other
confidence high
sentiment neutral
materiality 0.25
USCI & CPER report monthly account statements for Feb 2026; combined net income $16.15M
United States Commodity Index Funds Trust
- USCI net income $4.55M; NAV per share $85.43 on 3,600,000 shares.
- CPER net income $11.61M; NAV per share $36.94 on 23,600,000 shares.
- Trust combined NAV $1.179B end of month vs $1.182B start (net withdrawals of $18.7M).
- Realized trading gains of $33.7M offset by unrealized losses of $20.0M across both funds.