GSUI Prospectus

“ Uplisted Period ”—Any period during which the Shares of the Trust are listed and traded on NYSE Arca or any other national securities exchange. “ U.S .”—United States. “ U.S. dollar ” or “ $ ”—United States dollar or dollars. “ Variable Fee ”—An amount in cash based on the Total Basket NAV, which shall be paid by the Authorized Participant in connection with Variable Fee Cash Orders. The amount may be changed by the Sponsor in its sole discretion at any time. “ Variable Fee Cash Order ”—A Cash Order pursuant to which any price differential between (x) the Total Basket NAV on the trade date and (y) the price realized in acquiring or disposing of the corresponding Total Basket Amount, as the case may be, will be borne solely by the applicable Liquidity Provider. “ Vault Balance ”—A segregated custody account controlled and secured by the Custodian to store private keys, which (i) allow for the transfer of ownership or control of the Trust’s SUI on the Trust’s behalf, (ii) are accessible solely by the Custodian acting on the Trust’s behalf and (iii) permit the Trust to retain ownership of the Trust’s SUI at all times for U.S. federal income tax purposes. “ Zcash ” or “ ZEC ”—A type of digital asset based on an open source cryptographic protocol existing on the Zcash network.

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