Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
United States Gasoline Fund Lp
UGA
5
United Sts 12 Month Oil Fd Lp Unit Ben Int
USL
| (Q1)Dec 31, 2025 | (FY)Sep 30, 2025 | (Q4)Sep 30, 2025 | (Q3)Jun 30, 2025 | (Q2)Mar 31, 2025 | (Q1)Dec 31, 2024 | (FY)Sep 30, 2024 | (Q4)Sep 30, 2024 | (Q3)Jun 30, 2024 | (Q2)Mar 31, 2024 | |
|---|---|---|---|---|---|---|---|---|---|---|
| Operating Cash Flow (Indirect Method) | ||||||||||
| Cash flow from continuing operating activities | 15.21%-2.31B | 11.20%3.88B | 213.22%3.13B | -95.59%109.25M | 481.50%3.35B | -407.15%-2.72B | -10.91%3.48B | -45.24%1B | 232.59%2.48B | -239.54%-878.44M |
| Net income from continuing operations | 14.67%566.13M | 3.20%1.57B | -4,561.17%-333.07M | 41.46%689.75M | 70.32%717.42M | -18.12%493.72M | -12.31%1.52B | -97.86%7.47M | 1.75%487.59M | -1.64%421.21M |
| Operating gains losses | -113.04%-4.18M | 704.33%130.31M | 839.64%63.25M | -119.80%-2.64M | 2,960.16%37.64M | 214.27%32.06M | 139.60%16.2M | ---8.55M | --13.32M | --1.23M |
| Depreciation and amortization | -6.11%264.27M | -4.51%1.07B | -5.63%264M | -7.80%258.97M | -5.64%263.97M | 1.09%281.47M | 14.07%1.12B | -1.38%279.75M | 1.40%280.89M | 14.29%279.76M |
| Deferred tax | 382.88%14.36M | 158.50%59.86M | 1,376.25%55.39M | 76.18%-16.66M | 166.23%26.21M | -248.02%-5.08M | 13.92%-102.32M | 112.98%3.75M | -147.61%-69.93M | 19.89%-39.57M |
| Other non cash items | -940.61%-62.11M | -230.11%-35.35M | -190.76%-28.35M | -680.12%-75.03M | 247.59%60.63M | 121.46%7.39M | -91.07%27.17M | -76.43%31.23M | -85.76%12.93M | -68.33%17.44M |
| Change In working capital | 5.65%-3.4B | -88.14%35.42M | 898.15%2.23B | -146.38%-801.5M | 238.16%2.21B | -6,526.69%-3.6B | -65.85%298.69M | -79.18%223.52M | 1,726.48%1.73B | -1,812.08%-1.6B |
| -Change in receivables | 14.73%-830.75M | 30.92%-1.92B | -413.99%-945.8M | 45.88%-759.57M | 164.19%756.21M | -93.27%-974.26M | -2.68%-2.78B | 150.02%301.22M | -0.91%-1.4B | -57.86%-1.18B |
| -Change in inventory | -112.66%-3.52B | 14.20%-1.27B | 50.38%-319.55M | -37.33%-984.13M | 73.01%1.69B | -51.08%-1.66B | 32.23%-1.48B | 20.83%-643.97M | -1,745.94%-716.61M | 514.69%976.51M |
| -Change in prepaid assets | -120.46%-14.39M | 10.97%173.86M | -2,183.36%-63.96M | 3.21%143.54M | 146.59%23.96M | -2.11%70.31M | -25.83%156.67M | -102.42%-2.8M | 259.86%139.08M | -180.10%-51.43M |
| -Change in payables and accrued expense | 192.55%965.78M | -29.59%3.46B | 302.60%3.96B | -78.46%798.66M | 80.59%-261.16M | -166.65%-1.04B | -17.56%4.91B | -64.40%984.73M | 210.11%3.71B | -258.56%-1.35B |
| -Change in other current liabilities | ---- | 20.16%-404.1M | 2.78%-404.1M | --0 | --0 | --0 | -26.55%-506.16M | -5.71%-415.67M | -75.62%1.69M | --0 |
| Cash from discontinued investing activities | ||||||||||
| Operating cash flow | 15.21%-2.31B | 11.20%3.88B | 213.22%3.13B | -95.59%109.25M | 481.50%3.35B | -407.15%-2.72B | -10.91%3.48B | -45.24%1B | 232.59%2.48B | -239.54%-878.44M |
| Investing cash flow | ||||||||||
| Cash flow from continuing investing activities | 12.75%-299.32M | -705.26%-4.98B | -33.10%-321.94M | -63.07%-234.69M | -2,349.21%-4.08B | -421.34%-343.04M | 76.25%-618.1M | -31.86%-241.89M | 82.43%-143.92M | -87.62%-166.49M |
| Capital expenditure reported | -12.73%-119.38M | -37.11%-667.98M | -37.02%-249.81M | -55.43%-183.22M | -14.46%-129.06M | -42.68%-105.89M | -6.29%-487.17M | -3.89%-182.32M | -13.04%-117.88M | -9.62%-112.75M |
