United States 12 Month Natural Gas Fund, LP — Cyborg Score 5/10

Mixed
Commodity futures ETFs

Strategic Profile

UNL is organized as a limited partnership trading on NYSE Arca and managed by United States Commodity Funds LLC (USCF). Founded in June 2007, the fund provides retail access to commodity futures through a simplified ETF wrapper, competing against direct futures trading and other commodity ETFs.

Cyborg Score Rationale

UNL offers straightforward commodity exposure with liquid trading (average daily volume ~100K shares), but faces structural headwinds: natural gas contango typically erodes returns over time, recent performance has been volatile (down 9.67% in 2025 and 4.78% in 2024), and the fund's small net asset base ($15.96M as of May 2026) limits scale.

Top Insights

  • YTD performance (as of May 2026) down 11.48%, reflecting broader natural gas weakness in 2026; 2025 decline of 9.67% shows persistent structural headwinds
  • Net assets of $15.96M indicate limited institutional adoption; average daily volume of ~100K shares reflects retail-focused investor base
  • Fund tracks 12-month forward curve to reduce front-month contango impact, but structural roll decay remains a persistent drag on long-term returns
  • (March 2026) Recent audited financials filed; annual reporting shows fund compliance with commodity pool regulatory requirements under CFTC oversight

Named Competitors

  • First Trust Natural Gas ETF — Natural gas commodity ETF tracking energy futures
  • Invesco DB Energy Fund — Diversified energy commodity fund including natural gas, oil, heating oil
  • ProShares UltraShort Bloomberg Natural Gas — Inverse leveraged natural gas ETF for bearish positioning

Recent Developments

  • (March 2026) 2025 financial statements and annual report filed with SEC showing fund performance and operational metrics
  • (February 2026) Fund posted monthly loss as natural gas prices remained under pressure
  • (January 2026) Fund posted strong monthly performance during commodity price uptick

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