v3.26.1
Financial Highlights - Schedule of Financial Highlights (Details) - $ / shares
3 Months Ended 7 Months Ended
Jun. 30, 2026
Jun. 30, 2026
Fair Value, Investments, Entities that Calculate Net Asset Value Per Share [Line Items]    
Net asset value per Share, beginning of period $ 17.55 $ 33.72
Net investment income (loss) [1] 0.03 0.04
Net realized and change in unrealized gain (loss) [2] (3.63) (19.81)
Net decrease in net assets from operations $ (3.6) $ (19.77)
Total return, at net asset value [3] (20.60%) (58.68%)
Net asset value per Share, end of period $ 13.89 $ 13.89
Less distributions from:    
Net investment income (0.06) (0.06)
Total distributions $ (0.06) $ (0.06)
Ratio to average net assets    
Net investment income [4] 0.63% 0.41% [5]
Gross expenses [4] 0.61% 0.37% [5]
Net expenses [4] 0.61% 0.37% [5]
[1] Calculated using average Shares outstanding method.
[2] The amount shown for a Share outstanding throughout the period may not agree with the change in the aggregate gains and losses for such period because of the timing of sales and repurchases of the Trust’s Shares in relation to fluctuating market value for the Trust.
[3] Total return is calculated based on the change in the value during the period and is not annualized. An individual shareholder’s total return and ratio may vary from the above total returns and ratios based on the timing of contributions to and withdrawals from the Trust.
[4] Annualized.
[5] Calculated based on average net assets starting on November 18, 2025, date of initial seeding.