Key Information Document Purpose This document provides you with key information about this investment product. It is not marketing material. The information is required by law to help you understand the nature, risks, costs, potential gains and losses of this product and to help you compare it with other products. Product Product: 21Shares Bytetree BOLD ETP (BOLD) Manufacturer:21Shares AG (the Issuer) ISIN CH1146882308 Website: https://21shares.com/ Contact: +41 44 260 86 60 Swedish Financial Supervisory Authority (Finansinspektionen) is responsible for supervising 21Shares AG in relation to this Key Information Document. The key information document (KID) is accurate as of 06 January 2025. You are about to purchase a product that is not simple and may be difficult to understand. What is the product? This product is a non-interest bearing bond under Swiss law that is fully secured by holdings of Vinter Bytetree BOLD1 Inverse Volatility Index (BOLD1) or other assets denominated therein. This product’s primary listing is SIX Swiss Type: Exchange but it may be listed on additional exchanges and MTFs. Typically, those products are known as exchange traded products (ETPs). Term: This product is not subject to any fixed term. BOLD is designed to provide exposure to the performance of Vinter Bytetree BOLD1 Inverse Volatility Index (BOLD1) (the underlying asset(s)). Price data (in USD) from Vinter is used to calculate the price of the reference asset. The securities are only issued directly to authorised participants (who are generally regulated financial institutions) in return for delivery of the Objectives:underlying asset(s) which must be newly minted or sourced from a defined list of crypto currency exchanges. All assets relating to the securities are secured by way of a pledge to a collateral agent acting on behalf of investors.Retail investors are expected to purchase and sell securities in the secondary markets on normal stock exchanges. You may also request a redemption of the product from the issuer for cash on the anniversary of the issuance program. This product is a complex product and is only intended for informed retail investors who (i) can bear loss of capital, are not seeking to preserve capital and who are not looking for a capital guarantee; (ii) have specific knowledge of and experience investing in similar products and in financial markets; (iii) seek a product offering exposure to the Intended Investor: underlying asset(s) and have an investment horizon in line with the recommended holding period stated below; and (iv) are aware that the value of the product can change significantly due to the volatile underlying asset and, as a result, have sufficient time to actively monitor and manage the investment.What are the risks and what could I get in return? Risk indicator1 2 3 4 5 6 7 at a high level, and poor market conditions are very likely to impact the capacity of the fund to pay you. Be aware of currency risk. If you buy and trade this product in a currency Lower risk Higher risk other than USD, the final return you get depend on the exchange rate between that currency and USD at that time. This risk is not considered in The risk indicator assumes you keep the product for 1 year. The the indicator shown above. actual risk can vary significantly if you cash in at an early stage Material risks not included in the summary risk indicator are: lack of and you may get back less You may not be able to sell your consensus on the legal status and regulation of crypto assets and risks product easily or may have to sell at a price that significantlyassociated with nascent technology and crypto protocols. impacts on how much you get back. This product does not include any protection from future market The summary risk indicator is a guide to the level of risk of this product performance so you could lose some or all of your investment. compared to other products. It shows how likely it is that the product will lose money because of movements in the markets or because we are not ableIf we are not able to pay you what is owed, and the amounts payable to you to pay you. after realization of the collateral are insufficient, you could lose your entire investment. We have classified this product as class 6 out of 7, which is the second highest risk class. This rates the potential losses from future performance Performance scenarios What you will get from this product depends on future market performance. Market developments in the future are uncertain and cannot be accurately predicted. The unfavourable, moderate, and favourable scenarios shown are illustrations using the worst, average, and best performance of the product and a suitable benchmark over the last 10 years. Markets could develop very differently in the future. Recommended holding period: 01 Year Investment: 10 000 USD Scenarios 01 Year Minimum: There is no minimum guaranteed return. You could lose some(recommended holding period) or all of your investment. What you might get back after costs30 USD Stress scenario Percentage return- 99.75 % What you might get back after costs2 700 USD Unfavourable scenario Percentage return- 73.02% What you might get back after costs 15 030 USD Moderate scenario Percentage return 50.28% What you might get back after costs 143 340 USD Favourable scenario Percentage return 1 333.38% The figures shown include all the costs of the product itself, but may not include all the costs that you pay to your advisor or distributor and any on exchange bid/offer spreads. The figures do not take into account your personal tax situation, which may also affect how much you get back. The stress scenario shows