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 | |
|---|---|---|---|---|---|---|---|---|---|---|
| Assets | ||||||||||
| Current assets | ||||||||||
| Cash, cash equivalents and short term investments | 417.48%48.56M | 414.03%45.66M | 414.03%45.66M | 147.26%28.66M | 60.28%13.06M | 77.20%9.38M | 287.42%8.88M | 287.42%8.88M | 485.84%11.59M | 263.95%8.15M |
| -Cash and cash equivalents | 1,491.88%20.79M | 793.46%9.89M | 793.46%9.89M | -54.92%3.78M | 35.71%2.44M | -75.34%1.31M | -51.60%1.11M | -51.60%1.11M | 325.62%8.39M | -19.23%1.8M |
| -Short-term investments | 243.74%27.77M | 360.01%35.77M | 360.01%35.77M | 677.75%24.88M | 67.25%10.61M | --8.08M | 137,538.40%7.78M | 137,538.40%7.78M | 47,802.53%3.2M | 77,086.44%6.34M |
| Receivables | 113.80%3.92M | 148.21%3.93M | 148.21%3.93M | 217.82%4.68M | 74.09%2.64M | 48.00%1.84M | 51.94%1.58M | 51.94%1.58M | 30.43%1.47M | 80.31%1.52M |
| -Accounts receivable | 113.82%3.92M | 147.86%3.91M | 147.86%3.91M | 344.10%4.68M | 74.18%2.64M | 48.04%1.83M | 51.96%1.58M | 51.96%1.58M | -6.52%1.05M | 80.48%1.52M |
| -Related party accounts receivable | 96.99%3.8K | 341.22%12.76K | 341.22%12.76K | -80.00%171 | -21.59%1.11K | 20.59%1.93K | 39.04%2.89K | 39.04%2.89K | -47.77%855 | -9.07%1.41K |
| -Other receivables | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --418K | ---- |
| Inventory | 5.31%1.23M | 7.24%965.11K | 7.24%965.11K | -12.86%846.56K | 46.23%1.12M | 47.03%1.17M | 2.65%899.92K | 2.65%899.92K | 38.49%971.51K | 16.99%766.61K |
| Other current assets | 158.50%872.29K | 111.18%799.26K | 111.18%799.26K | 101.72%817.52K | 112.83%366.14K | 60.82%337.45K | 59.80%378.47K | 59.80%378.47K | 21.53%405.27K | 41.45%172.04K |
| Total current assets | 328.88%54.59M | 337.29%51.35M | 337.29%51.35M | 142.40%35M | 62.09%17.19M | 68.75%12.73M | 164.04%11.74M | 164.04%11.74M | 248.58%14.44M | 174.89%10.6M |
| Non current assets | ||||||||||
| Net PPE | 46.06%39.24M | 50.13%35.25M | 50.13%35.25M | 39.02%30M | 39.77%27.89M | 35.98%26.86M | 29.48%23.48M | 29.48%23.48M | 21.85%21.58M | 11.93%19.95M |
| -Gross PPE | 43.05%48.81M | 45.34%44.12M | 45.34%44.12M | 36.56%38.31M | 37.16%35.59M | 34.96%34.12M | 31.62%30.36M | 31.62%30.36M | 25.43%28.05M | 17.24%25.95M |
| -Accumulated depreciation | -31.90%-9.57M | -28.97%-8.87M | -28.97%-8.87M | -28.36%-8.31M | -28.48%-7.7M | -31.32%-7.26M | -39.49%-6.88M | -39.49%-6.88M | -39.05%-6.47M | -39.20%-6M |
| Investments and advances | 268.88%28.67M | 256.05%28.43M | 256.05%28.43M | 366.24%17.33M | 1,432.19%11.86M | 902.22%7.77M | 932.01%7.99M | 932.01%7.99M | 381.23%3.72M | 0.45%774.05K |
| Related parties assets | 96.99%3.8K | 341.22%12.76K | 341.22%12.76K | -80.00%171 | -21.59%1.11K | 20.59%1.93K | 39.04%2.89K | 39.04%2.89K | -47.77%855 | -9.07%1.41K |
| Non current prepaid assets | 734.26%3.12M | 51.24%858.53K | 51.24%858.53K | -48.57%433.39K | -27.34%436.17K | -1.02%373.57K | 99.13%567.67K | 99.13%567.67K | 3,270.97%842.74K | --600.27K |
| Other non current assets | 7.61%355.22K | 42.60%355.22K | 42.60%355.22K | 40.59%350.22K | 28.79%330.11K | 31.36%330.11K | -0.88%249.11K | -0.88%249.11K | -0.88%249.11K | -21.62%256.31K |
| Total non current assets | 101.99%71.38M | 101.03%64.89M | 101.03%64.89M | 82.32%48.11M | 87.71%40.51M | 67.03%35.34M | 66.02%32.28M | 66.02%32.28M | 40.68%26.39M | 14.05%21.58M |
| Total assets | 162.07%125.97M | 164.05%116.24M | 164.05%116.24M | 103.57%83.11M | 79.27%57.7M | 67.48%48.07M | 84.27%44.02M | 84.27%44.02M | 78.29%40.83M | 41.29%32.19M |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Payables | 151.95%2.58M | 122.55%2.24M | 122.55%2.24M | 69.38%2.31M | 109.58%1.54M | 110.62%1.02M | 107.77%1.01M | 107.77%1.01M | 174.16%1.37M | 35.00%732.83K |
