CoinLaw The Finance Desk Crypto ETF Flow Tracker by Issuer
Crypto ETF Flow Tracker by Issuer
Weekly net flows and assets for every US spot Bitcoin and Ethereum ETF, from each issuer's own fund page and SEC filings. One verified weekly snapshot, not a live feed.
22 funds tracked verified through 3 Sep 2026 last verified 5 Sep 2026 next snapshot 3 Oct 2026
- Combined AUM
- $112B
- BTC funds
- 12
- ETH funds
- 10
Latest change Baseline 2026-09-03 vs run 2026-09-05 = 2 days, outside 5-10 day window: no flow for any of 22 funds, none had one to clear. AuM reverified: IBIT ETHA ETHB BITB ETHW TETH BRRR DEFI. Blocked 403/redirect/JS: GBTC BTC ARKB HODL EZBC BTCO BTCW FBTC ETH ETHE FETH ETHV EZET QETH. New baseline 20260905. (4 Sep 2026) All changes
All records
22 funds, largest fund first. Filter or search below.
What is in scope Listed crypto ETFs whose issuer publishes flows and assets under management.
Net flows derive from week-over-week change, so there is nothing to subtract from a first snapshot. The two flow columns appear at the second snapshot, due 5 Oct 2026.
22 funds from 12 issuers, holding $112B in reported assets between them. No record in scope discloses a weekly net flow, so the column stays empty rather than estimated.
| Fund | Issuer | AUM | Source |
|---|---|---|---|
| Bitcoin IBIT iShares Bitcoin Trust ETF | BlackRock | $63.4B | iShares fund page ↗ |
| Bitcoin FBTC Fidelity Wise Origin Bitcoin Fund | Fidelity | $10.8B | Fidelity fund dashboard ↗ |
| Bitcoin GBTC Grayscale Bitcoin Trust ETF | Grayscale | $10.1B | Grayscale ETF site ↗ |
| Ethereum ETHA iShares Ethereum Trust ETF | BlackRock | $8.7B | iShares fund page ↗ |
| Bitcoin BTC Grayscale Bitcoin Mini Trust ETF | Grayscale | $4.8B | Grayscale ETF site ↗ |
| Bitcoin BITB Bitwise Bitcoin ETF | Bitwise | $3.1B | Bitwise fund page ↗ |
| Ethereum ETH Grayscale Ethereum Staking Mini ETF | Grayscale | $2.1B | Grayscale ETF site ↗ |
| Bitcoin ARKB ARK 21Shares Bitcoin ETF | ARK 21Shares | $2.1B | ARK Invest fund page ↗ |
| Ethereum ETHE Grayscale Ethereum Staking ETF | Grayscale | $1.8B | Grayscale ETF site ↗ |
| Bitcoin HODL VanEck Bitcoin ETF | VanEck | $1.2B | VanEck fund page ↗ |
| Ethereum ETHB iShares Staked Ethereum Trust ETF | BlackRock | $985M | iShares fund page ↗ |
| Ethereum FETH Fidelity Ethereum Fund | Fidelity | $881M | Fidelity fund dashboard ↗ |
| Bitcoin BRRR CoinShares Bitcoin ETF | CoinShares | $443M | CoinShares fund page ↗ |
| Bitcoin EZBC Franklin Bitcoin ETF | Franklin Templeton | $424M | Franklin Templeton fund page ↗ |
| Bitcoin BTCO Invesco Galaxy Bitcoin ETF | Invesco | $399M | Invesco fund page ↗ |
| Ethereum ETHW Bitwise Ethereum ETF | Bitwise | $282M | Bitwise fund page ↗ |
| Bitcoin BTCW WisdomTree Bitcoin Fund | WisdomTree | $167M | WisdomTree fund page ↗ |
| Ethereum ETHV VanEck Ethereum ETF | VanEck | $122M | VanEck fund page ↗ |
| Ethereum EZET Franklin Ethereum ETF | Franklin Templeton | $51M | Franklin Templeton fund page ↗ |
| Ethereum TETH 21Shares Ethereum ETF | 21Shares | $26M | 21Shares product API ↗ |
| Ethereum QETH Invesco Galaxy Ethereum ETF | Invesco | $22M | Invesco fund page ↗ |
| Bitcoin DEFI Hashdex Bitcoin ETF | Hashdex | $7M | Hashdex fund page ↗ |
No records match the current filters.
What the data shows
Every figure below comes from the verified table above, redrawn as the trends and comparisons a table cannot show.
Verification ledger
5 most recent of 6 logged updates- Baseline 2026-09-03 vs run 2026-09-05 = 2 days, outside 5-10 day window: no flow for any of 22 funds, none had one to clear. AuM reverified: IBIT ETHA ETHB BITB ETHW TETH BRRR DEFI. Blocked 403/redirect/JS: GBTC BTC ARKB HODL EZBC BTCO BTCW FBTC ETH ETHE FETH ETHV EZET QETH. New baseline 20260905. 4 Sep 2026
- Baseline 20260822 (7d) in window. Flow written BITB +34, ETHW +2, TETH +3. DEFI flow cleared: issuer shares still as of 08-14, same reading as baseline, so no week covered. BRRR AuM 454, publishes no shares. Other 17 funds not reverified: issuer pages 403/JS-blocked, unchanged since 2026-07-24. 28 Aug 2026
- Baseline 2026-08-15 was 7 days old at 2026-08-22, inside the 5 to 10 day window, so flow was written for the four funds it held shares for: BITB, ETHW, DEFI, TETH. The other 18 had no prior shares or unreachable issuer pages, so no flow. AuM reverified for BRRR. Baseline 20260822 stored. 21 Aug 2026
- Baseline 2026-07-23 was 23 days old at 2026-08-15, outside the 5 to 10 day window, so no weekly flow was written for any of the 22 funds. BRRR was also absent from that baseline. AuM reverified from issuer pages for BITB, BRRR, DEFI, ETHW and TETH. New baseline 20260815 stored. 14 Aug 2026
- Five-lens page audit passed; Dataset creator reference corrected in schema (3.83.1). Weekly flow columns remain pending the first Friday ingest. 30 Jul 2026
How this tracker is maintained
Every figure passes the same checks before it appears, on a fixed weekly rhythm.
-
Sourced
Assets under management come from each issuer’s own fund page, never from an aggregator. Weekly net flows would derive from each fund’s change in shares outstanding and NAV; none are published yet, so the table carries no flow figures rather than estimated ones.
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Dated
Each snapshot covers one week ending Friday, and every row carries the date we confirmed it. The header names the week and the next snapshot.
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Re-checked
A new snapshot lands every 30 days. A figure that cannot be confirmed against the issuer’s page keeps its last verified value and date; the table never shows an estimate.
- Where do these come from?
- Each fund’s own issuer page, and every row links the page it came from. Combined figures name how many of the tracked funds they cover. Weekly flows are not published for any fund yet, so no row shows one; when a fund’s issuer starts disclosing the share counts they derive from, its flow appears and the columns return.
- Why weekly, not live?
- A verified weekly snapshot beats an unverifiable live feed. Aggregators routinely disagree with issuers on daily figures; the primary source wins here.
This is informational content and does not constitute investment advice. Assets under management reflect issuer disclosures for the stated week and can be revised by the issuer. Confirm current figures on the issuer’s own fund page before acting.
Quoting a figure with a link to this page needs no permission. Cite it as you would any source. Reuse of the compiled dataset itself is licensed under CC BY 4.0: credit CoinLaw and link back.