Research analysts covering United States Natural Gas Fund.
Recent press releases and 8-K filings for UNG.
United States Natural Gas Fund, LP Reports December 2025 Monthly Account Statement
UNG
Earnings
- United States Natural Gas Fund, LP (UNG) reported a net loss of $97,207,902 for the month ended December 31, 2025.
- Total income (loss) for the month was ($96,672,872), while total expenses were $535,030.
- The Net Asset Value (NAV) at month-end was $550,640,328, with a NAV per share of $12.20 based on 45,146,103 shares.
- Significant factors contributing to the loss included a realized trading loss on commodity futures of $66,630,753 and an unrealized loss on fair value of swap contracts of $15,609,807.
Jan 29, 2026, 1:51 PM
United States Natural Gas Fund, LP Reports November 2025 Monthly Account Statement
UNG
Earnings
Demand Weakening
- United States Natural Gas Fund, LP reported a net income of $74,421,480 for the month ended November 30, 2025.
- The fund's Net Asset Value (NAV) at the end of November 2025 was $540,602,400, with a NAV per share of $15.00.
- During November 2025, the fund experienced withdrawals totaling $183,095,084, representing 12,800,000 shares.
Dec 29, 2025, 12:02 PM
United States Natural Gas Fund, LP Reports October 2025 Monthly Account Statement
UNG
Earnings
- The United States Natural Gas Fund, LP (UNG) released its monthly account statement for October 2025 on November 28, 2025.
- For the month ended October 31, 2025, UNG reported a net income of $26,490,027.
- The Net Asset Value (NAV) at month-end was $649,276,004, with a NAV per share of $13.29.
- The fund's income was significantly impacted by a $40,609,324 unrealized gain on the market value of commodity futures, partially offset by a $(18,226,346) realized trading loss on commodity futures.
Dec 1, 2025, 11:10 AM
United States Natural Gas Fund, LP reports August 2025 monthly account statement
UNG
Earnings
- United States Natural Gas Fund, LP reported a net loss of $29,175,261 for the month ended August 31, 2025.
- The fund's Net Asset Value at the end of August 31, 2025, was $599,474,007, with a Net Asset Value Per Share of $12.74 based on 47,046,103 shares.
- During the month of August 2025, the fund had additions of 13,800,000 shares totaling $173,442,161 and withdrawals of (900,000) shares totaling ($11,163,140).
Sep 29, 2025, 12:52 PM
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