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
| (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 | (Q1)Mar 31, 2024 | |
|---|---|---|---|---|---|---|---|---|---|---|
| Operating Cash Flow (Indirect Method) | ||||||||||
| Cash flow from continuing operating activities | -83.50%-3.11M | -152.66%-2.05M | -18.58%-618.45K | 54.24%-37.36K | -43.96%-401.81K | -34.00%-1.69M | -6.52%-811.72K | 10.35%-521.55K | 90.00%-81.64K | -131.16%-279.11K |
| Net income from continuing operations | 544.78%35.54M | 1,249.48%38.7M | -273.23%-579.98K | 63.18%-1.14M | -5.01%-1.44M | 50.19%-7.99M | 56.17%-3.37M | 95.95%-155.4K | -8.25%-3.1M | 17.57%-1.37M |
| Operating gains losses | 375.38%1.14M | 798.27%828.3K | 792.53%238.03K | -36.10%60.18K | -65.30%8.95K | 104.82%238.85K | 13.93%92.21K | 144.25%26.67K | 11.05%94.17K | 131.48%25.8K |
| Depreciation and amortization | -92.25%172.05K | -92.47%41.87K | -93.92%33.69K | -91.30%48.25K | -91.31%48.26K | -15.01%2.22M | -13.57%556.28K | -16.06%553.61K | -15.40%554.42K | -14.99%555K |
| Other non cash items | -2,564.71%-41.53M | -2,776.75%-41.66M | 102.70%47.89K | -97.82%40.51K | -6.53%39.91K | 373.46%1.69M | 484.88%1.56M | -63.57%-1.77M | 1,742.89%1.86M | -57.79%42.7K |
| Change In working capital | 51.97%1.74M | 110.40%27.28K | -142.10%-58.41K | 1.95%837.9K | 109.39%928.34K | -67.51%1.14M | -199.04%-262.19K | -17.30%138.74K | 0.59%821.87K | -80.42%443.37K |
| -Change in receivables | 649.60%616.75K | 159.82%218.06K | -0.07%-80.14K | 10.30%463.31K | -85.48%15.52K | -81.86%82.28K | -57.05%-364.55K | 7.14%-80.08K | 6,946.38%420.04K | -86.04%106.88K |
| -Change in prepaid assets | 411.34%142.91K | 263.30%137.38K | -175.49%-97.99K | 103.33%72.58K | -18.80%30.94K | -102.02%-45.9K | -1,996.91%-84.13K | -371.43%-35.57K | -95.05%35.7K | -97.53%38.1K |
| -Change in payables and accrued expense | -11.76%975.44K | -275.97%-328.17K | -52.94%119.72K | -17.51%302.01K | 195.55%881.89K | 40.72%1.11M | -62.77%186.49K | 5.61%254.39K | 307.35%366.13K | 747.07%298.39K |
| Cash from discontinued investing activities | ||||||||||
| Operating cash flow | -83.50%-3.11M | -152.66%-2.05M | -18.58%-618.45K | 54.24%-37.36K | -43.96%-401.81K | -34.00%-1.69M | -6.52%-811.72K | 10.35%-521.55K | 90.00%-81.64K | -131.16%-279.11K |
| Investing cash flow | ||||||||||
| Cash flow from continuing investing activities | -64.22%392.36K | -15.95%200.63K | -103.63%-19.2K | -62.88%41.3K | -21.91%169.62K | 197.15%1.1M | 105.13%238.7K | 1,325.51%529.33K | 138.14%111.27K | 123.87%217.21K |
| Net PPE purchase and sale | -136.68%-23.1K | --0 | ---15.33K | 23.46%-3.53K | ---4.23K | -28.17%-9.76K | 20.25%-5.14K | --0 | ---4.62K | --0 |
| Net intangibles purchase and sale | ---- | ---- | ---- | ---- | ---- | --0 | --0 | --0 | --0 | --0 |
