Net Asset Value (NAV)
$400.27M
0.73%
Jan 15, 2024
Feb 25, 2026
Details
Tracks the Net Asset Value (NAV) of the Midas ecosystem by combining all Midas Liquid Yield Tokens and Vaults powered by Midas into a single metric. As of February 25, 2026, the combined Midas NAV amounted to $400.27M. Trend: • -$5.84M (-1.44%) in the last 24 hours; • -$32.56M (-7.52%) in the last 7 days; • -$89.44M (-18.26%) in the last 30 days; • -$459.73M (-53.46%) in the last 3 months; • -$465.73M (-53.78%) in the last 6 months; • +$380.65M (+1,939.87%) in the last 12 months. Data frequency: updates around every 6 hours. Each data point reflects the latest available value for that UTC day. Methodology: The NAV of each vault is calculated as the maximum between total onchain supply x most recent oracle price and NAV tracked by Delta Y across all vault allocator addresses. Includes the NAV from any retired or migrated vaults up to their retirement/migration date.
Holders
15151
0.07%
Jan 15, 2024
Feb 25, 2026
Details
Tracks the aggregated number of unique holders across all Midas Liquid Yield Tokens. As of February 25, 2026, the combined holder count had a value of 15,151. Trend: • -35 holders (-0.23%) in the last 24 hours; • -127 holders (-0.83%) in the last 7 days; • -683 holders (-4.31%) in the last 30 days; • -1,206 holders (-7.37%) in the last 3 months; • -3,120 holders (-17.08%) in the last 6 months; • -1,904 holders (-11.16%) in the last 12 months. Data frequency: updates around every 6 hours. Each data point reflects the latest available value for that UTC day. Methodology: A holder is an address with balance > 0; addresses holding multiple vault tokens are counted once in the aggregate. Includes holders of any retired or migrated vaults up to their retirement/migration date.
Breakdown by Liquid Yield Token
Summary of Liquid Yield Tokens - blockchains, historical NAV and latest price, APY and NAV share.
Name | Supported Blockchains | Price | APY | 30D NAV | NAV | |
|---|---|---|---|---|---|---|
$1.0599 | 12.10% | $104.61M 28.13% | ||||
$1.0804 | 6.87% | $66.62M 17.91% | ||||
+2 | $1.0528 | 3.46% | $49.54M 13.32% | |||
₿1.0117 | 4.03% | $35.34M 9.50% | ||||
$1.1096 | 8.39% | $23.18M 6.23% | ||||
$1.0727 | 7.83% | $16.39M 4.41% | ||||
$1.0972 | 3.12% | $16.34M 4.39% | ||||
$1.0361 | 7.50% | $14.27M 3.84% | ||||
$1.0914 | 0.11% | $12.59M 3.38% | ||||
Ξ1.0183 | 2.36% | $10.78M 2.90% | ||||
XRP 1.0271 | 3.54% | $10.59M 2.85% | ||||
$1.1789 | 2.82% | $4.54M 1.22% | ||||
₿0.9984 | 9.83% | $2.15M 0.58% | ||||
$1.0126 | 4.18% | $2.10M 0.56% | ||||
$1.0228 | -3.26% | $1.32M 0.35% | ||||
₿0.8343 | -99.04% | $1.31M 0.35% | ||||
₿1.0324 | 1.08% | $193.33K 0.05% | ||||
SOL 1.0214 | 2.07% | $30.37K < 0.01% |
NAV breakdown by Liquid Yield Tokens
Historical view of Liquid Yield Tokens NAV allocation.
Jan 15, 2024
Feb 25, 2026
Deposits and Withdrawals
Historical view of Liquid Yield Tokens deposits and withdrawals.
Deposits
$2.06M
-$26.89M
Withdrawals
$9.64M
-$18.11M
Net Deposits
-$7.58M
-$8.78M
Jan 15, 2024
Feb 25, 2026