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United States Commodity Index Funds Trust (CPER) Annual Reports

United States Commodity Index Funds Trust is listed on NYSE, classified by the SEC under Commodity Contracts Brokers & Dealers (SIC 6221). This page indexes 3 annual reports, each linking to the full text on the SEC's EDGAR system.

Company profile

  • Exchange: NYSE
  • Fiscal year end: 12/31
  • SEC CIK: 1479247 →

Website:Official site ↗

Financial Highlights

FY2022 Q1 (quarterly, ended 2022-03-31)
CurrentPrior yearYoY
Net income $78.7M $23.5M +235.7%

Source: SEC EDGAR (XBRL company facts)

Financial history

Revenue & profit
Quarterly · In mn (USD)
Revenue 38.1 mn Net income 78.7 mn
2010Q3 2010Q4 2011Q1 2011Q2 2011Q3 2011Q4 2012Q1 2012Q2 2012Q3 2012Q4 2013Q1 2013Q2 2013Q3 2013Q4 2014Q1 2014Q2 2014Q3 2014Q4 2015Q1 2015Q2 2015Q3 2015Q4 2016Q1 2016Q2 2016Q3 2016Q4 2017Q1 2017Q2 2017Q3 2017Q4 2018Q2 2018Q3 2018Q4 2019Q1 2019Q2 2019Q3 2019Q4 2020Q1 2020Q2 2020Q3 2020Q4 2021Q1 2021Q2 2021Q3 2021Q4 2022Q1
Show table:Income statement
Item2010Q32010Q42011Q12011Q22011Q32011Q42012Q12012Q22012Q32012Q42013Q12013Q22013Q32013Q42014Q12014Q22014Q32014Q42015Q12015Q22015Q32015Q42016Q12016Q22016Q32016Q42017Q12017Q22017Q32017Q42018Q22018Q32018Q42019Q12019Q22019Q32019Q42020Q12020Q22020Q32020Q42021Q12021Q22021Q32021Q42022Q1
Revenue1.01 9.71 -44.5 -37.9 0.7 -2.62 -31.3 26.1 0.19 25.6 20.0 -76.3 -104 -46.3 26.6 -62.2 -16.5 -0.73 37.3 -23.7 -22.0 -8.98 -9.62 22.1 30.6 14.4 -19.8 -66.5 18.8 -19.3 -11.0 7.24 -54.7 38.1
Operating income26.6 -62.2 37.3 -23.7
Net income0.99 9.53 17.3 -45.9 -39.1 -0.46 16.0 -26.7 26.9 -23.9 -13.8 -32.8 24.6 -1.30 24.1 18.4 -78.3 -107 -48.1 25.1 -63.7 -18.0 -2.08 35.8 -25.5 -23.7 -10.4 -11.1 20.9 29.3 12.8 -21.5 -67.9 17.5 -20.4 -11.8 6.62 -55.1 4.77 17.5 14.7 23.4 30.1 -11.6 33.4 78.7
Balance sheet
Quarterly · In mn (USD)
Total assets 129 mn Total liabilities 0.44 mn
2010Q3 2010Q4 2011Q1 2011Q2 2011Q3 2011Q4 2012Q1 2012Q2 2012Q3 2012Q4 2013Q1 2013Q2 2013Q3 2013Q4 2014Q1 2014Q2 2014Q3 2014Q4 2015Q1 2015Q2 2015Q3 2015Q4 2016Q1 2016Q2 2016Q3 2016Q4 2017Q1 2017Q2 2017Q3 2017Q4 2018Q2 2018Q3 2018Q4 2019Q1 2019Q2 2019Q3 2019Q4 2020Q1 2020Q2 2020Q3 2020Q4 2021Q1 2021Q2 2021Q3 2021Q4 2022Q1

Equity = assets − liabilities. Balance-sheet figures are period-end balances, not cumulative.

