Grayscale Smart Contract Fund

NAV per Share as of 05/20/2025

$12.02

Investment Objective

Grayscale Smart Contract Fund is one of the first investment vehicles solely invested in and deriving value from the price of native tokens of emerging smart contract platforms. Smart contracts are programs that run on a blockchain that can execute automatically when certain conditions are met. The Fund provides access in the form of a security without the challenges of buying, storing, and safekeeping digital currencies directly. Shares are intended to reflect the value of the Fund Components as determined by reference to their respective Digital Asset Reference Rates and Fund Weightings, less fees and expenses. The Fund Components consist of the digital assets that make up the CoinDesk Smart Contract Platform Select Capped Index (SCPXC) as rebalanced from time to time, subject to the Grayscale Investments (the "Manager") discretion to exclude individual digital assets in certain cases. The SCPXC is designed and managed by CoinDesk Indices, Inc. (in this capacity, the "Index Provider").

Overview

NAME

Grayscale Smart Contract Fund

TOTAL EXPENSE RATIO

2.50%

CUSIP

G40697107

DISTRIBUTION FREQUENCY

None

ISIN

KYG406971070

INCEPTION DATE

03/16/2022

The CoinDesk Smart Contract Platform Select Capped Index (SCPXC) is designed to measure the market capitalization weighted performance of some of the largest and most liquid digital assets classified in the Smart Contract Platform Sector that meet certain trading and custody requirements. As of 2/27/2025 the Fund tracks SCPXC, prior to this date the Fund tracked the CoinDesk Smart Contract Platform Select Ex ETH index.


Performance

ASSETS UNDER MANAGEMENT (NON-GAAP)

$3,729,865.13

NET ASSET VALUE (NAV) PER SHARE

$12.02

SHARES OUTSTANDING

310,300

NAV PER SHARE 1D CHANGE (%)

0.00%

Past performance is not necessarily indicative of future results.


NAV per Share is calculated daily at 4 pm ET, based on the applicable CoinDesk Index or Reference Rate. If you would like to see how NAV is calculated, please refer to the applicable Product’s disclosure language in its private placement memorandum.

As of 05/20/2025

1 month

3 months

6 months

YTD

1 year

3 years

5 years

10 years

Annualized Since Inception

Cumulative Since Inception

NAV Per Share, %

8.60

-40.41

-10.86

-33.68

-3.35

-12.02

--

--

-11.89

-32.67

Holdings

Number of holdings: 6

As of 05/20/2025

Name

Assets/Share

Weight

ETH

Ethereum

0.00153414

31.63%

SOL

Solana

0.02231301

31.05%

ADA

Cardano

3.17220553

19.40%

SUI

Sui

0.27953960

9.00%

AVAX

Avalanche

0.03656334

6.71%

DOT

Polkadot

0.05771064

2.21%

Resources

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Grayscale's Product Lifecycle

Grayscale Products first launch as private placements, allowing accredited investors to gain crypto exposure through a familiar investment vehicle structure.


Shares purchased in the private placements are initially restricted for one year.

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