Hashdex Bitcoin Futures ETF
Issued by Tidal Investments LLC. Every figure below is dated and sourced, and the wrapper is measured against the asset it holds.
Holds Bitcoin research file →
Fiyat
Fund facts
The issuer’s own page for this product, with its prospectus: www.hashdex-etfs.com ↗
Every covered product with the same underlying asset, largest first. Within one asset the products differ mainly in fee, size and how closely they have followed it.
| Ürün | İhraçcı | Ücret | Varlıklar | 1 yıl | Against BTC |
|---|---|---|---|---|---|
| IBITiShares Bitcoin Trust ETF | iShares | 0.25% | -33.97% | -0.20 pp | |
| FBTCFidelity Wise Origin Bitcoin Fund | Fidelity | 0.25% | -33.97% | -0.20 pp | |
| GBTCGrayscale Bitcoin Trust ETF | Grayscale | 1.50% | -34.79% | -1.02 pp | |
| BTCGrayscale Bitcoin Mini Trust ETF | Grayscale | 0.15% | -33.93% | -0.16 pp | |
| BITBBitwise Bitcoin ETF Trust | Bitwise | 0.20% | -33.98% | -0.22 pp | |
| ARKBARK 21Shares Bitcoin ETF | ARK | 0.21% | -33.92% | -0.15 pp | |
| HODLVanEck Bitcoin ETF | VanEck | 0.20% | -33.82% | -0.05 pp | |
| MSBTMorgan Stanley Bitcoin Trust ETF | Eaton Vance | 0.14% | — | — | |
| EZBCFranklin Bitcoin ETF | Franklin Templeton | 0.19% | -33.98% | -0.21 pp | |
| BRRRCoinShares Bitcoin ETF | CoinShares | 0.25% | -33.98% | -0.22 pp | |
| BTCOInvesco Galaxy Bitcoin ETF | Invesco | 0.25% | -33.99% | -0.22 pp | |
| BTCWWisdomTree Bitcoin Fund | WisdomTree | 0.25% | -34.05% | -0.28 pp | |
| DEFIHashdex Bitcoin Futures ETF | Tidal Investments LLC | 0.25% | — | — | |
| BTCK7RCC Spot Bitcoin and Carbon Credit Futures ETF | Teucrium | 0.84% | — | — |
A blank in the one-year columns means the product has traded for less than a year; it is not a zero.
In the issuer’s words
The Hashdex Bitcoin ETF (the “Fund”) is designed to track the price performance of bitcoin.The investment objective is for changes in the Shares’ NAV to reflect the daily changes of the price of the Nasdaq Bitcoin Reference Price – Settlement (NQBTCS) (the “Index” or “Benchmark”), less expenses from the Fund’s operations. Because the Fund’s investment objective is to track the price of the Benchmark, changes in the price of the shares may vary from changes in the spot price of bitcoin.
The fund’s own description, as published through Financial Modeling Prep. It is the issuer’s account, not ours.
What these figures cannot tell you
We do not publish a premium or discount to net asset value. Our source’s net asset value carries no date of its own, and comparing one day’s price with another day’s value invents a gap that is not there. The issuer publishes both every day.
Returns here are the fund’s, before your broker’s costs, the spread you pay to trade, and any tax. Distributions are counted as reinvested on the day they were paid.
A fund’s asset sits with a custodian named in its prospectus. The figures say nothing about that arrangement; the prospectus does.
A fund that follows its asset closely inherits all of the asset’s risks. The research file for the asset is where those are measured.