other
confidence high
sentiment neutral
materiality 0.15
United States Brent Oil Fund reports February net income $3.58M, NAV per share $29.75
United States Brent Oil Fund, LP
- Net income of $3,579,930 for month ended February 29, 2024.
- Ending net asset value per share $29.75 on 4,300,000 shares outstanding.
- Withdrawals of 500,000 shares lowered NAV by $14,321,760 during month.
- Realized trading gain on commodity futures $7,162,930; unrealized loss $3,972,950.