{"url_path":"/sec/cik-0000861441/10-q/2026/item-2","section_key":"item-2","section_title":"Item 2 Unregistered Sales of Equity Securities and Use of Proceeds**","topic":"sec","document":{"doc_type":"10-Q","doc_date":"2026-05-14","source_url":"https://www.sec.gov/Archives/edgar/data/861441/0001999371-26-010738-index.html","accession_number":"0001999371-26-010738","cik":"0000861441","ticker":null,"issuer_name":"LOCORR FUTURES PORTFOLIO FUND L.P.","edgar_url":"https://www.sec.gov/Archives/edgar/data/861441/0001999371-26-010738-index.html","primary_entity_key":"0000861441","primary_entity_name":"LOCORR FUTURES PORTFOLIO FUND L.P."},"word_count":183,"has_tables":true,"body_markdown":"**Item\n2. Unregistered Sales of Equity Securities and Use of Proceeds**\n\n \n\nThere\nwere no sales of unregistered securities of the Fund during the three months ended March 31, 2026. Under the Fund’s Partnership\nAgreement, limited partners may redeem their Units at the end of each calendar month at the then current month-end net asset value\nper Unit. Redemptions of Units during the three months ended March 31, 2026 were as follows:\n\n \n\n  \nJanuary  \nFebruary  \nMarch  \nTotal \n\nA Units \n    \n    \n    \n   \n\nUnits redeemed \n (180.5521) \n (50.1425) \n (452.6540) \n (683.3486)\n\nAverage net asset value per unit \n$3,803.96  \n$3,995.05  \n$3,943.59  \n$3,910.48 \n\n  \n    \n    \n    \n   \n\nA2 Units \n    \n    \n    \n   \n\nUnits redeemed \n —  \n —  \n —  \n — \n\nAverage net asset value per unit \n$—  \n$—  \n$—  \n$— \n\n  \n    \n    \n    \n   \n\nA3 Units \n    \n    \n    \n   \n\nUnits redeemed \n —  \n —  \n —  \n — \n\nAverage net asset value per unit \n$—  \n$—  \n$—  \n$— \n\n  \n    \n    \n    \n   \n\nB Units \n    \n    \n    \n   \n\nUnits redeemed \n (62.9813) \n (13.5884) \n (33.9193) \n (110.4890)\n\nAverage net asset value per unit \n$6,641.43  \n$6,985.46  \n$6,904.74  \n$6,764.88 \n\n  \n    \n    \n    \n   \n\nI Units \n    \n    \n    \n   \n\nUnits redeemed \n —  \n —  \n —  \n — \n\nAverage net asset value per unit \n$—  \n$—  \n$—  \n$— \n\n  \n    \n    \n    \n   \n\nR Units \n    \n    \n    \n   \n\nUnits redeemed \n —  \n —  \n —  \n — \n\nAverage net asset value per unit \n$—  \n$—  \n$—  \n$—"}