Quarterly report pursuant to Section 13 or 15(d)

FINANCIAL HIGHLIGHTS

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FINANCIAL HIGHLIGHTS
9 Months Ended
Sep. 30, 2012
Quarterly Financial Information Disclosure [Abstract]  
FINANCIAL HIGHLIGHTS

NOTE 10 – FINANCIAL HIGHLIGHTS

 

The following schedule presents financial highlights for a share of the Fund outstanding throughout the periods indicated.

         
    9/30/2012   9/30/2011
         
Net Income(Loss)   $ 920,666     $ (43,433 )
                 
Net Investment Value End of Period   $ 82,407     $ (1,005,327 )
Weighted-average common shares outstanding  basic:     162,058,174       143,975,481  
                 
Beginning of period Net Asset Value     (0.007 )     0.007  
                 
    Income from Net Investment operations Income(Loss)     0.000       0.000  
                 
Net Income(Loss) Investments (realized & unrealized)     0.007       —    
                 
Total from investment operations     0.000       0.000  
                 
  Other Increases(Decreases)     0.000       (0.000 )
                 
End of period Net Asset Value     0.000       0.007