· Testnet v0.93
General Market
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ITP102

ITP #102

NAV / Share
as of Apr 5, 2026
$0.9785
1 Day NAV Change
as of Apr 5, 2026
Total Value Locked
as of Apr 5, 2026
Holdings
as of Apr 5, 2026
12

Portfolio Composition

BTC8.3%
ETH8.3%
SOL8.3%
BNB8.3%
XRP8.3%
ADA8.3%
DOGE8.3%
DOT8.3%
ACE8.3%
ACH8.3%
Other16.7%

Concentration Metrics

TOP 5 WEIGHT
41.7%
TOP 10 WEIGHT
83.3%
HHI CONCENTRATION
833
Low

Performance

Loading NAV data...


Holdings

as of Apr 5, 2026

#NameWeightPrice24h
1
BTC
BTC
8.33%$0.0000
2
ETH
ETH
8.33%$0.0000
3
SOL
SOL
8.33%$0.0000
4
BNB
BNB
8.33%$0.0000
5
XRP
XRP
8.33%$0.0000
6
ADA
ADA
8.33%$0.0000
7
DOGE
DOGE
8.33%$0.0000
8
DOT
DOT
8.33%$0.0000
9
ACE
ACE
8.33%$0.0000
10
ACH
ACH
8.33%$0.0000
11
ACM
ACM
8.33%$0.0000
12
AB
AB
8.33%$0.0000

Fund Details

NAV / Share
as of Apr 5, 2026
$0.9785
Chain
Index L3 (Orbit)
Settlement Address
0x963250...1F93b2
Rebalance Method
Equal Weight
Fund Inception
Asset Class
Crypto Index
ITP ID
0x000000...000066
Number of Holdings
12

Portfolio Characteristics

Top 5 Concentration41.7%
Top 10 Concentration83.3%
HHI Index833 (Low)
Average Market Cap$0

Fees

as of current prospectus

Management Fee0.00%
+Acquired Fund Fees and Expenses0.00%
+Other Expenses0.00%
=Expense Ratio0.00%

The fee amounts shown above are as of the current prospectus. Network gas costs apply to all on-chain transactions and are not included in the expense ratio.

NAV is calculated from live price feeds. Data updates every 60 seconds. Past performance is not indicative of future results.