other_material
confidence high
sentiment neutral
materiality 0.20
United States 12 Month Oil Fund reports net income of $1.34M for May 2025; NAV per share $33.08
United States 12 Month Oil Fund, LP
- Net income of $1,339,715 for month ended May 31, 2025.
- Net asset value per share: $33.08 with 1,150,000 shares outstanding.
- Withdrawals of 50,000 shares totaling $1,696,684.
- Realized trading loss of $925,240 offset by unrealized gain of $2,162,636.
item 7.01item 9.01