TXXS

21shares 2x Long Sui ETF
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ISIN
US53656G1673
Factsheet
$
25.00
NAV
$
250,025.00
AUM
1.89
%
Management fee
-
Daily volume
1.89
%
Management fee
Value as of Dec 03, 2025

What is TXXS

21shares 2x Long Sui ETF (TXXS) is designed to give investors simple, regulated access to leveraged exposure to Sui, one of the fastest-growing Layer-1 blockchain networks.

Investment objective

The 21shares 2x Long Sui ETF (the “Fund”) seeks daily investment results, before fees and expenses, that correspond to two times (2x) the daily price performance of Sui (SUI). The Fund does not seek to achieve its stated investment objective for any period other than a single day, measured from one net asset value (NAV) calculation to the next.

Fund strategy

The Fund provides 2x daily leveraged exposure to the price performance of Sui (SUI) through a combination of derivative instruments—primarily swap agreements, futures, and options—rather than by holding SUI directly. Under normal circumstances, the Fund will invest at least 80% of its assets in instruments that provide exposure consistent with its investment objective.

Why TXXS

The blockchain anyone can use

What makes Sui stand out is its focus on simplicity: users can sign in with familiar tools like Google or Face ID. Sponsored transactions let apps cover network fees, so newcomers can use the blockchain without buying SUI. The experience is seamless, and interacting on-chain feels as effortless as opening any regular phone app.

Amplify exposure in bull markets

Sui has gained popularity and value over the years.  A 2x ETF is designed to provide twice the daily performance of its underlying asset, which can significantly enhance gains during market upswings. Because the same leverage can also increase losses during downturns, these products are generally intended for short-term use and active monitoring.

Access leverage positions in a transparent way

Financial leverage can be costly, limiting, and time-consuming, with elements like margin calls and account minimums limiting investors’ ability to execute short-term trades. By using a 2x ETF, investors can more easily enter and exit leveraged positions without having to deal with those traditional financial leverage hurdles.

Underlying Assets

As of
Dec 3, 2025
Currency
Allocation
Coin entitlement
Reference Price
-
-
-
$
-
GCCS levels
Name
Ticker
CUSIP
Shares
Price
Market/Notional value
Weight
NAME
AAAA
#XXXX#X##
00,000.00
000.00
000.00
000.00
%

Underlying Assets

As of
December 3, 2025
Currency
Allocation
Coin entitlement
Reference Price
-
-
-
$
-
GCCS levels

Performance

As of
Dec 3, 2025
All
7d
1m
3m
ytd
1y
Year
NAV and Market Price
Inception date
-
NAV
$
-
25.00
NAV Change
-
Median Bid/Ask Spread (30 Day)
%
Market Price
-
Market Price Change
-
%
1 month
%
3 months
%
YTD
%
Since inception

The performance data quoted represents past performance. Past performance is not a guarantee of future results. Investment return and value of the Fund shares will fluctuate so that an investor’s shares, when sold, may be worth more or less than their original cost. Current performance may be lower or higher than performance data quoted. Shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Total Returns (Net Asset Value) are calculated using the daily 4:00pm net asset value (NAV). Returns over one year are annualized. To obtain performance as current as of the most recent month-end, please visit 21shares.com/en-us/products-us/txxd. Performance is inclusive of dividends.

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.

The performance data quoted represents past performance. Past performance is not a guarantee of future results. Investment return and value of the Fund shares will fluctuate so that an investor’s shares, when sold, may be worth more or less than their original cost. Current performance may be lower or higher than performance data quoted. Shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Total Returns (Net Asset Value) are calculated using the daily 4:00pm net asset value (NAV). Returns over one year are annualized. To obtain performance as current as of the most recent month-end, please visit 21shares.com/en-us/products-us/txxs. Performance is inclusive of dividends.

Premium/Discount

As of
December 3, 2025
$
-
25.00
NAV
$
-
4PM Mid-Point
-
Difference
-
Premium/Discount
Year
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 amount that the Fund’s market price is about the reported NAV is called the premium. The amount that the Fund’s market price is below the NAV is called the discount. 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.

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.

The amount that the Fund’s market price is about the reported NAV is called the premium. The amount that the Fund’s market price is below the NAV is called the discount. 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.

The amount that the Fund’s market price is above the reported NAV is called the premium. The amount that the Fund’s market price is below the NAV is called the discount. 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.

Holdings

As of
December 3, 2025
Name
Ticker
CUSIP
Shares
Price
Market/Notional value
Weight
NAME
AAAA
#XXXX#X##
00,000.00
000.00
000.00
000.00
%
Holdings and weightings are subject to change at any time and are not recommendations to buy or sell a security.

Key Information

Name
21shares 2x Long Sui ETF
Type
Digital Asset ETF
primary Exchange
Nasdaq
Inception Date
December 4, 2025
ADVISOR
Teucrium Investment Advisors, LLC
Sub-advisor
21shares US LLC
Sponsor
Sub advisor
Ark Investment Management LLC
Issuer
21shares US
Fund Custodian
U.S. Bank National Association
Marketing agent
Foreside Global Services LLC
AUM
$
250,025.00
Securities Outstanding
10001
shares Outstanding
10001
NAV per Unit
$
25.00
NET ASSETS
$
250,025.00
NET ASSETS
$
250,025.00
Structure
40-Act
HOLDING PERIOD DESIGN
Short-term
NET ASSETS
$
250,025.00
Sales services
-
Resolute Investment Distributors, Inc.
Resolute Investment Distributors, Inc.
Fee
1.89
%
UTILIZATION RATE
0
%

Ticker Symbols

Ticker
TXXS
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WKN
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Valor
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ISIN
US53656G1673
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CUSIP
53656G167
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iNAV
0
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CUSIP
409191022
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CUSIP
409191022
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CUSIP
04071F102
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Fees

Expense Ratio
Management fee
1.89%
Fee waiver*
0.21%
Total Annual fund operating expenses
1.89%
1.89%
1.89%
0
*21Shares US LLC (“The Sponsor”) will waive its entire management fee for the Fund beginning October 9, 2025 until October 8, 2026. Additional fees or charges may apply.

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