| Net business purchase and sale | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---217.21K | 124.13%217.21K |
| Net investment purchase and sale | -62.45%415.46K | -17.72%200.63K | -100.73%-3.86K | -61.31%44.84K | -19.96%173.85K | 222.92%1.11M | --243.84K | 158.81%529.33K | --115.88K | --217.21K |
| Cash from discontinued investing activities | ||||||||||
| Investing cash flow | -64.22%392.36K | -15.95%200.63K | -103.63%-19.2K | -62.88%41.3K | -21.91%169.62K | 197.15%1.1M | 105.13%238.7K | 1,325.51%529.33K | 138.14%111.27K | 123.87%217.21K |
| Financing cash flow | ||||||||||
| Cash flow from continuing financing activities | 276.78%2.54M | 510.49%1.28M | 95.10%483.61K | 136.60%552.49K | 1,287.24%218.16K | -63.53%672.81K | -64.08%209.79K | 425.49%247.89K | -78.59%233.51K | -114.92%-18.38K |
| Net issuance payments of debt | 605.84%137.38K | 69.01%-5.64K | 5,093.11%149.29K | -4.98%-3.14K | -4.98%-3.14K | -164.30%-27.16K | -915.01%-18.19K | -5.73%-2.99K | -58.62%-2.99K | 20.71%-2.99K |
| Net common stock issuance | --2.22M | --1.31M | --339.54K | ---- | ---- | --0 | --0 | --0 | ---- | ---- |
| Proceeds from stock option exercised by employees | -61.03%277K | --0 | --0 | --0 | --277K | -44.00%710.88K | --223.5K | --250.88K | -78.87%236.5K | --0 |
| Net other financing activities | -781.75%-96.17K | -600.98%-22.43K | ---5.22K | ---12.81K | -262.08%-55.71K | 48.67%-10.91K | --4.48K | --0 | --0 | 33.33%-15.39K |
| Cash from discontinued financing activities | ||||||||||
| Financing cash flow | 276.78%2.54M | 510.49%1.28M | 95.10%483.61K | 136.60%552.49K | 1,287.24%218.16K | -63.53%672.81K | -64.08%209.79K | 425.49%247.89K | -78.59%233.51K | -114.92%-18.38K |
| Net cash flow | ||||||||||
| Beginning cash position | 13.32%676.96K | 9.67%1.15M | 65.51%1.28M | 35.45%696.1K | 13.32%676.96K | -47.77%597.4K | 61.10%1.05M | -37.47%772.23K | -59.10%513.94K | -47.77%597.4K |
| Current changes in cash | -340.52%-181.11K | -56.78%-569.47K | -160.25%-154.03K | 111.46%556.43K | 82.51%-14.04K | 113.74%75.3K | -489.01%-363.23K | 144.25%255.66K | 1,617.60%263.14K | -173.72%-80.27K |
| Effect of exchange rate changes | 1,308.28%59.89K | -229.10%-23.4K | 26.59%24.56K | 627.52%25.55K | 1,139.37%33.19K | 199.51%4.25K | -179.09%-7.11K | 372.83%19.4K | -15.61%-4.84K | -185.58%-3.19K |
| End cash Position | -17.91%555.74K | -17.91%555.74K | 9.67%1.15M | 65.51%1.28M | 35.45%696.1K | 13.32%676.96K | 13.32%676.96K | 61.10%1.05M | -37.47%772.23K | -59.10%513.94K |
| Free cash flow | -83.80%-3.13M | -151.06%-2.05M | -21.52%-633.78K | 52.59%-40.89K | -45.48%-406.04K | -11.03%-1.7M | -26.52%-816.86K | 16.55%-521.55K | 92.21%-86.26K | -133.07%-279.11K |
| Currency Unit | CAD | CAD | CAD | CAD | CAD | CAD | CAD | CAD | CAD | CAD |
| Audit Opinions | -- | -- | -- | -- | -- | Unqualified Opinion with Explanatory Notes | -- | -- | -- | -- |