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United States 12 Month Natural Gas Fund (UNL)

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Research analysts covering United States 12 Month Natural Gas Fund.

Recent press releases and 8-K filings for UNL.

UNL reports December 2025 monthly account statement
UNL
Earnings
  • United States 12 Month Natural Gas Fund, LP (UNL) reported a net loss of $2,386,901 for the month ended December 31, 2025.
  • The fund's Net Asset Value (NAV) at the end of December 2025 was $18,710,529, decreasing from $19,435,443 at the beginning of the month.
  • The Net Asset Value Per Share was $7.34 as of December 31, 2025.
  • Total income (loss) for the month was $(2,371,091), primarily due to unrealized losses on market value of commodity futures of $(2,180,562).
Jan 29, 2026, 1:55 PM
United States 12 Month Natural Gas Fund, LP Reports October 2025 Monthly Account Statement
UNL
Earnings
  • The United States 12 Month Natural Gas Fund, LP filed its monthly account statement for the month ended October 31, 2025, on November 28, 2025.
  • For the month ended October 31, 2025, the fund reported Net Income of $538,045.
  • The fund's Net Asset Value increased from $10,445,121 at the beginning of October to $15,257,922 by month-end, resulting in a Net Asset Value Per Share of $8.03.
Dec 1, 2025, 11:11 AM
United States 12 Month Natural Gas Fund, LP Reports September 2025 Monthly Account Statement
UNL
Earnings
  • United States 12 Month Natural Gas Fund, LP (UNL) reported a net loss of $55,669 for the month ended September 30, 2025.
  • The company's Net Asset Value (NAV) decreased from $10,500,790 at the beginning of September 2025 to $10,445,121 by the end of the month.
  • The Net Asset Value Per Share was $7.74 as of September 30, 2025.
Oct 28, 2025, 1:07 PM
United States 12 Month Natural Gas Fund, LP Reports August 2025 Monthly Account Statement
UNL
Earnings
  • United States 12 Month Natural Gas Fund, LP (UNL) filed its monthly account statement for the month ended August 31, 2025, on September 29, 2025.
  • For August 2025, the fund reported a Net Income (Loss) of $(411,195).
  • The Net Asset Value (NAV) at the end of August 2025 was $10,500,790, decreasing from $10,911,985 at the beginning of the month, with a Net Asset Value Per Share of $7.78.
Sep 29, 2025, 12:56 PM