United States Commodity Index Fund exchange traded fund. It is the manager of exchange traded securities that are designed to track the movements in the prices of different commodity futures. United States Commodity Index Fund was founded on April 1, 2010 and is headquartered in Alameda, CA.
Company profile
Ticker
CPER, USCI
Exchange
Employees
Incorporated
Location
Fiscal year end
Industry (SIC)
SEC CIK
CPER stock data
Latest filings (excl ownership)
8-K
Regulation FD Disclosure
26 Apr 24
424B3
Prospectus supplement
26 Apr 24
424B3
Prospectus supplement
26 Apr 24
424I
Prospectus supplement
29 Mar 24
424I
Prospectus supplement
29 Mar 24
8-K
Regulation FD Disclosure
28 Mar 24
8-K
Regulation FD Disclosure
27 Mar 24
8-K
To the Members of the Audit Committee of the Board of Directors of United States Commodity Funds LLC
21 Mar 24
10-K
2023 FY
Annual report
29 Feb 24
8-K
Regulation FD Disclosure
28 Feb 24
Latest ownership filings
3
Kathryn D. Rooney
6 Apr 23
3
Kathryn D. Rooney
6 Apr 23
SC 13D/A
United States Commodity Index Funds Trust
16 May 19
SC 13D/A
United States Commodity Index Funds Trust
15 May 19
SC 13D/A
United States Commodity Index Funds Trust
9 May 19
SC 13D/A
United States Commodity Index Funds Trust
6 May 19
SC 13D/A
United States Commodity Index Funds Trust
2 May 19
SC 13D/A
United States Commodity Index Funds Trust
1 May 19
SC 13D/A
United States Commodity Index Funds Trust
29 Apr 19
SC 13D/A
United States Commodity Index Funds Trust
1 Apr 19
Financial summary
Quarter (USD) | Sep 23 | Jun 23 | Mar 23 | Dec 22 | |
---|---|---|---|---|---|
Revenue | |||||
Cost of revenue | |||||
Operating income | |||||
Operating margin | |||||
Net income | |||||
Net profit margin | |||||
Cash on hand | |||||
Change in cash | |||||
Diluted EPS |
Annual (USD) | Dec 22 | Dec 21 | Dec 20 | Dec 19 | |
---|---|---|---|---|---|
Revenue | |||||
Cost of revenue | |||||
Operating income | |||||
Operating margin | |||||
Net income | |||||
Net profit margin | |||||
Cash on hand | |||||
Change in cash | |||||
Diluted EPS |
Institutional ownership, Q3 2023
11.6% owned by funds/institutions
13F holders | Current |
---|---|
Total holders | 48 |
Opened positions | 14 |
Closed positions | 4 |
Increased positions | 11 |
Reduced positions | 15 |
13F shares | Current |
---|---|
Total value | 45.37 bn |
Total shares | 814.30 k |
Total puts | 5.30 k |
Total calls | 23.20 k |
Total put/call ratio | 0.2 |
Largest owners | Shares | Value |
---|---|---|
Cambria Investment Management | 199.99 k | $11.83 bn |
Jane Street | 77.11 k | $4.56 bn |
AMP Ameriprise Financial | 58.70 k | $3.47 bn |
Glenmede Trust Co Na | 52.80 k | $3.12 bn |
LPL Financial | 51.09 k | $3.02 bn |
BMO Bank of Montreal | 37.41 k | $2.28 bn |
EQH Equitable | 32.27 k | $1.91 bn |
MS Morgan Stanley | 30.14 k | $1.78 bn |
TAP Consulting | 28.59 k | $1.69 bn |
Pekin Hardy Strauss | 28.22 k | $1.67 bn |