Show table:Balance sheet
Item2010Q32010Q42011Q12011Q22011Q32011Q42012Q12012Q22012Q32012Q42013Q12013Q22013Q32013Q42014Q12014Q22014Q32014Q42015Q12015Q22015Q32015Q42016Q12016Q22016Q32016Q42017Q12017Q22017Q32017Q42018Q22018Q32018Q42019Q12019Q22019Q32019Q42020Q12020Q22020Q32020Q42021Q12021Q22021Q32021Q42022Q1
Total assets103 475 398 354 426 400 475 497 515 505 555 521 580 666 843 761 522 568 521 526 517 667 670 651 566 494 490 519 476 361 259 200 129
Total liabilities0.15 6.93 6.40 0.66 0.59 0.64 0.83 0.99 0.69 0.76 0.93 1.05 0.73 0.69 0.95 45.0 0.82 0.77 3.11 1.19 0.85 0.84 1.06 7.23 0.78 0.69 1.40 3.58 1.07 0.77 2.60 3.10 0.44
Cash flow
Quarterly · In mn (USD)
Operating 65.6 mn Financing 80.1 mn
2010Q3 2010Q4 2011Q1 2011Q2 2011Q3 2011Q4 2012Q1 2012Q2 2012Q3 2012Q4 2013Q1 2013Q2 2013Q3 2013Q4 2014Q1 2014Q2 2014Q3 2014Q4 2015Q1 2015Q2 2015Q3 2015Q4 2016Q1 2016Q2 2016Q3 2016Q4 2017Q1 2017Q2 2017Q3 2017Q4 2018Q2 2018Q3 2018Q4 2019Q1 2019Q2 2019Q3 2019Q4 2020Q1 2020Q2 2020Q3 2020Q4 2021Q1 2021Q2 2021Q3 2021Q4 2022Q1

Positive = cash in, negative = cash out.

Show table:Cash flow statement
Item2010Q32010Q42011Q12011Q22011Q32011Q42012Q12012Q22012Q32012Q42013Q12013Q22013Q32013Q42014Q12014Q22014Q32014Q42015Q12015Q22015Q32015Q42016Q12016Q22016Q32016Q42017Q12017Q22017Q32017Q42018Q22018Q32018Q42019Q12019Q22019Q32019Q42020Q12020Q22020Q32020Q42021Q12021Q22021Q32021Q42022Q1
Operating-0.97 -4.05 -16.4 -38.9 -8.03 -29.9 -1.10 -13.7 -0.41 -7.61 -7.04 -30.6 -0.77 39.9 2.41 16.7 -65.1 -107 -39.6 8.93 -52.8 -26.7 13.6 16.5 -19.5 -20.9 -10.4 19.6 -52.8 57.9 16.7 -53.4 2.16 -16.3 -11.4 -0.07 -45.7 -4.74 12.2 11.6 21.0 33.6 -4.88 23.8 65.6
Financing15.3 77.2 288 112 -38.2 -43.8 44.1 13.1 47.6 42.4 35.5 22.4 25.7 -41.9 43.9 55.3 268 24.1 -191 18.9 18.6 23.2 -6.60 114 28.2 4.79 -74.0 -87.0 -1.88 164 -62.1 -67.7 -36.9 -74.2 -90.5 -66.0 -15.1 8.53 -24.2 26.1 168 145 -34.9 -65.9 80.1
Cash at period end14.3 87.5 359 432 386 313 356 355 402 437 466 457 482 480 527 598 801 719 488 516 482 478 485 616 625 608 524 449 457 402 618 542 438 419 332 235 170 110 129 125 166 340 497 467 431 575
Profitability
Quarterly · %
Operating margin 100.0% Net margin 38.5%
2010Q3 2010Q4 2011Q1 2011Q2 2011Q3 2011Q4 2012Q1 2012Q2 2012Q3 2012Q4 2013Q1 2013Q2 2013Q3 2013Q4 2014Q1 2014Q2 2014Q3 2014Q4 2015Q1 2015Q2 2015Q3 2015Q4 2016Q1 2016Q2 2016Q3 2016Q4 2017Q1 2017Q2 2017Q3 2017Q4 2018Q2 2018Q3 2018Q4 2019Q1 2019Q2 2019Q3 2019Q4 2020Q1 2020Q2 2020Q3 2020Q4 2021Q1 2021Q2 2021Q3 2021Q4 2022Q1

Gross, operating and net margin = the respective profit ÷ revenue.