| Net business purchase and sale | -20.61%-230.4M | -4,183.26%-4.29B | -54.55%-93.86M | -97.94%-57.68M | -82,729.45%-3.95B | -3,333.92%-191.03M | 95.35%-100.2M | -848.36%-60.73M | 95.95%-29.14M | -147.54%-4.77M |
| Net other investing changes | 209.41%50.46M | 43.23%-17.44M | 1,754.27%21.73M | 100.52%6.2M | 101.52%745K | -429.88%-46.12M | -441.20%-30.72M | 176.10%1.17M | -17.83%3.09M | -1,297.80%-48.97M |
| Cash from discontinued investing activities | ||||||||||
| Investing cash flow | 12.75%-299.32M | -705.26%-4.98B | -33.10%-321.94M | -63.07%-234.69M | -2,349.21%-4.08B | -421.34%-343.04M | 76.25%-618.1M | -31.86%-241.89M | 82.43%-143.92M | -87.62%-166.49M |
| Financing cash flow | ||||||||||
| Cash flow from continuing financing activities | -98.65%43.2M | 196.49%2.25B | 28.57%-683.78M | 118.82%215.48M | -252.16%-491.74M | 681.72%3.21B | -4.89%-2.33B | -135.19%-957.26M | -1,298.79%-1.15B | 142.00%323.17M |
| Net issuance payments of debt | -92.97%266.21M | 929.07%3.2B | -64.69%-582.24M | 163.93%322.4M | -168.91%-332.74M | 36,285.31%3.79B | 38.16%-385.45M | -747.78%-353.53M | -587.07%-504.33M | 171.58%482.88M |
| Net common stock issuance | --0 | 70.80%-435.47M | --0 | --0 | 1.66%-50M | 0.02%-385.47M | -26.31%-1.49B | -84.63%-504.98M | -450.01%-550.01M | ---50.85M |
| Cash dividends paid | -14.09%-126.52M | -5.03%-437.08M | -6.51%-107.51M | -4.84%-107.49M | -3.91%-111.19M | -4.92%-110.89M | -4.37%-416.17M | -2.65%-100.95M | -3.64%-102.53M | -5.15%-107M |
| Proceeds from stock option exercised by employees | -6.29%7.6M | -23.01%29.13M | 3.82%6.52M | -47.14%6.84M | -0.43%7.67M | -25.79%8.11M | -38.12%37.84M | -43.29%6.28M | -29.59%12.93M | -21.79%7.7M |
| Net other financing activities | -14.59%-104.09M | -35.98%-103.14M | 86.46%-553K | -383.55%-6.26M | 42.69%-5.48M | -49.15%-90.84M | 6.00%-75.85M | 9.90%-4.09M | 73.29%-1.3M | -224.53%-9.56M |
| Cash from discontinued financing activities | ||||||||||
| Financing cash flow | -98.65%43.2M | 196.49%2.25B | 28.57%-683.78M | 118.82%215.48M | -252.16%-491.74M | 681.72%3.21B | -4.89%-2.33B | -135.19%-957.26M | -1,298.79%-1.15B | 142.00%323.17M |
| Net cash flow | ||||||||||
| Beginning cash position | 33.25%4.39B | 19.80%3.3B | -34.55%2.28B | -4.66%2.18B | 11.82%3.39B | 19.80%3.3B | -23.39%2.75B | 124.54%3.48B | 35.32%2.29B | 58.74%3.04B |
| Current changes in cash | -1,838.48%-2.56B | 114.14%1.15B | 1,170.45%2.13B | -92.42%90.04M | -68.77%-1.22B | -44.96%147.33M | 158.64%535.6M | -116.08%-198.77M | 861.49%1.19B | -215.63%-721.76M |
| Effect of exchange rate changes | 51.08%-24.58M | -635.04%-50.27M | -141.84%-8.47M | 138.55%6.72M | 105.87%1.72M | -423.18%-50.24M | -87.09%9.4M | 163.84%20.25M | -82.01%2.82M | -723.99%-29.22M |
| End cash Position | -46.72%1.81B | 33.25%4.39B | 33.25%4.39B | -34.55%2.28B | -4.66%2.18B | 11.82%3.39B | 19.80%3.3B | 19.80%3.3B | 124.54%3.48B | 35.32%2.29B |
| Free cash flow | 14.17%-2.42B | 6.99%3.21B | 252.50%2.88B | -103.13%-73.97M | 425.08%3.22B | -448.32%-2.82B | -13.19%3B | -50.46%818.06M | 268.33%2.36B | -288.21%-991.2M |
| Currency Unit | USD | USD | USD | USD | USD | USD | USD | USD | USD | USD |
| Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
| Audit Opinions | -- | Unqualified Opinion | -- | -- | -- | -- | Unqualified Opinion | -- | -- | -- |