what you might get back in extreme market circumstances. Unfavourable: This type of scenario occurred for an investment between 01/2018 and 12/2018. Moderate: This type of scenario occurred for an investment between 11/2019 and 10/2020. Favourable: This type of scenario occurred for an investment between 01/2017 and 12/2017. What happens if 21Shares AG is unable to pay out? The manufacturer is a special purpose vehicle. In the case of default by the manufacturer the assets it holds as collateral may be realized in order to meet its obligations to investor and the cash proceeds of this will be paid out in the order of priority of payments applicable to the products. These proceeds may not be sufficient to meet all obligations and make all payments due in respect of the securities. In these circumstances you may not be able to realise the full value of your securities and suffer a loss on your investment. There is no compensation or guarantee scheme in place which may offset, all or any of, this loss. What are the costs? The person selling you or advising you about this product may charge you other costs. If so, this person will provide you with information about these costs, and should show you the impact that all costs will have on your investment over time. Costs over Time The tables show the amounts that are taken from your investment to cover different types of costs. These amounts depend on how much you invest and how long you hold the product. The amounts shown here are illustrations based on an example investment amount and an investment period similar to the recommended holding period. We have assumed: - The product performs as shown in the moderate scenario. - USD 10,000 is invested Investment: 10 000 USDAnnual cost impact if you exit after 01 Year Total Costs 96 USD Cost Impact0.96 % *This illustrates the effect of costs over a holding period of less than 1 year. This percentage cannot be directly compared to the cost impact figures provided for other PRIIPs. Composition of Costs Annual cost impact if you exit One-off costs upon entry or exit after 1 Year0.15% of the amount you pay when entering this investment. We do not charge an Entry costs 15 USDentry fee for this product, but the person selling you the product may do so*.0.15% of your investment before it is paid out to you. We do not charge an exit fee Exit costs 15 USDfor this product, but the person selling you the product may do so*. Ongoing costs Management fees and other0.65% of the value of your investment per year for managing your investment. This administrative or operating 66 USDis an estimate based on actual costs over the last year. costs0.00% of the value of your investment per year. This is an estimate of the costs Portfolio transaction costsincurred when we buy and sell the underlying investments for the product. The 0 USDactual amount will vary depending on how much we buy and sell. Incidental costs taken under specific conditions Performance FeeThere is no performance fee for this product. 0 USDHow long should I hold it and can I take my money out early? Recommended holding period: 1 Year However, as the underlying(s) is/are very volatile, investors should monitor the value of the product constantly as sudden changes in value will be frequent and abrupt. Retail investors are able to sell the product on exchange other than in cases of unusual market activity or in case of technical disruptions. You may also request a redemption of the product from the issuer for cash on the anniversary of the issuance program. How can I complain? In case of any unexpected problems in the understanding, trading or handling of the product, please feel free to directly contact 21Shares. Website:https://21shares.com/ E-mail: info@21shares.com Address:21Shares AG, Pelikanstrasse 37, 8001 Zurich, Switzerland 21Shares will handle your request and provide you with a feedback as soon as possible. Other relevant information *Retail investors who purchase the product on the secondary market conclude trades directly with a participating broker or via an exchange and therefore additional costs may apply. The trading costs are publicly available on the stock exchanges on which the product ist listed or can be requested from online brokers. One-off costs above are estimates of these trading costs. You can find out the actual costs from your broker, financial advisor, or sales company. Alongside this document, please read the Prospectus on our website. The past performance of this product can be found on https://api.kneip.com/v1/documentdata/permalinks/KPP_CH1146882308_en_AT-BE-CZ-DE-DK- ES-FI-FR-HR-HU-IE-IT-LI-LU-MT-NL-NO-PL-RO-SE-SK.pdf or by following this link https://21shares.com/ir/past-performance. Please note that past performance is not indicative of future performance. It cannot provide a guarantee of returns that you will receive in the future. Past performance shows the fund’s performance as the percentage loss or gain per year over the last 1 years. Previous performance scenario calculations can be found at https://api.kneip.com/v1/documentdata/permalinks/KMS_CH1146882308_en_AT-BE-CZ- DE-DK-ES-FI-FR-HR-HU-IE-IT-LI-LU-MT-NL-NO-PL-RO-SE-SK.xlsx or by following this link https://21shares.com/ir/previous-performance-scenarios. Updated and additional documents on the product, in particular the prospectus, the final terms, supplements and financial statements are published on the company website https://21shares.com/ir in accordance with the relevant legal provisions. It is recommended that you read these documents for more information, particularly on the structure of the product and the risks associated with investing in the product.