Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
United States Gasoline Fund Lp
UGA
5
Powershares Db Multi-Sector Commodi Powershares Db Oil Fund
DBO
| (Q1)Mar 31, 2026 | (FY)Dec 31, 2025 | (Q4)Dec 31, 2025 | (Q3)Sep 30, 2025 | (Q2)Jun 30, 2025 | (Q1)Mar 31, 2025 | (FY)Dec 31, 2024 | (Q4)Dec 31, 2024 | (Q3)Sep 30, 2024 | (Q2)Jun 30, 2024 | |
|---|---|---|---|---|---|---|---|---|---|---|
| Operating Cash Flow (Indirect Method) | ||||||||||
| Cash flow from continuing operating activities | 5.62%50.09M | -27.34%57.96M | -43.67%5.41M | -29.65%4.28M | 408.98%850K | -25.81%47.42M | 110.07%79.77M | -53.67%9.61M | 190.26%6.08M | 110.15%167K |
| Net income from continuing operations | 467.71%6.15M | 37.03%55.63M | 452.34%16.14M | -60.37%16.93M | 579.93%21.48M | 254.64%1.08M | 84.18%40.6M | -206.78%-4.58M | 141.49%42.72M | -61.07%3.16M |
| Operating gains losses | -366.67%-168K | 33.46%-10.55M | -90.97%-4.02M | 79.34%-2.04M | -24.58%-2.55M | -143.37%-36K | -3.86%-15.86M | 18.36%-2.1M | -22.89%-9.89M | -91.75%-2.05M |
| Depreciation and amortization | 4.34%3.53M | -1.25%14.09M | 2.14%3.59M | -0.06%3.56M | -3.31%3.56M | -3.70%3.39M | 0.56%14.27M | -3.33%3.51M | -1.16%3.57M | 5.41%3.68M |
| Deferred tax | 37.69%1.93M | -172.60%-11.06M | -1,915.84%-24.08M | -41.61%6.3M | 128.31%5.32M | 78.24%1.4M | 60.18%15.23M | -34.78%1.33M | 96.84%10.79M | -14.52%2.33M |
| Other non cash items | 3.29%-3.38M | 49.94%-1.58M | 28.94%-1.1M | 34.79%2.03M | 38.41%-938K | 0.63%-3.49M | 61.68%-3.16M | -27.78%-1.54M | 127.63%1.51M | 41.11%-1.52M |
| Change In working capital | 8.85%44.4M | -87.47%3.55M | 23.96%-2.49M | -34.26%-23.7M | -11.65%-11.06M | -31.04%40.8M | 1,050.54%28.33M | -115.83%-3.27M | 42.10%-17.65M | 23.67%-9.91M |
| -Change in receivables | -0.78%-10.34M | -35.25%-1.51M | 14.68%8.88M | -29.47%3.32M | -278.68%-3.45M | 18.92%-10.26M | -114.15%-1.12M | -36.91%7.74M | 141.46%4.71M | 81.23%-910K |
| -Change in inventory | 91.08%-188K | -84.46%4.45M | 65.74%9.03M | 77.34%-510K | -151.80%-1.96M | -109.74%-2.11M | 2,423.37%28.62M | -81.29%5.45M | 54.74%-2.25M | 308.48%3.79M |
| -Change in prepaid assets | 8.29%52.83M | -4.40%-5.65M | -17.56%-12.71M | -13.69%-25.3M | -1.62%-16.42M | 11.34%48.78M | -39.67%-5.41M | 17.69%-10.82M | -2.35%-22.25M | -3.03%-16.16M |
| -Change in payables and accrued expense | -51.47%1.95M | -0.62%3.37M | -65.21%-7.7M | 22.16%-1.96M | 128.88%9.02M | -39.51%4.01M | 175.89%3.39M | 35.97%-4.66M | 35.37%-2.51M | -63.00%3.94M |
| -Change in other working capital | -57.57%157K | 1.48%2.89M | 102.55%25K | -84.02%744K | 408.11%1.75M | 239.62%370K | 177.96%2.84M | -218.18%-980K | 354.15%4.66M | 55.77%-567K |
| Cash from discontinued investing activities | ||||||||||
| Operating cash flow | 5.62%50.09M | -27.34%57.96M | -43.67%5.41M | -29.65%4.28M | 408.38%849K | -25.81%47.42M | 110.07%79.77M | -53.67%9.61M | 190.26%6.08M | 110.15%167K |
| Investing cash flow | ||||||||||
| Cash flow from continuing investing activities | 87.54%-6.47M | -329.36%-72.67M | -437.62%-9.08M | -14.25%-5.35M | 15.20%-6.29M | -1,556.79%-51.96M | -80.87%-16.93M | 57.27%-1.69M | -501.72%-4.68M | -97.50%-7.42M |
| Capital expenditure reported | 53.01%-3.29M | -14.30%-19.26M | 5.83%-2.2M | -72.14%-5.62M | 42.83%-4.44M | -100.80%-7M | -14.50%-16.85M | 45.53%-2.33M | 25.48%-3.27M | -93.66%-7.76M |