Show table:Profitability
Item2010Q32010Q42011Q12011Q22011Q32011Q42012Q12012Q22012Q32012Q42013Q12013Q22013Q32013Q42014Q12014Q22014Q32014Q42015Q12015Q22015Q32015Q42016Q12016Q22016Q32016Q42017Q12017Q22017Q32017Q42018Q22018Q32018Q42019Q12019Q22019Q32019Q42020Q12020Q22020Q32020Q42021Q12021Q22021Q32021Q42022Q1
Operating margin100.0%100.0%
Net margin97.8%98.2%-65.2%94.3%-691.0%94.0%92.1%94.2%96.1%94.5%95.7%89.2%93.1%91.4%38.5%
Returns & leverage
Quarterly · %
ROA -62.6% Debt ratio 0.3%
2010Q3 2010Q4 2011Q1 2011Q2 2011Q3 2011Q4 2012Q1 2012Q2 2012Q3 2012Q4 2013Q1 2013Q2 2013Q3 2013Q4 2014Q1 2014Q2 2014Q3 2014Q4 2015Q1 2015Q2 2015Q3 2015Q4 2016Q1 2016Q2 2016Q3 2016Q4 2017Q1 2017Q2 2017Q3 2017Q4 2018Q2 2018Q3 2018Q4 2019Q1 2019Q2 2019Q3 2019Q4 2020Q1 2020Q2 2020Q3 2020Q4 2021Q1 2021Q2 2021Q3 2021Q4 2022Q1

ROE / ROA = trailing four-quarter net income ÷ average equity / total assets (annual mode: the year’s net income ÷ average of opening and closing). Not computed when the denominator is zero or negative.

Show table:Returns & leverage
Item2010Q32010Q42011Q12011Q22011Q32011Q42012Q12012Q22012Q32012Q42013Q12013Q22013Q32013Q42014Q12014Q22014Q32014Q42015Q12015Q22015Q32015Q42016Q12016Q22016Q32016Q42017Q12017Q22017Q32017Q42018Q22018Q32018Q42019Q12019Q22019Q32019Q42020Q12020Q22020Q32020Q42021Q12021Q22021Q32021Q42022Q1
ROA-3.8%-14.6%-29.8%-16.3%-11.5%3.6%-1.8%-7.9%-9.6%-8.9%-4.6%2.6%11.2%-5.3%-22.2%-39.0%-33.7%-28.3%-16.3%-11.3%-7.8%-1.6%-2.6%-4.4%-12.2%-4.2%4.9%-9.8%-25.6%-31.9%-2.4%-62.6%
Debt ratio0.1%1.5%1.6%0.2%0.1%0.2%0.2%0.2%0.1%0.1%0.2%0.2%0.1%0.1%0.1%5.9%0.2%0.1%0.6%0.2%0.2%0.1%0.2%1.1%0.1%0.1%0.3%0.7%0.2%0.2%1.0%1.6%0.3%

Source: SEC EDGAR (XBRL company facts)

Annual reports by year

10-K: annual report of a US domestic issuer. Filings are the original documents hosted on SEC EDGAR — this site neither mirrors nor edits them.

FAQ

Where can I read United States Commodity Index Funds Trust (CPER) annual reports?

Every year in the table above links straight to the full text on SEC EDGAR. US annual reports are web pages (HTML) rather than PDFs, so you can read and search them in the browser without downloading anything. 3 filings are currently indexed.

What is the difference between a 10-K and a 20-F?

A 10-K is the annual report of a US domestic issuer, with sections fixed by law: Item 1 Business, Item 1A Risk Factors, Item 7 Management's Discussion and Analysis. A 20-F is filed by foreign private issuers — Taiwanese companies with US ADRs, such as TSMC, file 20-F rather than 10-K. A 40-F applies to Canadian issuers under the MJDS.

Are earnings call materials available here?

No. Earnings calls are not SEC filings, so US pages on this site cover annual reports only. Taiwan has a mandatory investor-conference disclosure regime, and those materials are indexed under Annual Reports.

Source: US Securities and Exchange Commission (SEC) EDGAR. This site indexes public filings and links to them; it hosts no copies, offers no investment advice, and makes no warranty as to timeliness or completeness.
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