teucrium Commodity Trust - Combined [Member]    
Assets    
Cash and cash equivalents $ 160,466,645 $ 137,945,626
Restricted cash 0 0
Interest receivable 5 255
Other assets 142,323 6,748
Equity in trading accounts:    
Commodity futures contracts 25,592 909,281
Due from broker 23,298,508 9,987,671
Total equity in trading accounts 23,324,100 10,896,952
Total assets 183,933,073 148,849,581
Liabilities    
Management fee payable to Sponsor 146,068 125,149
Other liabilities 171,196 99,909
Equity in trading accounts:    
Commodity futures contracts 12,047,932 5,677,771
Total liabilities 12,365,196 5,902,829
Net assets 171,567,877 142,946,752
Teucrium Corn Fund [Member]    
Assets    
Cash and cash equivalents 69,312,521 63,139,461
Interest receivable 0 73
Other assets 36,920 2,772
Equity in trading accounts:    
Commodity futures contracts 0 120,487
Due from broker 10,546,980 3,703,896
Total equity in trading accounts 10,546,980 3,824,383
Total assets 79,896,421 66,966,689
Liabilities    
Management fee payable to Sponsor 63,595 55,432
Other liabilities 63,732 47,728
Equity in trading accounts:    
Commodity futures contracts 6,650,900 1,962,050
Total liabilities 6,778,227 2,065,210
Net assets $ 73,118,194 $ 64,901,479
Shares outstanding 4,450,004 3,875,004
Net asset value per share at end of period $ 16.43 $ 16.75
Market value per share $ 16.44 $ 16.77
Teucrium Soybean Fund [Member]    
Assets    
Cash and cash equivalents $ 16,433,335 $ 9,942,185
Restricted cash 0 0
Interest receivable 0 22
Other assets 17,953 1,839
Equity in trading accounts:    
Commodity futures contracts   0
Due from broker 2,625,714 789,636
Total equity in trading accounts 2,625,714 789,636
Total assets 19,077,002 10,733,682
Liabilities    
Management fee payable to Sponsor 13,018 12,111
Other liabilities 12,626 9,483
Equity in trading accounts:    
Commodity futures contracts 2,022,063 448,063
Total liabilities 2,047,707 469,657
Net assets $ 17,029,295 $ 10,264,025
Shares outstanding 1,050,004 575,004
Net asset value per share at end of period $ 16.22 $ 17.85
Market value per share $ 16.24 $ 17.88
Teucrium Sugar Fund [Member]    
Assets    
Cash and cash equivalents $ 13,738,707 $ 5,929,275
Restricted cash 0 0
Interest receivable 0 47
Other assets 14,447 276
Equity in trading accounts:    
Commodity futures contracts 25,592 184,319
Due from broker 1,620,181 327,885
Total equity in trading accounts 1,645,773 512,204
Total assets 15,398,927 6,441,802
Liabilities    
Management fee payable to Sponsor 12,307 5,632
Other liabilities 18,159 5,327
Equity in trading accounts:    
Commodity futures contracts 516,869 67,133
Total liabilities 547,335 78,092
Net assets $ 14,851,592 $ 6,363,710
Shares outstanding 1,950,004 650,004
Net asset value per share at end of period $ 7.62 $ 9.79
Market value per share $ 7.58 $ 9.78
Teucrium Wheat Fund [Member]    
Assets    
Cash and cash equivalents $ 60,978,840 $ 58,932,231
Interest receivable 0 111
Other assets 72,589 1,861
Equity in trading accounts:    
Commodity futures contracts 0 604,475
Due from broker 8,505,633 5,166,254
Total equity in trading accounts 8,505,633 5,770,729
Total assets 69,557,062 64,704,932
Liabilities    
Management fee payable to Sponsor 57,148 51,974
Other liabilities 75,344 36,414
Equity in trading accounts:    
Commodity futures contracts 2,858,100 3,200,525
Total liabilities 2,990,592 3,288,913
Net assets $ 66,566,470 $ 61,416,019
Shares outstanding 10,450,004 10,250,004
Net asset value per share at end of period $ 6.37 $ 5.99
Market value per share $ 6.38 $ 6.00
Teucrium Agricultural Fund [Member]    
Assets    
Cash and cash equivalents $ 3,242 $ 2,474
Interest receivable 5 2
Other assets 414 0
Equity in trading accounts:    
Investments in securities, at fair value (cost $2,192,325 and $1,790,621 as of June 30, 2018 and December 31, 2017, respectively) 1,581,009 1,136,120
Total assets 1,584,670 1,138,596
Liabilities    
Other liabilities 1,335 957
Equity in trading accounts:    
Net assets $ 1,583,335 $ 1,137,639
Shares outstanding 75,002 50,002
Net asset value per share at end of period $ 21.11 $ 22.75
Market value per share $ 21.22 $ 22.10