Net Asset Value (NAV)

-$0.30

0.00%

Oct 30, 2025

Feb 27, 2026

Trailing NAV APY

-3.40%

1.17%

Oct 30, 2025

Feb 27, 2026

Assets and Liabilities

Historical view of Lido GGV's assets and liabilities in USDC.

Assets

$0.00

0.00%

Liabilities

$0.30

0.00%

NAV

-$0.30

0.00%

Oct 30, 2025

Feb 27, 2026

Disclaimer