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Annual Report · 10-K

Grayscale Sui Staking ETF

Annual Report

Filed Mar 24, 2026Accepted Mar 24, 2026, 4:25 PM EDTCIK 2034012Accession 0002034012-26-000008
Share

Company context

The Trust uses the Index Price to calculate its “NAV,” a non-GAAP metric, which is the aggregate value, expressed in U.S. dollars, of the Trust’s assets (other than U.S. dollars or other fiat currency), less the U.S. dollar value of the Trust’s expenses and other liabilities calculated in the manner set forth under “Business —Valuation of SUI and Determination of NAV.” “NAV per Share” is calculated by dividing NAV by the number of Shares then outstanding.

Current securities

Recent company filings

  1. 10-Q filingAug 7, 2026
  2. 424B3 filingAug 7, 2026
  3. Entry into a Material Definitive AgreementAug 7, 2026
  4. 144 filingAug 6, 2026
  5. 144 filingAug 4, 2026

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