other
confidence high
sentiment neutral
materiality 0.20
USCI & CPER report Jan 2026 monthly statements; combined net income $44.3M
United States Commodity Index Funds Trust
- USCI net income $24.2M; NAV per share $84.26 (3.55M shares outstanding).
- CPER net income $20.0M; NAV per share $36.40 (24.25M shares outstanding).
- Combined trust NAV rose to $1.18B from $735M, driven by $414M in share creations.
- USCI realized futures gain $15.0M and unrealized gain $8.7M; CPER unrealized gain $18.6M.
- Monthly account statements furnished under CFTC Rule 4.22; no earnings guidance.