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Amun Capital Finance® Zcash Trust

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The private placement is currently unavailable
Publicly quoted shares of can be bought and sold through your brokerage account.
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$ 0 m
Assets Under Management
0 %
Trailing 12 months
0 %
Since Inception

Overview

One of the first securities solely invested in and deriving value from the price of ZEC.
Amun Capital Finance® Zcash Trust is solely and passively invested in ZEC, enabling investors to gain exposure to ZEC in the form of a security while avoiding the challenges of buying, storing, and safekeeping ZEC, directly.

One of the first securities solely invested in and deriving value from the price of ZEC.
Amun Capital Finance® Zcash Trust is solely and passively invested in ZEC, enabling investors to gain exposure to ZEC in the form of a security while avoiding the challenges of buying, storing, and safekeeping ZEC, directly.

Benchmark Index Benchmark Composition

CoinDesk ZCash Price Index (ZCX)

CUSIP

38964G108

ISIN

US38964G1085

Bloomberg

ZCSH US

OTC

ZCSH

Inception Date

10/24/2017

Annual Fee

2.5%

AUM

$12,188,652**‡

Shares Outstanding

3,777,700‡

ZEC per share

0.08708433‡

Features

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Publicly quoted

Eligible shares of Amun Capital Finance Zcash Trust are quoted on OTC Markets under the symbol: ZCSH, making it possible to buy or sell shares continuously through the trading day at prices established by the market.

Titled, auditable ownership through a traditional investment vehicle

Amun Capital Finance Zcash Trust is a traditional investment vehicle with shares titled in the investor's name, providing a familiar structure for financial and tax advisors, and easy transferability to beneficiaries under estate laws.

Eligible for tax-advantaged accounts

Shares of Amun Capital Finance Zcash Trust are eligible to be held in certain IRA, Roth IRA, and other brokerage and investor accounts.

Supported by a network of trusted service providers

Davis Polk & Wardwell LLP serves as legal counsel to the Sponsor of Amun Capital Finance Zcash Trust. Financial statements for Amun Capital Finance Zcash Trust are audited annually by Marcum LLP.

Robust security and storage

Amun Capital Finance Zcash Trust’s assets are stored in offline or “cold” storage with Coinbase Custody Trust Company, LLC, as Custodian. The Custodian is a fiduciary under § 100 of the New York Banking Law and a qualified custodian for purposes of Rule 206(4)-2(d)(6) under the Investment Advisers Act of 1940, as amended.

Performance

Eligible shares are quoted on the OTCQX® Best Market, the top marketplace operated by the OTC Markets Group, and registered pursuant to Section 12(g) of the Securities Exchange Act of 1934, as amended. Investors can buy and sell shares through most traditional brokerage accounts at prices dictated by the market.

Eligible shares are quoted on the OTCQX® Best Market, the top marketplace operated by the OTC Markets Group, and registered pursuant to Section 12(g) of the Securities Exchange Act of 1934, as amended. Investors can buy and sell shares through most traditional brokerage accounts at prices dictated by the market.

Market Price / Share *

At close as of 05/05/2023

$1.91

Day Change

-0.0402

Holdings / Share **

At close as of 05/05/2023

$3.23
$ 0

Day Change

0.0222

Market Price *

Returns (At close as of 05/05/2023)

1 Day

1 Month

3 Months

YTD

12 Months

Since Inception

-0.0402
-0.1838
-0.2236
0.0852
-0.8109
non field name for marketpriceitd

Holdings / Share **

Returns (At close as of 05/05/2023)

1 Day

1 Month

3 Months

YTD

12 Months

Since Inception

0.0222
-0.0212
-0.2083
-0.0242
-0.7066
-0.8507

Past performance is not necessarily indicative of future results.

 

For NAV Per Share and AUM calculated in accordance with US GAAP Methodology, see here.

 

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

 

*Products displayed with a Market Price per Share also maintain a public quotation on the OTC Marketplace. To date, these Products have not met their investment objective and the Shares of such Products quoted on OTCQX have not reflected the value of digital assets held by such Product, less such Product’s expenses and other liabilities, but instead have traded at both premiums and discounts to such value, with variations that have at times been substantial.

 

*Represents the Products’ Market Price per Share as quoted on the OTC Marketplace. For additional information, visit the OTC Markets website at www.otcmarkets.com.

 

‡ As of 5/5/2023

Past performance is not necessarily indicative of future results.

 

For NAV Per Share and AUM calculated in accordance with US GAAP Methodology, see here.

 

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

 

*Products displayed with a Market Price per Share also maintain a public quotation on the OTC Marketplace. To date, these Products have not met their investment objective and the Shares of such Products quoted on OTCQX have not reflected the value of digital assets held by such Product, less such Product’s expenses and other liabilities, but instead have traded at both premiums and discounts to such value, with variations that have at times been substantial.

 

*Represents the Products’ Market Price per Share as quoted on the OTC Marketplace. For additional information, visit the OTC Markets website at www.otcmarkets.com.

 

‡ As of 5/5/2023

Investment Terms

Investment Objective

Shares (based on ZEC per Share as indicated below) track the ZEC market price, less fees and expenses.* Please consult with your financial professional.

Benchmark Index Benchmark Composition

CoinDesk ZCash Price Index (ZCX)

Investor Qualifications

Accredited Investor (Only Applies to Private Placements)

Minimum Investment Requirement

$25,000

Sponsor's Fee Manager's Fee

2.5% Annually

Extraordinary Expenses

The Product may from time to time incur certain extraordinary expenses, which are payable by the Product.

Performance Fee

0

Assets Under Management

$12,188,652**‡

Subscriptions

Daily

ZEC Holdings per Share ($)

Calculated and published on business days at 4:00pm ET time.

Secondary Market Trading

Following a six month holding period, shares are eligible to become unrestricted and resold in the secondary market.

Redemptions

Redemptions of shares are not currently authorized.

IRA Eligibility & Other Self-Directed Accounts

Subscriptions can be made with IRA assets through Pacific Premier Trust, the Entrust Group, and others.

Per-share ZEC Holdings

0.09088088

CUSIP

38964G108

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