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STATEMENTS OF ASSETS AND LIABILITIES - USD ($)
Mar. 31, 2021
Dec. 31, 2020
Teucrium Commodity Trust - Combined [Member]    
Assets    
Cash and cash equivalents $ 317,770,373 $ 309,378,295
Interest receivable 17,873 16,982
Other assets 25 38
Capital shares receivable 0 307,830
Equity in trading accounts:    
Commodity futures contracts assets 30,888,751 42,424,697
Due from broker 8,804,038 0
Total equity in trading accounts assets 39,692,789 42,424,697
Total assets 357,481,060 352,127,842
Liabilities    
Management fee payable to Sponsor 310,904 264,709
Payable for purchases of commercial paper 0 9,995,298
Other liabilities 137,153 71,568
Payable for Shares redeemed 0 4,404,915
Commodity futures contracts liabilities 1,529,352 0
Due to broker 147,865 27,278,158
Total equity in trading accounts liabilities 1,677,217 27,278,158
Total liabilities 2,125,274 42,014,648
Net Assets 355,355,786 310,113,194
Teucrium Soybean Fund [Member]    
Assets    
Cash and cash equivalents 82,658,915 90,398,391
Interest receivable 5,072 5,478
Other assets 0 37
Equity in trading accounts:    
Commodity futures contracts assets 6,399,714 15,124,226
Due from broker 2,240,865 0
Total equity in trading accounts assets 8,640,579 15,124,226
Total assets 91,304,566 105,528,132
Liabilities    
Management fee payable to Sponsor 83,513 75,651
Payable for purchases of commercial paper 0 4,997,451
Other liabilities 26,797 18,602
Due to broker 0 11,257,566
Total liabilities 110,310 16,349,270
Net Assets $ 91,194,256 $ 89,178,862
Shares outstanding 4,225,004 4,575,004
Shares authorized 16,200,000 17,100,000
Net asset value per share $ 21.58 $ 19.49
Market value per share $ 21.62 $ 19.47
Teucrium Sugar Fund [Member]    
Assets    
Cash and cash equivalents $ 14,371,866 $ 11,849,332
Interest receivable 812 904
Equity in trading accounts:    
Commodity futures contracts assets 1,161,729 1,407,703
Due from broker 141,429 0
Total equity in trading accounts assets 1,303,158 1,407,703
Total assets 15,675,836 13,257,939
Liabilities    
Management fee payable to Sponsor 13,133 10,292
Other liabilities 15,892 5,895
Commodity futures contracts liabilities 360,868 0
Due to broker 0 475,661
Total equity in trading accounts liabilities 360,868 475,661
Total liabilities 389,893 491,848
Net Assets $ 15,285,943 $ 12,766,091
Shares outstanding 2,175,004 1,900,004
Shares authorized 22,875,000 23,150,000
Net asset value per share $ 7.03 $ 6.72
Market value per share $ 7.03 $ 6.75
Teucrium Wheat Fund [Member]    
Assets    
Cash and cash equivalents $ 73,725,936 $ 68,946,725
Interest receivable 3,727 3,257
Capital shares receivable 0 307,830
Equity in trading accounts:    
Commodity futures contracts assets 1,850,973 5,738,162
Due from broker 6,421,744 0
Total equity in trading accounts assets 8,272,717 5,738,162
Total assets 82,002,380 74,995,974
Liabilities    
Management fee payable to Sponsor 71,386 60,902
Other liabilities 40,138 24,751
Payable for Shares redeemed 0 2,462,640
Commodity futures contracts liabilities 1,168,484 0
Due to broker 0 2,571,103
Total equity in trading accounts liabilities 1,168,484 2,571,103
Total liabilities 1,280,008 5,119,396
Net Assets $ 80,722,372 $ 69,876,578
Shares outstanding 13,475,004 11,350,004
Shares authorized 34,850,000 37,650,000
Net asset value per share $ 5.99 $ 6.16
Market value per share $ 6.01 $ 6.19
Teucrium Agricultural Fund [Member]    
Assets    
Cash and cash equivalents $ 2,605 $ 2,786
Interest receivable 1 0
Other assets 25 1
Equity in trading accounts:    
Total assets 5,045,432 1,585,049
Liabilities    
Other liabilities 387 661
Net Assets $ 5,045,045 $ 1,584,388
Shares outstanding 225,002 75,002
Shares authorized 4,437,500 4,612,500
Net asset value per share $ 22.42 $ 21.12
Market value per share $ 22.37 $ 21.21
Investments in securities, at fair value (cost $4,934,589 and $1,586,899 as of March 31, 2021 and December 31, 2020, respectively) $ 5,042,801 $ 1,582,262
Teucrium Corn Fund [Member]    
Assets    
Cash and cash equivalents 147,011,051 138,181,061
Interest receivable 8,261 7,343
Equity in trading accounts:    
Commodity futures contracts assets 21,476,335 20,154,606
Total assets 168,495,647 158,343,010
Liabilities    
Management fee payable to Sponsor 142,872 117,864
Payable for purchases of commercial paper 0 4,997,847
Other liabilities 53,939 21,659
Payable for Shares redeemed 0 1,942,275
Due to broker 147,865 12,973,828
Total liabilities 344,676 20,053,473
Net Assets $ 168,150,971 $ 138,289,537
Shares outstanding 9,550,004 8,900,004
Shares authorized 25,300,000 27,450,000
Net asset value per share $ 17.61 $ 15.54
Market value per share $ 17.53 $ 15.58