| Net PPE purchase and sale | -33.12%212K | -79.85%888K | 442.37%202K | -95.27%198K | -8.56%171K | 256.18%317K | 187.66%4.41M | -130.73%-59K | 462.42%4.19M | 32.62%187K |
| Net business purchase and sale | 95.20%-2.09M | -1,110.04%-43.53M | 100.90%2K | --0 | --0 | ---43.53M | -174.94%-3.6M | ---222K | -170.31%-3.38M | --0 |
| Net investment purchase and sale | 19.19%-1.39M | ---9.68M | -489.09%-5.92M | 96.31%-75K | -32,750.00%-1.96M | -441.58%-1.73M | --0 | --1.52M | -10,594.74%-2.03M | -70.00%6K |
| Net other investing changes | 555.00%91K | 907.14%113K | -82.67%48K | 177.16%152K | -144.97%-67K | 91.77%-20K | -104.02%-14K | -46.32%277K | -995.45%-197K | 65.56%149K |
| Cash from discontinued investing activities | ||||||||||
| Investing cash flow | 87.54%-6.47M | -329.36%-72.67M | -437.62%-9.08M | -14.25%-5.35M | 15.20%-6.29M | -1,556.79%-51.96M | -80.87%-16.93M | 57.27%-1.69M | -501.72%-4.68M | -97.50%-7.42M |
| Financing cash flow | ||||||||||
| Cash flow from continuing financing activities | -250.51%-18.92M | 115.07%9.79M | 111.08%3.37M | 37.25%-1.66M | 43.72%-4.49M | 152.63%12.57M | -253.80%-64.95M | -383.17%-30.43M | 61.74%-2.65M | -130.90%-7.98M |
| Net issuance payments of debt | -227.29%-16.51M | 144.00%23.92M | 196.60%25.94M | 1,602.12%2.84M | 103.63%185K | 77.12%-5.04M | -415.78%-54.36M | -71.61%-26.85M | -102.17%-189K | -118.66%-5.09M |
| Net common stock issuance | --0 | -106.47%-5.55M | -147.35%-559K | -47.99%-2.32M | -202.41%-2.51M | -146.38%-170K | -24.32%-2.69M | 83.38%-226K | -154.06%-1.57M | -227.67%-829K |
| Cash dividends paid | -15.22%-2.38M | -19.94%-8.25M | -19.74%-2.06M | -19.93%-2.06M | -19.94%-2.07M | -20.15%-2.07M | -48.76%-6.88M | -83.44%-1.72M | -47.80%-1.72M | -49.35%-1.73M |
| Net other financing activities | -100.18%-35K | 67.52%-331K | -1,125.80%-19.96M | -115.77%-129K | 69.73%-102K | 35,555.36%19.86M | 1.07%-1.02M | -113.98%-1.63M | 105.89%818K | -742.50%-337K |
| Cash from discontinued financing activities | ||||||||||
| Financing cash flow | -250.51%-18.92M | 115.07%9.79M | 111.08%3.37M | 37.25%-1.66M | 43.72%-4.49M | 152.63%12.57M | -253.80%-64.95M | -383.17%-30.43M | 61.74%-2.65M | -130.90%-7.98M |
| Net cash flow | ||||||||||
| Beginning cash position | -12.09%48.86M | 3.41%55.58M | -33.64%49.77M | -32.88%51.6M | -30.50%63.68M | 3.41%55.58M | 21.74%53.75M | 70.36%75M | 37.52%76.88M | 154.44%91.62M |
| Current changes in cash | 207.15%24.69M | -134.13%-4.93M | 98.71%-290K | -118.01%-2.74M | 34.78%-9.94M | -78.21%8.04M | -120.51%-2.1M | -314.35%-22.5M | 89.96%-1.26M | -174.57%-15.24M |
| Effect of exchange rate changes | 1,269.49%808K | -145.59%-1.8M | -120.36%-627K | 246.29%907K | -529.38%-2.13M | -93.99%59K | 693.82%3.94M | 495.25%3.08M | -199.36%-620K | 192.04%497K |
| End cash Position | 16.77%74.35M | -12.09%48.86M | -12.09%48.86M | -33.64%49.77M | -32.88%51.6M | -30.50%63.68M | 3.41%55.58M | 3.41%55.58M | 70.36%75M | 37.52%76.88M |
| Free cash flow | 15.77%46.8M | -38.19%38.7M | -53.82%3.22M | -147.92%-1.35M | 52.74%-3.59M | -33.11%40.42M | 172.16%62.61M | -57.01%6.97M | 125.29%2.81M | -28.07%-7.6M |
| Currency Unit | CAD | CAD | CAD | CAD | CAD | CAD | CAD | CAD | CAD | CAD |
| 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 | -- | -- | -- |