
Monthly UpdateJul 29, 2026, 08:42 AM
United States Commodity Index Funds Trust Reports June 2026 Monthly Loss
AI Summary
United States Commodity Index Funds Trust reported a consolidated net loss of $42,153,801 for the month ended June 30, 2026. The overall Net Asset Value (NAV) for the Trust decreased from $1,183,305,009 at the beginning of the month to $1,062,131,007. Both the United States Commodity Index Fund and the United States Copper Index Fund experienced net losses and declines in their respective NAVs during the month.
Key Highlights
- United States Commodity Index Funds Trust reported a net loss of $42,153,801 for June 2026.
- The Trust's Net Asset Value (NAV) decreased from $1,183,305,009 to $1,062,131,007.
- United States Commodity Index Fund recorded a net loss of $19,656,849.
- United States Commodity Index Fund's NAV per share was $92.44 at month-end.
- United States Copper Index Fund reported a net loss of $22,496,952.
- United States Copper Index Fund's NAV per share was $37.75 at month-end.
Price Impact
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