
CoinShares Digital Securities Limited / Key word(s): Miscellaneous
CSDS EU RNS Name Changes (19 December 2025)
19-Dec-2025 / 20:15 CET/CEST
Release of an ad hoc announcement pursuant to Art. 53 LR
The issuer is solely responsible for the content of this announcement.
19 December 2025
CoinShares Digital Securities Limited
LEI: 549300DR7967WVLR3P83
Exchange Traded Products Programme for the issue of
CoinShares Individual Digital Securities and
CoinShares Digital Index Securities and Digital Basket Securities
Change of Names of the Relevant Securities and amendment to certain Conditions
CoinShares Digital Securities Limited (the “Issuer”) announces that it has entered into an eleventh supplemental trust instrument (the “Eleventh Supplemental Trust Instrument”) with the Trustee dated 19 December 2025 pursuant to which certain additional classes (the “New Classes”) of Individual Securities have been created and certain amendments have been made to the Trust Instrument and the Conditions including changes to the names of the Relevant Securities and changes to the Conditions.
Under the Eleventh Supplemental Trust Instrument the short names of the Relevant Securities are amended as follows:
the short name of each class of Individual Securities other than any class of Individual Securities which is a Staking Class is amended by deleting the word “Physical” and adding the expression “ETP” at the end;the full name of each class of Individual Securities other than any class of Individual Securities which is a Staking Class is amended by deleting the word “Physical” and adding the expression “ETP” prior to the word “class”;the short name of each class of Individual Securities which is a Staking Class is amended by deleting the words “Physical Staked” and adding the expression “Staking ETP” at the end; andthe full name of each class of Individual Securities which is a Staking Class is amended by deleting the words “Physical Staked” and adding the expression “Staking ETP” prior to the word “class”.
For classes of Individual Securities currently in issue, the revised names are set out below:
ISINOld NameNew NameGB00BLD4ZL17CoinShares Physical BitcoinCoinShares Bitcoin ETPGB00BLD4ZM24CoinShares Physical Staked EthereumCoinShares Ethereum Staking ETPGB00BLD4ZP54CoinShares Physical LitecoinCoinShares Litecoin ETPGB00BLD4ZN31CoinShares Physical XRPCoinShares XRP ETPGB00BMWB4803CoinShares Physical Staked TezosCoinShares Tezos Staking ETPGB00BNRRFW10CoinShares Physical Staked PolkadotCoinShares Polkadot Staking ETPGB00BNRRF659CoinShares Physical Staked CardanoCoinShares Cardano Staking ETPGB00BNRRFY34CoinShares Physical Staked SolanaCoinShares Solana Staking ETPGB00BMWB4910CoinShares Physical ChainlinkCoinShares Chainlink ETPGB00BNRRG624CoinShares Physical UniswapCoinShares Uniswap ETPGB00BNRRF980CoinShares Physical Staked CosmosCoinShares Cosmos Staking ETPGB00BNRRB013CoinShares Physical Staked PolygonCoinShares Polygon Staking ETPGB00BNRRF105CoinShares Physical Staked AlgorandCoinShares Algorand Staking ETPGB00BSLNZT73CoinShares Physical Staked SeiCoinShares Sei Staking ETPGB00BVBM1L91CoinShares Physical Staked ToncoinCoinShares Toncoin Staking ETP
The amendments to the Conditions apply to Individual Securities, Digital Index Securities and Digital Basket Securities and include:
the definition of Redemption Notice Date in Condition 1.1 has been amended so as to provide as follows:
“Redemption Notice Date” means an Issuer Business Day on which a valid Redemption Notice is received provided that a Redemption Notice received after 5.00 p.m. (London time) on an Issuer Business Day will be treated as having been received on the immediately following Issuer Business Day unless the Issuer agrees to treat the Redemption Notice as having been received prior to 5:00 p.m. in which case the Redemption Notice shall be deemed to have been received on that Issuer Business Day;
Condition 7.9 has been amended by the deletion of the words “2.00 p.m. (London time) on an Issuer Business Day shall be treated as lodged on the immediately following Issuer Business Day” and the substitution of:
“5.00 p.m. (London time) on an Issuer Business Day shall be treated as lodged on the immediately following Issuer Business Day unless the Issuer agrees to treat the Redemption Notice as having been received prior to 5:00 p.m. in which case the Redemption Notice shall be deemed to have been received on that Business Day”.
The New Classes, the new names and the amendments to the Conditions are described in supplement dated 19 December 2025 to the base prospectus of the Issuer dated 11 April 2025 regarding Individual Securities and the amendments to the Conditions are described in a supplement dated 19 December 2025 to the base prospectus of the Issuer dated 27 February 2025, each approved by the SFSA.
Terms used in this announcement and not otherwise defined bear the same meanings as where used in the applicable base prospectus.
For further information, please contact:
CoinShares Digital Securities Limited
2 Hill Street
St. Helier, Jersey,
JE24UA
Channel Islands
This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact [email protected] or visit http://www.rns.com.
End of Inside InformationLanguage:EnglishCompany:CoinShares Digital Securities Limited2 Hill StreetJE2 4UA St HelierJersey GuernseyPhone:+44 1534513100E-mail:[email protected]:https://coinshares.com/ISIN:GB00BMWB4803, GB00BLD4ZL17, GB00BLD4ZM24, GB00BLD4ZP54, GB00BLD4ZN31, GB00BMWB4803, GB00BNRRFW10, GB00BNRRF659, GB00BNRRFY34, GB00BMWB4910, GB00BNRRG624, GB00BNRRF980, GB00BNRRB013, GB00BNRRF105, GB00BSLNZT73, GB00BVBM1L9Listed:Regulated Market in Frankfurt (General Standard); Regulated Unofficial Market in Berlin, Dusseldorf, Munich, Stuttgart, Tradegate Exchange; SIX Swiss ExchangeEQS News ID:2249524
End of AnnouncementEQS News Service
2249524 19-Dec-2025 CET/CEST
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