other material
confidence high
sentiment neutral
materiality 0.25
USL reports Oct 2025 net loss of $669K; NAV per share $34.92
United States 12 Month Oil Fund, LP
- Net loss of $668,956 for month ended Oct 31, 2025, on total loss of $633,251.
- Realized trading loss on commodity futures of $420,500; unrealized loss of $345,120.
- Net asset value per share $34.92; total shares outstanding 1,150,000.
- NAV decreased from $40.83M to $40.16M during October.