Top Futures Holdings as of *

Date Account StockTicker SecurityName Shares Price Market Price Weightings

Download Full Fund Holdings and Fund Information

The full fund holdings and fund information file includes futures market exposure and weightings as well as collateral held in cash/cash equivalents which may include short-term commercial paper.

Contract prices are displayed according to each market/exchange specification. The market price column reflects the notional value of each position priced in dollars

* subject to change.

Historical Premium/Discount

 
Days at premium
Days at NAV
Days at discount

Performance as of TBD

  Three Month Year to Date 3 Year Annualized 5 Year Annualized Inception Annualized 09/19/2011
CANE NAV
CANE Price - - - - -
Benchmark* 7.71% 5.11% 10.71% 15.31% -2.93%

THE PERFORMANCE QUOTED REPRESENTS PAST PERFORMANCE, DOES NOT GUARANTEE FUTURE RESULTS AND CURRENT PERFORMANCE MAY BE LOWER OR HIGHER THAN THE DATA QUOTED. SINCE INCEPTION ANNUALIZED VALUES INCLUDE SEED DATE OF 9.16.2011.

*Teucrium Sugar (TCANE) Index: A weighted average of daily changes in the closing settlement prices of (1) the second-to-expire No.11 Sugar Futures Contract traded on the ICE, weighted 35%, (2) the third-to-expire ICE No.11 Sugar Futures Contract, weighted 30%, and (3) the ICE No.11 Sugar Futures Contract expiring in the March following the expiration month of third-to-expire contract, weighted 35%. To convert to an index, 100 is set to $25, the opening day price of CANE.

CANE Documents

Factsheet Download

Prospectus Download

WASDE Download

CANE Roll Dates

Start Date End Date Old Contract New Contract
2/27/2025 2/27/2025 May '2025 October '2025
4/28/2025 4/29/2025 July '2025 March '2027
6/27/2025 6/27/2025 October '2025 May '2026
9/29/2025 9/29/2025 March '2026 July '2026

Roll Date: The date on which an investor replaces an existing futures position by closing it and simultaneously opening a new position with a later expiration date.

Fund Facts

Ticker CANE
CUSIP 88166A409
Inception 09/19/2011
Exchange NYSE Arca
IIV CANE-IV
Benchmark Index TCANE
Expense Ratio* 0.23%
Options Available Yes
Administrator U.S. Bank Global Fund Services
Distributor PINE Distributors LLC

* Defined as the amount of income (loss) required for the redemption value at the end of one year to equal the selling price of the Share, as presented in the Form S-1 dated April 30, 2024.

Daily Facts as of TBD*

*subject to change

NAV TBD
Closing Price TBD
Prem / Discount TBD
Shares Outstanding TBD
Total Net Assets TBD

^ The Fund has registered an indeterminate number of shares of the Fund pursuant to Rule 456(d) under the Securities Act of 1933.