T. Rowe Price Surprises Market With First Multi-Coin Crypto ETF Filing

TheCryptoTimesPubblicato 2025-10-23Pubblicato ultima volta 2025-10-23

T. Rowe Price has filed with the United States Securities and Exchange Commission (SEC) to launch an actively managed crypto exchange-traded fund. This is the first time the firm will offer a product tied to multiple digital assets at once in the country. 

The firm, which manages about $1.77 to $1.8 trillion in assets, is seeking approval this week in the United States and this is a surprise to analysts who did not expect the filing from this location at this time because of the government shutdown.

A Traditional Giant Jumps Into Digital Coins

According to the SEC filing, the new fund will give investors exposure to between five and fifteen different cryptocurrencies, as long as they meet requirements that follow SEC listing rules. These coins eligible for the fund include Bitcoin, Ether, Solana, XRP, Cardano, Litecoin, Avalanche, Hedera, Bitcoin Cash, Dogecoin, Stellar, Chainlink, and Shiba Inu. 

A company spokesman explained that the fund aims to beat the FTSE Crypto US Listed Index by looking at factors such as fundamentals, valuation, and momentum when deciding which assets to hold and how much of each to include. The filing also states that decisions will not be based only on market size.

Industry Experts React With Surprise

Some analysts reacted with surprise because T. Rowe Price has been known for being conservative and focused heavily on mutual funds over its eighty-seven-year history.

Bloomberg ETF analyst Eric Balchunas described the move as a “SEMI-SHOCK,” suggesting it signals a rush for market share in digital assets. 

ETFs Approval Still Delayed Amid Government Shutdown

Most new ETF filings in recent months focus on just one coin, so an actively managed fund with many coins is still uncommon. Morningstar analyst Bryan Armour said the firm is planning “something differentiated to try and break into the space,” while noting that many investors still want new options. Armour also stated that the company is “looking for new niches” because outflows from mutual funds continue, causing pressure to diversify.

Meanwhile, Approval timelines are unclear because several crypto ETF applications have been delayed by a U.S. government shutdown, which has now lasted over three weeks.Recently, Kevin Hassett, an economic adviser to the U.S. President Donald Trump said the shutdown “likely to end sometime this week.”

Also Read: CIA Behind Bitcoin? Tucker Carlson Drops New Claim


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Bankless Co-founder: Why I Sold All My ETH

Author David Hoffman, founder of Bankless, explains his decision to sell all his ETH, despite being a prominent figure in the Ethereum ecosystem. He clarifies that his move is not a bearish take on Ethereum itself, which he remains highly optimistic about as a network. His core argument is that the "ETH is money" thesis, which he helped popularize, has largely played out. Hoffman argues that ETH has achieved the market valuation it deserves based on Ethereum's current success and competitive position. He details several reasons for this view. First, the path for ETH to become global money required nearly flawless execution and sustained dominance across Ethereum's entire technical and social stack—a coordination challenge he now believes had a narrower window for success than anticipated. Second, market data shows a strong correlation between L1 chain activity/fees and the price of its native asset; Ethereum's fee dominance has been challenged by competitors like Solana. Third, the "strong version" of crypto (decentralized, native crypto economies) that ETH's monetary thesis relied upon has struggled to maintain a positive mainstream narrative and stable adoption beyond a brief period. Finally, Ethereum's architecture as a "giver"—providing secure block space and tokenization capabilities at cost to L2s and applications—means it doesn't capture premium value directly. Its rollup-centric roadmap further directs most profits to L2s and applications ("fat app theory"). In conclusion, Hoffman believes the opportunity for ETH to be revalued significantly upward as money has diminished. He sold not because ETH will fail, but because its monetary thesis has matured, and he seeks to allocate capital to other opportunities he finds more compelling.

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Bankless Co-founder: Why I Sold All My ETH

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From Issuer to Infrastructure Owner: Circle's Arc Strategy and the Fatal Gap in the GENIUS Act

Circle raised $222 million for its proprietary Layer-1 blockchain, Arc, positioning itself not just as a stablecoin issuer but as the owner of the settlement infrastructure USDC relies on. This move, backed by investors like BlackRock and Apollo, highlights a significant structural conflict unaddressed by the GENIUS Act of 2025. While the act focuses on stablecoin reserves and issuer oversight, it remains silent on the market structure implications of an issuer controlling the underlying network—a scenario akin to a currency issuer also owning the payment rails. Traditionally, financial regulations separate issuers from settlement infrastructure to ensure neutrality. With Arc, Circle gains control over transaction ordering, fees, and network rules, potentially favoring USDC over competitors. The article argues that this creates a permanent structural temptation, even if no abuse occurs. The solution lies in applying established market infrastructure principles: mandating neutral transaction ordering, transparent fee schedules, and governance separated from Circle’s commercial interests. The current pre-mainnet phase offers a critical window for regulators to establish these rules before Arc becomes entrenched. Once operational, enforcing changes would be costly and disruptive. The core question remains: should a regulated stablecoin issuer be allowed to own the settlement network its competitors must use? The GENIUS Act doesn’t answer this, but Circle’s Arc strategy makes it urgent.

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From Issuer to Infrastructure Owner: Circle's Arc Strategy and the Fatal Gap in the GENIUS Act

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What Are the Key Variables Determining the AI Bull Market?

Title: What Determines the AI Bull Market? Key Variables Revealed Despite rising oil prices above $100/barrel, persistent inflation, and fragile Fed rate cut expectations—a traditionally hostile environment for high-valuation tech stocks—the AI sector continues to drive the market to new highs. According to analysts, the current AI boom is in a phase of "rational fervor": while bubbles exist, they are not yet out of control. The crucial shift is the emergence of Agentic AI, which is evolving from an assisting tool (Copilot) to an autonomous execution tool (Autopilot), creating a clearer commercial path from investment to revenue. This shift accelerates Token consumption and inference computing demand while boosting revenue forecasts for leading firms. The market is now rewarding capital expenditure as it transforms from a burden into a competitive moat, supporting hardware chains like GPUs, optical modules, and storage. However, valuations have already priced in growth expectations for 2027-2028. The forward P/E ratio for the "Magnificent Seven" tech giants is about 35x, compared to 25x for the rest of the S&P 500. This premium implies AI adoption must occur 5 to 8 times faster than past technological revolutions—a scenario with little room for error. The sustainability of the AI bull market hinges on three key variables: 1. **Short-term liquidity shocks**: Risks include sustained high oil prices, resurgent inflation, rising interest rates, and potential unwinding of the yen carry trade. The critical question is whether the upward revision speed of Annual Recurring Revenue (ARR) can outpace the rise in interest rates. 2. **Mid-term industry realization**: Can the actual pace of AI adoption and commercialization match the current lofty valuations? Historically, general-purpose technology revolutions follow a non-linear path with periods of acceleration and deceleration. 3. **Long-term structural constraints**: These include energy and power grid limitations, employment displacement and consumer purchasing power, social acceptance and potential backlash, and potential hardware technology breakthroughs that could disrupt current supply chains. While the long-term prospects for AI remain optimistic with potential for significant productivity gains, the stock market's pricing depends not just on the vision but on the actual speed of realization amid these growing constraints. The direction is clear, but the pace of execution will determine whether the bubble remains controlled or spirals out of control.

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What Are the Key Variables Determining the AI Bull Market?

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