Warning: Undefined array key "url_key" in /home/volatility/public_html/etf-product-list.php on line 2 Deprecated: strip_tags(): Passing null to parameter #1 ($string) of type string is deprecated in /home/volatility/public_html/etf-product-list.php on line 2 Volatility Shares LLC

Our ETFs

Data as of
Ticker Fund Name Category NAV Net Assets Fund Inception Prospectus
BITT 3x Bitcoin ETF Crypto-Linked $ - 11/30/2025
BITX 2x Bitcoin Strategy ETF Crypto-Linked $27.75 $1,429,933,300.89 06/27/2023
COIB 3x COIN ETF Single Stock $ - 11/30/2025
ETHK 3x Ether ETF Crypto-Linked $ - 11/30/2025
ETHU 2x Ether ETF Crypto-Linked $54.81 $1,632,009,449.70 06/04/2024
GDXB 5x Gold Miners ETF Index $ - 11/30/2025
GLDU 5x Gold ETF VIX/Commodities $ - 11/30/2025
IWMB 5x Small Cap ETF Index $ - 11/30/2025
METB 3x META ETF Single Stock $ - 11/30/2025
NV 5x NVDA ETF Single Stock $ - 11/30/2025
NVID 3x NVDA ETF Single Stock $ - 11/30/2025
OOQB One+One™ Nasdaq-100® and Bitcoin ETF Crypto-Linked $12.26 $1,348,445.42 02/19/2025
OOSB One+One™ S&P 500 and Bitcoin ETF Crypto-Linked $12.82 $512,992.34 02/19/2025
PLTL 3x PLTR ETF Single Stock $ - 11/30/2025
QQQL 5x QQQ ETF Index $ 11/30/2025
SLVV 5x Silver ETF VIX/Commodities $ - 11/30/2025
SOLT 2x Solana ETF Crypto-Linked $6.39 $276,829,352.02 03/20/2025
SOLZ Solana ETF Crypto-Linked $12.72 $117,897,253.27 03/20/2025
SOXB 5x Semiconductor ETF Index $ - 11/30/2025
SPYB 5x SPY ETF Index $ - 11/30/2025
SVIX -1x Short VIX Futures ETF VIX/Commodities $24.26 $215,206,077.86 03/28/2022
TLTL 5x 20+ Year Treasury Bond ETF Index $ - 11/30/2025
TSA 3x TSLA ETF Single Stock $ - 11/30/2025
TSAL 5x TSLA ETF Single Stock $ - 11/30/2025
UVIX 2x Long VIX Futures ETF VIX/Commodities $5.70 $331,332,887.21 03/28/2022
XLFB 5x Financial Sector ETF Index $ - 11/30/2025
XRPI XRP ETF Crypto-Linked $10.58 $134,927,678.25 05/22/2025
XRPT 2x XRP ETF Crypto-Linked $4.94 $95,602,773.04 05/22/2025
ZVOL Volatility Premium Plus ETF VIX/Commodities $10.87 $13,375,146.75 04/19/2023
Category Crypto-Linked
NAV $
Net Assets -
Fund Inception 11/30/2025
Prospectus
Category Crypto-Linked
NAV $27.75
Net Assets $1,429,933,300.89
Fund Inception 06/27/2023
Prospectus
Category Single Stock
NAV $
Net Assets -
Fund Inception 11/30/2025
Prospectus
Category Crypto-Linked
NAV $
Net Assets -
Fund Inception 11/30/2025
Prospectus
Category Crypto-Linked
NAV $54.81
Net Assets $1,632,009,449.70
Fund Inception 06/04/2024
Prospectus
Category Index
NAV $
Net Assets -
Fund Inception 11/30/2025
Prospectus
Category VIX/Commodities
NAV $
Net Assets -
Fund Inception 11/30/2025
Prospectus
Category Index
NAV $
Net Assets -
Fund Inception 11/30/2025
Prospectus
Category Single Stock
NAV $
Net Assets -
Fund Inception 11/30/2025
Prospectus
Category Single Stock
NAV $
Net Assets -
Fund Inception 11/30/2025
Prospectus
Category Single Stock
NAV $
Net Assets -
Fund Inception 11/30/2025
Prospectus
Category Crypto-Linked
NAV $12.26
Net Assets $1,348,445.42
Fund Inception 02/19/2025
Prospectus
Category Crypto-Linked
NAV $12.82
Net Assets $512,992.34
Fund Inception 02/19/2025
Prospectus
Category Single Stock
NAV $
Net Assets -
Fund Inception 11/30/2025
Prospectus
Category Index
NAV $
Net Assets
Fund Inception 11/30/2025
Prospectus
Category VIX/Commodities
NAV $
Net Assets -
Fund Inception 11/30/2025
Prospectus
Category Crypto-Linked
NAV $6.39
Net Assets $276,829,352.02
Fund Inception 03/20/2025
Prospectus
Category Crypto-Linked
NAV $12.72
Net Assets $117,897,253.27
Fund Inception 03/20/2025
Prospectus
Category Index
NAV $
Net Assets -
Fund Inception 11/30/2025
Prospectus
Category Index
NAV $
Net Assets -
Fund Inception 11/30/2025
Prospectus
Category VIX/Commodities
NAV $24.26
Net Assets $215,206,077.86
Fund Inception 03/28/2022
Prospectus
Category Index
NAV $
Net Assets -
Fund Inception 11/30/2025
Prospectus
Category Single Stock
NAV $
Net Assets -
Fund Inception 11/30/2025
Prospectus
Category Single Stock
NAV $
Net Assets -
Fund Inception 11/30/2025
Prospectus
Category VIX/Commodities
NAV $5.70
Net Assets $331,332,887.21
Fund Inception 03/28/2022
Prospectus
Category Index
NAV $
Net Assets -
Fund Inception 11/30/2025
Prospectus
Category Crypto-Linked
NAV $10.58
Net Assets $134,927,678.25
Fund Inception 05/22/2025
Prospectus
Category Crypto-Linked
NAV $4.94
Net Assets $95,602,773.04
Fund Inception 05/22/2025
Prospectus
Category VIX/Commodities
NAV $10.87
Net Assets $13,375,146.75
Fund Inception 04/19/2023
Prospectus