| -accounts payable | 64.00%1.68M | 89.31%1.9M | 89.31%1.9M | 69.38%2.31M | 109.58%1.54M | 110.62%1.02M | 107.77%1.01M | 107.77%1.01M | 174.16%1.37M | 35.00%732.83K |
| -Total tax payable | --899.18K | --334.45K | --334.45K | ---- | ---- | ---- | --0 | --0 | ---- | ---- |
| Current accrued expenses | 45.92%819.78K | -27.46%409.21K | -27.46%409.21K | 27.27%567.41K | 99.35%570.53K | 106.19%561.81K | 111.53%564.09K | 111.53%564.09K | 75.74%445.85K | 21.55%286.19K |
| Current debt and capital lease obligation | -33.88%879.82K | 45.10%1.03M | 45.10%1.03M | 51.34%1.21M | 68.33%1.25M | 22.05%1.33M | -27.48%709.38K | -27.48%709.38K | -20.33%802.31K | -28.59%745.13K |
| -Current debt | -33.88%879.82K | 45.10%1.03M | 45.10%1.03M | 51.34%1.21M | 68.33%1.25M | 22.05%1.33M | -27.48%709.38K | -27.48%709.38K | -20.33%802.31K | -28.59%745.13K |
| Current liabilities | 46.67%4.28M | 61.33%3.68M | 61.33%3.68M | 56.66%4.1M | 90.50%3.36M | 57.71%2.91M | 31.83%2.28M | 31.83%2.28M | 48.62%2.61M | -3.17%1.76M |
| Non current liabilities | ||||||||||
| Long term provisions | 6.57%330.67K | 6.56%325.45K | 6.56%325.45K | 6.56%320.32K | 6.55%315.26K | 6.55%310.3K | 6.54%305.41K | 6.54%305.41K | 9.67%300.6K | 9.55%295.87K |
| Long term debt and capital lease obligation | -51.12%1.14M | 27.23%1.3M | 27.23%1.3M | -17.40%1.75M | 2.00%2.03M | 7.97%2.34M | -23.54%1.02M | -23.54%1.02M | 40.12%2.12M | 14.21%1.99M |
| -Long term debt | -51.12%1.14M | 27.23%1.3M | 27.23%1.3M | -17.40%1.75M | 2.00%2.03M | 7.97%2.34M | -23.54%1.02M | -23.54%1.02M | 40.12%2.12M | 14.21%1.99M |
| Non current deferred liabilities | --886.29K | --91.7K | --91.7K | ---- | ---- | ---- | --0 | --0 | ---- | ---- |
| Total non current liabilities | -10.92%2.36M | 29.38%1.72M | 29.38%1.72M | -14.42%2.07M | 2.59%2.34M | 7.80%2.65M | -18.23%1.33M | -18.23%1.33M | 35.44%2.42M | 13.58%2.28M |
| Total liabilities | 19.25%6.64M | 49.57%5.4M | 49.57%5.4M | 22.51%6.17M | 40.92%5.7M | 29.22%5.56M | 7.58%3.61M | 7.58%3.61M | 41.98%5.03M | 5.62%4.05M |
| Shareholders'equity | ||||||||||
| Share capital | 118.98%101.95M | 116.74%99.83M | 116.74%99.83M | 71.38%75.29M | 39.28%53.3M | 26.97%46.55M | 31.73%46.06M | 31.73%46.06M | 28.73%43.93M | 12.13%38.26M |
| -common stock | 118.98%101.95M | 116.74%99.83M | 116.74%99.83M | 71.38%75.29M | 39.28%53.3M | 26.97%46.55M | 31.73%46.06M | 31.73%46.06M | 28.73%43.93M | 12.13%38.26M |
| -Preferred stock | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 |
| Retained earnings | 317.73%14.73M | 199.62%8.34M | 199.62%8.34M | 90.60%-1.02M | 68.97%-4M | 55.02%-6.76M | 51.34%-8.37M | 51.34%-8.37M | 38.05%-10.88M | 28.36%-12.88M |
| Total stockholders'equity | 193.23%116.68M | 187.03%108.17M | 187.03%108.17M | 124.69%74.26M | 94.22%49.3M | 84.00%39.79M | 112.27%37.69M | 112.27%37.69M | 99.53%33.05M | 57.23%25.38M |
| Noncontrolling interests | -2.05%2.66M | -2.04%2.67M | -2.04%2.67M | -2.10%2.69M | -2.08%2.7M | -2.02%2.71M | -1.96%2.73M | -1.96%2.73M | -1.71%2.74M | -1.75%2.76M |
| Total equity | 180.77%119.33M | 174.27%110.84M | 174.27%110.84M | 114.97%76.95M | 84.79%52M | 74.23%42.5M | 96.80%40.41M | 96.80%40.41M | 84.93%35.79M | 48.50%28.14M |
| Currency Unit | USD | USD | USD | USD | USD | USD | USD | USD | USD | USD |
| Audit Opinions | -- | Unqualified Opinion | -- | -- | -- | -- | Unqualified Opinion | -- | -- | -- |