Attached files

file filename
8-K - 8-K CURRENT REPORT - United States Commodity Index Funds Trustv317071_8k.htm

 

United States Commodity Index Funds Trust Exhibit 99.1
Monthly Account Statements  
For the Month Ended May 31, 2012  

 

Statements of Income (Loss)  United States
Commodity
Index Fund
   United States
Copper
Index Fund
   United States
Agriculture
Index Fund
   United States
Commodity Index
Funds Trust
 
                 
Income                    
Realized Trading Gain (Loss) on Futures  $(12,925,531)  $70,963   $(121,959)  $(12,976,527)
Realized Trading Gain (Loss) on Foreign Currency Transactions   -    -    (30)   (30)
Unrealized Gain (Loss) on Market Value of Futures   (19,637,628)   (390,113)   (31,258)   (20,058,999)
Unrealized Gain (Loss) on Foreign Currency Translations   287    -    (37)   250 
Interest Income   19,352    135    168    19,655 
ETF Transaction Fees   350    -    350    700 
Total Income (Loss)  $(32,543,170)  $(319,015)  $(152,766)  $(33,014,951)
                     
Expenses                    
Management Fees  $328,384   $1,973   $2,508   $332,865 
Tax Reporting Fees   35,838    -    -    35,838 
Brokerage Commissions   26,092    118    517    26,727 
Audit Fees   8,494    -    -    8,494 
Non-interested Directors' Fees and Expenses   3,814    24    30    3,868 
Legal Fees   2,968    -    -    2,968 
Prepaid Insurance Expense   2,203    15    -    2,218 
Other Expenses   -    7,219    8,525    15,744 
Total Expenses   407,793    9,349    11,580    428,722 
Expense Waiver   -    (6,898)   (8,122)   (15,020)
Net Expenses  $407,793   $2,451   $3,458   $413,702 
Net Income (Loss)  $(32,950,963)  $(321,466)  $(156,224)  $(33,428,653)

 

Statements of Changes in Net Asset Value                
                 
Net Asset Value Beginning of Month 5/1/12  $426,462,624   $2,696,402   $2,459,257   $431,618,283 
Additions   -    -    1,204,405    1,204,405 
Redemptions   (5,809,311)   -    -    (5,809,311)
Net Income (Loss)   (32,950,963)   (321,466)   (156,224)   (33,428,653)
                     
Net Asset Value End of Month  $387,702,350   $2,374,936   $3,507,438   $393,584,724 
Net Asset Value Per Unit  $56.19   $23.75   $23.38      

 

Statements of Changes in Units Outstanding                
                 
Units Outstanding Beginning of Month 5/1/12   7,000,000    100,000    100,040    7,200,040 
Additions   -    -    50,000    50,000 
Redemptions   (100,000)   -    -    (100,000)
Units Outstanding End of Month   6,900,000    100,000    150,040    7,150,040 

 

To the Unitholders of United States Commodity Index Funds Trust:

 

Pursuant to Rule 4.22(h) under the Commodity Exchange Act, the undersigned represents that, to the best of his knowledge and belief, the information contained in the Account Statements for the month ended May 31, 2012 is accurate and complete.

 

/s/ Howard Mah

 

Howard Mah

Chief Financial Officer

United States Commodity Funds LLC, Sponsor of United States Commodity Index Funds Trust

 

United States Commodity Funds LLC

1320 Harbor Bay Parkway

Suite 145

Alameda, CA 94502