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Overview
Performance
Identifiers
As of May 01, 2026
ARKB
ARK 21shares Bitcoin ETF
NAV
Market price
0.21%
12.62%
12.72%
$26.02
$25.35
-8.85%
-8.81%
$2,991,386,577.13
-12.56%
-12.71%
-20.26%
-19.00%
-%
%
409191022
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US0409191022
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65.87%
65.87%
33-Act
ARKB
Jan 10, 2024
Jan 10, 2024
Single-asset
Core exposure
Core exposure
TDOG
21shares Dogecoin ETF
NAV
Market price
0.50%
15.14%
15.29%
$21.97
$21.40
-9.03%
-8.41%
$3,954,199.55
-14.69%
-14.52%
-%
%
-%
%
90137N106
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US90137N1063
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-14.69%
-14.52%
40-Act
TDOG
Jan 22, 2026
Jan 22, 2026
Single-asset
Thematic and emerging
Thematic and emerging
TDOT
21shares Polkadot ETF
NAV
Market price
0.30%
-4.00%
-4.43%
$14.68
$14.62
%
%
$10,571,840.47
-18.02%
-18.42%
-%
%
-%
%
90139B100
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US90139B1008
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-18.02%
-18.42%
33-Act
TDOT
Mar 6, 2026
Mar 6, 2026
Single-asset
Thematic and emerging
Thematic and emerging
TETH
21shares Ethereum ETF
NAV
Market price
0.21%
7.93%
7.93%
$11.51
$11.30
-16.05%
-15.48%
$20,144,220.36
-23.65%
-23.80%
31.61%
26.61%
-%
%
04071F102
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US04071F1021
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-35.13%
-35.13%
33-Act
TETH
Jul 22, 2024
Jul 22, 2024
Single-asset
Core exposure
Core exposure
TOXR
21shares XRP ETF
NAV
Market price
0.30%
2.22%
2.44%
$13.59
$13.38
-21.63%
-20.92%
$150,555,300.96
-24.63%
-25.11%
-%
%
-%
%
90137T103
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US90137T1034
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-32.17%
-32.34%
33-Act
TOXR
Dec 11, 2025
Dec 11, 2025
Single-asset
Thematic and emerging
Thematic and emerging
TSOL
21shares Solana ETF
NAV
Market price
0.21%
0.75%
0.74%
$8.13
$8.05
-31.90%
-31.56%
$2,927,193.42
-35.39%
-35.53%
-%
%
-%
%
90137M108
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US90137M1080
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-39.11%
-39.58%
33-Act
TSOL
Nov 18, 2025
Nov 18, 2025
Single-asset
Core exposure
Core exposure
TSUI
21shares Sui ETF
NAV
Market price
0.30%
3.88%
3.14%
$18.53
$18.17
%
%
$14,636,724.00
4.72%
4.78%
-%
%
-%
%
90137U100
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US90137U1007
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4.72%
4.78%
33-Act
TSUI
Feb 24, 2026
Feb 24, 2026
Single-asset
Thematic and emerging
Thematic and emerging
TTOP
21shares FTSE Crypto 10 Index ETF
NAV
Market price
0.50%
2.17%
2.35%
$18.23
$18.28
16.58%
17.18%
$729,220.00
-15.00%
-14.03%
-%
%
-%
%
53656H785
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US53656H7851
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-27.08%
-26.87%
40-Act
TTOP
Nov 13, 2025
Nov 13, 2025
Diversified index
Core exposure
Core exposure
TXBC
21shares FTSE Crypto 10 ex-BTC Index ETF
NAV
Market price
0.65%
0.92%
1.67%
$15.85
$15.93
10.03%
10.86%
$950,994.00
-24.75%
-23.39%
-%
%
-%
%
53656H777
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US53656H7778
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-36.60%
-36.28%
40-Act
TXBC
Nov 13, 2025
Nov 13, 2025
Diversified index
Thematic and emerging
Thematic and emerging
TXXD
21shares 2x Long Dogecoin ETF
NAV
Market price
1.89%
4.94%
5.53%
$8.13
$8.17
21.97%
22.67%
$4,961,984.00
-36.87%
-36.73%
-%
%
-%
%
53656G175
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US53656G1756
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-67.46%
-67.32%
40-Act
TXXD
Nov 20, 2025
Nov 20, 2025
Leveraged
Tactical and trading
Tactical and trading
TXXH
21shares 2x Long HYPE ETF
NAV
Market price
1.89%
7.83%
7.97%
$25.89
$26.17
%
%
$1,294,555.00
3.56%
4.67%
%
%
%
%
53656H736
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US53656H7364
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3.56%
4.67%
40-Act
TXXH
Apr 30, 2026
Apr 30, 2026
Leveraged
Tactical and trading
Tactical and trading
TXXS
21shares 2x Long Sui ETF
NAV
Market price
1.89%
3.93%
3.73%
$4.50
$4.51
-5.84%
-5.45%
$2,204,706.00
-71.76%
-71.76%
-%
%
-%
%
53656G167
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US53656G1673
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-82.00%
-81.95%
40-Act
TXXS
Dec 4, 2025
Dec 4, 2025
Leveraged
Tactical and trading
Tactical and trading
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Regulatory framework and 40-Act protections

The products listed include both 33-Act Exchange-Traded Products (ETPs) and 40-Act Exchange-Traded Funds. 21shares ETPs are not registered under the Investment Company Act of 1940, as amended ("40-Act"), and therefore are not subject to the same regulations and protections as 40-Act registered ETFs and mutual funds. Crypto-related ETPs are subject to significant risk and heightened volatility. ETPs investing in spot crypto assets are not suitable for an investor who cannot afford to the loss of the entire investment. An investment in ETP is no a direct investment in any crypto currency.

Investing involves risk, including the possible loss of principal. Shares of any ETF are bought and sold at market price (not NAV) and may trade at a discount or premium to NAV. Shares are not individually redeemable from the Fund and may only be acquired or redeemed from the fund in creation units. Brokerage commissions will reduce returns.

Total Returns (Net Asset Value) are calculated using the daily 4:00pm net asset value (NAV). Returns over one year are annualized. Returns for periods over 1 year are annualized.

The performance data quoted represents past performance and is no guarantee of future results. Investment return and principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than the performance data quoted. For the most recent month-end performance, please call 646-370-6016 or visit the Fund’s website at www.21shares.com.

Investing involves risk, including the possible loss of principal. Shares of any ETF are bought and sold at market price (not NAV) and may trade at a discount or premium to NAV. Shares are not individually redeemable from the Fund and may only be acquired or redeemed from the fund in creation units. Brokerage commissions will reduce returns.

Total Returns (Net Asset Value) are calculated using the daily 4:00pm net asset value (NAV). Returns over one year are annualized. Returns for periods over 1 year are annualized.

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*It is important to note that market orders will execute at the current market price, while limit orders allow investors to set a specific price at which to buy or sell the ETP.