Hyperliquid Spot ETF Flows

All ETFs

Daily net flows of US spot Hyperliquid ETFs · per-fund breakdown, cumulative flow, AUM and premium/discount

Note: Hyperliquid ETF data currently comes from Farside only; AUM and premium/discount are not yet available from a secondary source and may show as "—".
Latest Daily Net Flow
-$5.50M
7-Day Net Flow
-$13.00M
Cumulative Net Flow
+$118.70M
Total AUM

Hyperliquid Spot ETF Daily Net Flow

30D90D180DAll

Hyperliquid ETF Daily Net Flow by Fund

DateBHYPHYPGTHYPTOTAL
2026-07-200000
2026-07-17-3.40-2.1-5.5
2026-07-160000
2026-07-150+2.10+2.1
2026-07-140000
2026-07-13-3.900-3.9
2026-07-10-3.80-1.9-5.7
2026-07-090000
2026-07-080+3.30+3.3
2026-07-07+4.300+4.3
2026-07-06+8.400+8.4
2026-07-02+2.200+2.2
2026-07-01+2.900+2.9
2026-06-3000-3.0-3.0
2026-06-29+2.200+2.2
2026-06-26+1.800+1.8
2026-06-25-2.8+112.7-1.8+108.1
2026-06-240000
2026-06-230+1.1+0.4+1.5
Unit: million USD unless noted. Positive = net inflow, negative = net outflow.

Hyperliquid ETF Fund List

#TickerIssuerLatest Flow7D FlowCumulative FlowAUMMkt Share% of McapVolumeFeePremium/Discount
1BHYPBitwise-$3.40M-$11.10M+$7.90M
2HYPGGrayscale+$2.10M+$5.40M+$119.20M
3THYP21Shares-$2.10M-$4.00M-$8.40M

About Hyperliquid ETF Flows

What is the Hyperliquid spot ETF?
A Hyperliquid spot ETF is a US-listed exchange-traded fund that holds Hyperliquid directly and tracks its price, giving investors regulated exposure through a normal brokerage account without self-custody of the underlying asset.
How is daily net flow calculated?
Each trading day, issuers report share creations (inflows) and redemptions (outflows). The TOTAL row sums net flow across all Hyperliquid ETFs; a positive number means the fund industry bought more Hyperliquid than it sold that day.
Why do flows matter for price?
Every net inflow dollar forces the issuer to buy the underlying token in the market; net outflows force selling. Sustained inflows tend to tighten available supply, while outflow streaks often coincide with price weakness.
What do AUM and premium/discount mean?
AUM (assets under management) is the total market value of Hyperliquid held by all listed ETFs. Premium/discount shows how far the fund's market price trades from its net asset value - useful for spotting liquidity stress or strong demand.
Data aggregated from public issuer disclosures (Farside Investors and, where available, SoSoValue), typically finalized after US market close. Figures may be revised by issuers.