Schedule of Investments (Unaudited) - Treasury Bills and Money Market Fund - USD ($) | Sep. 30, 2019 | Dec. 31, 2018 |
Schedule Of Investments [Line Items] | | | | | |
Percentage of Shareholders' Equity | | 108.52% | | 130.33% | |
United States Treasury Obligations, Value | | $ 106,747,246 | | $ 188,139,552 | |
Affiliated investments, Value | | 21,953,482 | | 21,121,492 | |
Investments in Securities, Value | | 128,700,728 | | 209,261,044 | |
Investments in Securities, cost | | $ 128,637,832 | | $ 209,249,402 | |
Affiliated Investments [Member] | | | | | |
Schedule Of Investments [Line Items] | | | | | |
Percentage of Shareholders' Equity | | 18.51% | | 13.15% | |
Affiliated investments, Value | | $ 21,953,482 | | $ 21,121,492 | |
Affiliated Investments, Cost | | $ 21,923,011 | | $ 21,111,527 | |
U.S. Treasury Bills, 2.025% due October 8, 2019 [Member] | | | | | |
Schedule Of Investments [Line Items] | | | | | |
Percentage of Shareholders' Equity | [1] | 37.09% | | | |
United States Treasury Obligations, Value | [1] | $ 43,985,070 | | | |
United States Treasury Obligations, Principal Value | [1] | $ 44,000,000 | | | |
Investment Interest Rate | [1] | 2.025% | | | |
Investment Maturity Date | [1] | Oct. 8, 2019 | | | |
U.S. Treasury Bills, 1.945% due December 19, 2019 [Member] | | | | | |
Schedule Of Investments [Line Items] | | | | | |
Percentage of Shareholders' Equity | [1],[2] | 52.92% | | | |
United States Treasury Obligations, Value | [1],[2] | $ 62,762,176 | | | |
United States Treasury Obligations, Principal Value | [1],[2] | $ 63,000,000 | | | |
Investment Interest Rate | [1] | 1.945% | | | |
Investment Maturity Date | [1] | Dec. 19, 2019 | | | |
Restricted for maintenance margin | | $ 48,813,800 | | | |
United States Treasury Obligations [Member] | | | | | |
Schedule Of Investments [Line Items] | | | | | |
Percentage of Shareholders' Equity | [1] | 90.01% | | 117.18% | |
United States Treasury Obligations, Value | [1] | $ 106,747,246 | | $ 188,139,552 | |
Investments in Securities, cost | [1] | $ 106,714,821 | | $ 188,137,875 | |
Exchange-Traded Fund [Member] | Affiliated Investments [Member] | | | | | |
Schedule Of Investments [Line Items] | | | | | |
Percentage of Shareholders' Equity | [3] | 13.52% | | 9.97% | |
Affiliated investments, Value | [3] | $ 16,036,842 | | $ 16,016,336 | |
Affiliated Investments, Shares | [3] | 151,900 | | 151,900 | |
Affiliated Investments, Cost | [3] | $ 16,006,371 | | $ 16,006,371 | |
Money Market Mutual Fund - Premier U.S. Government Money Portfolio - Institutional Class [Member] | Affiliated Investments [Member] | | | | | |
Schedule Of Investments [Line Items] | | | | | |
Percentage of Shareholders' Equity | | 4.99% | [4] | 3.18% | [5] |
Affiliated investments, Value | | $ 5,916,640 | [4] | $ 5,105,156 | [5] |
Affiliated Investments, Shares | | 5,916,640 | [4] | 5,105,156 | [5] |
Investment Interest Rate | | 1.81% | [4] | 2.30% | [5] |
Affiliated Investments, Cost | | $ 5,916,640 | [4] | $ 5,105,156 | [5] |
U.S. Treasury Bills, 2.175% due January 3, 2019 [Member] | | | | | |
Schedule Of Investments [Line Items] | | | | | |
Percentage of Shareholders' Equity | [1] | | | 28.65% | |
United States Treasury Obligations, Value | [1] | | | $ 45,997,132 | |
United States Treasury Obligations, Principal Value | [1] | | | $ 46,000,000 | |
Investment Interest Rate | [1] | | | 2.175% | |
Investment Maturity Date | [1] | | | Jan. 3, 2019 | |
U.S. Treasury Bills, 2.370% due February 28, 2019 [Member] | | | | | |
Schedule Of Investments [Line Items] | | | | | |
Percentage of Shareholders' Equity | [1],[6] | | | 20.48% | |
United States Treasury Obligations, Value | [1],[6] | | | $ 32,875,841 | |
United States Treasury Obligations, Principal Value | [1],[6] | | | $ 33,000,000 | |
Investment Interest Rate | [1],[6] | | | 2.37% | |
Investment Maturity Date | [1],[6] | | | Feb. 28, 2019 | |
Restricted for maintenance margin | [1],[6] | | | $ 68,216,920 | |
U.S. Treasury Bills, 2.465% due April 4, 2019 [Member] | | | | | |
Schedule Of Investments [Line Items] | | | | | |
Percentage of Shareholders' Equity | [1],[6] | | | 32.19% | |
United States Treasury Obligations, Value | [1],[6] | | | $ 51,678,243 | |
United States Treasury Obligations, Principal Value | [1],[6] | | | $ 52,000,000 | |
Investment Interest Rate | [1],[6] | | | 2.465% | |
Investment Maturity Date | [1],[6] | | | Apr. 4, 2019 | |
Restricted for maintenance margin | | | | $ 68,216,920 | |
U.S. Treasury Bills, 2.415% due March 28, 2019 [Member] | | | | | |
Schedule Of Investments [Line Items] | | | | | |
Percentage of Shareholders' Equity | [1] | | | 13.62% | |
United States Treasury Obligations, Value | [1] | | | $ 21,877,086 | |
United States Treasury Obligations, Principal Value | [1] | | | $ 22,000,000 | |
Investment Interest Rate | [1] | | | 2.415% | |
Investment Maturity Date | [1] | | | Mar. 28, 2019 | |
U.S. Treasury Bills, 2.430% due May 2, 2019 [Member] | | | | | |
Schedule Of Investments [Line Items] | | | | | |
Percentage of Shareholders' Equity | [1] | | | 22.24% | |
United States Treasury Obligations, Value | [1] | | | $ 35,711,250 | |
United States Treasury Obligations, Principal Value | [1] | | | $ 36,000,000 | |
Investment Interest Rate | [1] | | | 2.43% | |
Investment Maturity Date | [1] | | | May 2, 2019 | |
| |
[1] | Security may be traded on a discount basis. The interest rate shown represents the discount rate at the most recent auction date of the security prior to period end. | |
[2] | United States Treasury Obligations of $48,813,800 are on deposit with the Commodity Broker and held as maintenance margin for open futures contracts. | |
[3] | Affiliated company. The security and the Fund are affiliated by having the same investment adviser. See Note 8. | |
[4] | The security and the Fund are advised by wholly-owned subsidiaries of Invesco Ltd. and are therefore considered to be affiliated. The rate shown is the 7-day SEC standardized yield as of September 30, 2019. | |
[5] | The security and the Fund are advised by wholly-owned subsidiaries of Invesco Ltd. and are therefore considered to be affiliated. The rate shown is the 7-day SEC standardized yield as of December 31, 2018. | |
[6] | United States Treasury Obligations of $68,216,920 are on deposit with the Commodity Broker and held as maintenance margin for open futures contracts. | |