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TSUI NASDAQ Holds the asset itself

21Shares Sui ETF

Issued by 21Shares. Traded since 24 Feb 2026 on NASDAQ. Every figure below is dated and sourced, and the wrapper is measured against the asset it holds.

Sui logoHolds Sui research file →
$20.76Sluiten, 08 Oct 2026
-7.03%On the day
$29.22MBeheerd vermogen
0.30%Expense ratio, a year
end-of-day close Tiingo as of 08 Oct 2026
fund facts, as published Financial Modeling Prep observed 09 Oct 2026 10:26 UTC
What this is. A listed fund that holds the asset with a custodian and issues shares against it. You own shares in the fund, not the asset itself, and the fund charges its expense ratio every year on the whole position. In exchange the shares settle in an ordinary brokerage account.
01

Koers

158 trading days on record
daily close, not adjusted Tiingo from 24 Feb 2026 to 08 Oct 2026
02

Against the asset it holds

Total return of the fund, distributions included, beside the change in the asset over exactly the same dates. The difference is what holding the wrapper cost or gained against holding the asset. Over a full year it should sit close to minus the expense ratio; anything further away has another cause.

WindowVan TSUISUIDifference
1 month 08 Sep 2026 +28.24% +28.23% +0.01 pp
3 months 09 Jul 2026 +44.79% +45.19% -0.40 pp
6 months 09 Apr 2026 +10.76% +11.79% -1.03 pp
Since first trade 24 Feb 2026 +20.35% +20.98% -0.63 pp
total return from the adjusted close; the asset at its daily close Tiingo · prijsgeschiedenis einde dag to 08 Oct 2026
TSUI, total returnSUI, price

Both lines start at 100 where the chosen range begins. A gap that opens between them is the cost, or gain, of holding the asset through the fund.

03

Trading

Average volume, 30 days Average volume, 30 days 46,256 shares $919,770 a day
Volatility, 90 days Volatility, 90 days 83.2% geannualiseerd op basis van dagelijkse bewegingen
Deepest fall since listing Deepest fall since listing -49.9% to 18 Aug 2026
From its highest close From its highest close -20.6% adjusted for distributions
Range over the last year of trading
$13.00 · 18 Aug 2026now $20.76$26.58 · 11 May 2026

Distributions paid in the last year: $0.0529 on 29 Sep 2026 · $0.0165 on 29 Jun 2026 · $0.0482 on 14 May 2026

end-of-day, last 21 and 63 trading days Tiingo to 08 Oct 2026
04

Fund facts

Uitgever21Shares
What it holdsSui
StructureHolds the asset itself (spot)
Listing exchangeNASDAQ
Fund inception24 Feb 2026
First trade on record24 Feb 2026
Expense ratio0.30% a year
Beheerd vermogen$29.22M
Units of SUI held28.18M
Value of that holding$29.22M
Share of circulating SUI0.684%
Share of assets in all SUI products28.9%
ISINUS90137U1007
CUSIP90137U100
holdings as published by the fund Financial Modeling Prep observed 09 Oct 2026 05:52 UTC assets under management observed 09 Oct 2026 10:26 UTC

The issuer’s own page for this product, with its prospectus: www.21shares.com ↗

05

Other products holding SUI

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.

ProductUitgeverVergoeding Assets1 jaarAgainst SUI
GSUIGrayscale Sui Trust Grayscale 0.35% $41.40M — —
SUISCanary Staked SUI ETF Canary 0.75% $30.63M — —
TSUI21Shares Sui ETF 21Shares 0.30% $29.22M — —

A blank in the one-year columns means the product has traded for less than a year; it is not a zero.

06

In the issuer’s words

The Fund seeks to track the performance of SUI as measured by the Pricing Benchmark, CME CF Sui - Dollar Reference Rate - New York Variant, as adjusted for the Trust's expenses and other liabilities, and to reflect rewards from staking a portion of the Trusts SUI. The Trust will hold SUI and will value its Shares daily.

The fund’s own description, as published through Financial Modeling Prep. It is the issuer’s account, not ours.

07

What these figures cannot tell you

Whether the price was fair on the day

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.

What you would have earned

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.

How safe the custody is

A fund’s asset sits with a custodian named in its prospectus. The figures say nothing about that arrangement; the prospectus does.

Anything about the asset itself

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.

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