ARKB

ARKB

ARK 21SHARES BITCOIN ETF
ISIN
US0409191022
Investment Thesis
Factsheet
$
87.85
Net Asset Value
As of
March 4, 2025

The Fund seeks to track the performance of bitcoin, as measured by the performance of the CME CF Bitcoin Reference Rate – New York Variant (the “Index”), adjusted for the Trust’s expense’s and other liabilities.

Assets Under Management:
$
4,329,446,045.96
YTD Return:
-9.73
%
1D Change:
2.68
%
Staking Yield:
%
* 21Shares LLC ("The Sponsor") will waive its entire management fee for the Fund until 23 January 2025 or until assets reach $500 million, whichever occurs first.

Overview

As of
March 4, 2025

Description

The Fund seeks to track the performance of bitcoin, as measured by the performance of the CME CF Bitcoin Reference Rate – New York Variant (the “Index”), adjusted for the Trust’s expense’s and other liabilities.

Benefits

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Key Information

Name
ARK 21SHARES BITCOIN ETF
Type
Digital Asset ETF
Primary Exchange
Cboe BZX Exchange, Inc.
Inception Date
January 10, 2024
Sponsor
21Shares US LLC
Fund Custodan
Anchorage Digital Bank N.A., BitGo New York Trust Company LLC, Coinbase Custody Trust Company LLC
Marketing Agent
Foreside Global Services LLC
AUM
$
4,329,446,045.96
Securities Outstanding
49285000
NAV per Unit
$
87.85
Fee
0.21
%
Lending Eligible
No
Yes

Ticker Symbols

Ticker
ARKB
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ISIN
US0409191022
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Holdings

As of
March 4, 2025
Download CSV
Download CSV
Name
-
Ticker
-
Shares
-
Price
-
Market Value
-
Weight
-
Holdings are subject to change without notice

Comparative Performance

As of
March 4, 2025
Name
Month (current)
Previous month
Six months
YTD
12 months
24 months
Since inception
Underlying Performance
-
-
-
-
-
-
-
Index Returns
-
-
-
-
-
-
-

Underlying Assets

As of
March 4, 2025
Download CSV
Currency
Allocation
Coin entitlement
Reference Price

Underlying Assets

As of
March 4, 2025
All
Social & Gaming
Smart Contract Platform
Payment Platform
Decentralized Finance
Blockchain Accelerator
AI & Data Solution
Currency
Allocation
Coin entitlement
Reference Price
-
-
-
GCCS levels

Performance

All
7d
1m
3m
ytd
1y
Year

Market data provided by Alpha Vantage and CryptoCompare. Not investment advice, for informational purposes only. Historical performance is not an indication of future performance.

NAV and Market Price
NAV
$
-
NAV Change
-
Median Bid/Ask Spread (30 Day)
0
%
Market Price
-
Market Price Change
-

Cumulative Performance

As of
March 4, 2025
As of
[Insert last quarter date]
Period
1 Month
3 Months
YTD
Since inception
NAV:
-
%
-
%
-
%
-
%
Market Price:
-
%
-
%
-
%
-
%
As of
March 4, 2025
Period
1 month
3 months
ytd
Since Inception
NAV:
-13.45
%
-10.72
%
-9.73
%
91.59
%
Market Price:
-
%
-
%
-
%
-
%

Premium/Discount

NAV
$
-
4PM Mid-Point
$
-
Difference
-
Premium/Discount
-
q1 2024
q2 2024
q3 2024
q4 2024
Historical Data
Greatest Premium
-
Greatest Discount
-
Number of Days At
Premium:
-
NAV:
-
Discount:
-
Days within percentage of NAV
Percent Of Days ± 0.5% Of NAV:
-
Number Of Days ± 0.5% Of NAV:
-

The Premium/Discount chart shows the difference between the daily market price of the Fund’s shares and the Fund’s net asset value (“NAV”). The daily market price is calculated using the mid-point between the highest bid and the lowest offer on the listing exchange, as of the time that the Fund’s NAV is calculated (usually 4:00 pm Eastern time). The vertical axis of the chart shows the premium or discount of the Mid-Point price as a percentage of the NAV. The horizontal axis shows the number of trading days covered by the chart, and each bar in the chart demonstrates how many days the Fund traded within the given premium/discount range. The data presented in the chart and table above represent past performance and cannot be used to predict future results.