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Financial Highlights - Schedule of Financial Highlights (Details)
3 Months Ended 8 Months Ended
Sep. 30, 2025
$ / shares
[1]
Sep. 30, 2025
$ / shares
[1]
Schedule of Financial Highlights [Abstract]    
Net Asset Value Per Share Performance (for a Share outstanding throughout the period presented), Beginning of Period $ 27.37 $ 25
Net investment loss (0.02) [2] (0.04) [2]
Net Realized and Unrealized Gain (Loss) 3.54 5.93
Net Increase (Decrease) in Net Assets from Operations 3.52 5.89
Net Asset Value Per Share Performance (for a Share outstanding throughout the period presented), End of Period 30.89 [3] 30.89 [3]
Market Value Per Share, at September 30, 2025 $ 30.88 [4] $ 30.88 [4]
Total Return at Net Asset Value 12.86% [5] 23.57% [5]
Total Return at Market Value 12.57% [5] 23.52% [5]
Ratios to Average Net Assets: (4)    
Gross Expense ratio 0.50% [6] 0.50% [6],[7]
Net Expense ratio 0.25% [6] 0.25% [6],[7]
Net Investment Loss (0.25%) [6] (0.25%) [6],[7]
[1] No comparative schedule shown/provided as it is the Trust’s first fiscal year of operations.
[2] Net investment loss per share represents net investment loss divided by the daily average shares of beneficial interest outstanding during the period.
[3] No comparative statement shown/provided as it is the Trust’s first fiscal year of operations.
[4] Market values are determined at the close of the applicable primary listing exchange, which may be later than when the Trust’s net asset value is calculated.
[5] Percentages are not annualized.
[6] Percentages are annualized.
[7] Includes activity for the period February 14, 2025 (effective date) through September 30, 2025.