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As of 11/21/2025
As of 11/21/2025
As of 11/21/2025
Grayscale XRP Trust ETF is solely and passively invested in XRP. Its investment objective is to reflect the value of XRP held by the Trust, less expenses and other liabilities. XRP is a digital asset that is created and transmitted through the operations of the peer-to-peer Ripple Network, a decentralized network of computers that operates on cryptographic protocols. The Ripple Network allows people to exchange tokens of value, called XRP, which are recorded on a public transaction ledger known as a blockchain.
XRP is an established yet evolving digital asset with a track record dating back to 2012, and a team committed to staying power and growth. Developers have expanded the XRP Ledger’s use cases over time.
GXRP allows investors to gain exposure to XRP directly in investment accounts, accessed alongside traditional assets, while avoiding the challenges of buying, storing, and safekeeping the token directly.
GXRP is built and managed by Grayscale, the world’s largest digital asset-focused investment platform with over a decade of experience operating crypto investment vehicles and innovating within the asset class.
NAME
Grayscale XRP Trust ETF
DISTRIBUTION FREQUENCY
None
TICKER
GXRP
TRUST INCEPTION DATE
09/05/2024
PRIMARY LISTING MARKET
NYSE ARCA
PUBLIC QUOTATION DATE
11/24/2025
CUSIP
38965L 106
ETP LISTING DATE
11/24/2025
ISIN
US38965L1061
As of 11/21/2025
ASSETS UNDER MANAGEMENT (NON-GAAP)
$11,673,329
BASE CURRENCY
USD
SHARES OUTSTANDING
310,100
SPONSOR
Grayscale Investments Sponsors, LLC
TOTAL EXPENSE RATIO*
0.00%
INDEX PROVIDER
CoinDesk Indices, Inc.
TOTAL XRP IN TRUST
6,017,179.9823
FUND ADMINISTRATOR
BNY
XRP PER SHARE
19.40399865
DIGITAL ASSET CUSTODIAN
Coinbase Custody Trust Company, LLC
MARKETING AGENT
Foreside Fund Services, LLC
*Gross expense ratio at 0% for 3 months or the first $1.0 billion of assets. After the fund reaches $1.0 billion in assets or after 3-month waiver period ending February 24, 2026, the fee will be 0.35%. Brokerage fees and other expenses may still apply.
As of 11/21/2025
NET ASSET VALUE (NAV) PER SHARE
$37.64
CXRPR INDEX PRICE
$1.94
NAV PER SHARE 1D CHANGE ($)
--
DAILY VOLUME (SHARES)*
--
NAV PER SHARE 1D CHANGE (%)
--
MARKET PRICE 1D CHANGE ($)
--
MARKET PRICE
--
MARKET PRICE 1D CHANGE (%)
--
PREMIUM / DISCOUNT (%)
--
GAAP AUM
$11,673,329
30D MEDIAN BID/ASK SPREAD (%)
--
GAAP NAV PER SHARE
$37.64
