Net Asset Value (NAV)
$22.52M
1.53%
Sep 16, 2025
Apr 26, 2026
APY
-20.65%
0.49%
Sep 16, 2025
Apr 26, 2026
Assets and Liabilities
Historical view of Lido GGV's assets and liabilities in the position.
Sep 16, 2025
Apr 26, 2026
Assets
$269.52M
1.61%
Liabilities
$247.00M
1.61%
NAV
$22.52M
1.53%
Breakdown by Reserve
Summary of the Lido GGV's funds across the position's reserves - blockchains, historical NAV and latest assets, liabilities and NAV share.
Underlying Asset | NAV | Assets | Liabilities | Blockchain | 30D NAV |
|---|