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How to buy ZCSH in a brokerage account
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Check whether your broker supports it
Sign in to a brokerage account that permits trading exchange-listed securities and search the order-entry screen for ZCSH. Availability and account restrictions are broker-specific. If the symbol is unavailable, ask the broker; do not assume a similarly named crypto product is the same fund.
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Verify the security
Confirm the result is The Zcash ETF and that it trades on NYSE Arca. SEC filings support that identity and listing. The fund was previously named Grayscale Zcash Trust (ZEC). Its shares are securities held in a brokerage account; buying them does not require purchasing ZEC directly or setting up a Zcash wallet. NYSE Arca listing certification · SEC prospectus and fund structure
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Read the latest prospectus
Before placing an order, review the current filing for the sponsor fee, how the fund values ZEC and calculates net asset value (NAV), custody arrangements, and risk factors. Terms can change, so use the latest filing rather than relying on an earlier summary. SEC fee disclosure · SEC risk disclosures
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Review the order preview
Check the quoted price, share quantity, order type, estimated charges, and any broker restrictions. The prospectus says customary brokerage commissions and charges may apply; these are separate from the fund’s sponsor fee. An order type affects how price and execution are controlled: a market order prioritizes execution at available prices, while a limit order sets a maximum purchase price but may not execute. Consider the trade-offs and the broker’s order details before submitting.
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Submit the order and monitor the position
Your broker routes a securities order. If it executes, you hold shares representing beneficial interests in the trust, which holds ZEC. You do not own the underlying ZEC directly. The share price can move with ZEC and may differ from the fund’s NAV. SEC prospectus and fund structure
What you own—and how the fund works
The trust holds ZEC and issues shares representing beneficial interests in it. Retail investors buy and sell those shares through brokers. Large-block creation and redemption are handled by authorized participants; ordinary retail shareholders do not create or redeem shares directly through the trust. SEC prospectus and fund structure · SEC prospectus on brokerage transactions
The prospectus describes an index price based on the CoinDesk Zcash Benchmark Rate and valuation at 4:00 p.m. New York time on business days; the stated benchmark basis is as of April 1, 2026. Index pricing and ZEC volatility affect calculated NAV, while exchange trading can cause the market price of a share to diverge from NAV. SEC prospectus and valuation details · SEC risk disclosures
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Fees and costs to check
The prospectus states an annual Sponsor’s Fee rate of 2.5% of the NAV Fee Basis Amount. This is a fund-level fee, not necessarily a separate line-item charge on each trade: ZEC represented by each share declines over time as ZEC is used to pay fees and expenses. Brokerage commissions or other broker charges may apply separately. Confirm both the latest prospectus terms and the charges shown in your order preview. SEC fee disclosure · SEC prospectus on brokerage transactions
Risks to understand before buying
- ZEC price volatility: A sharp change in ZEC’s price can affect the value of the trust and its shares. SEC risk disclosures
- Market price versus NAV: The exchange price can trade at a premium or discount to NAV, so it may not match the value implied by the trust’s holdings. SEC risk disclosures
- Custody and loss: The prospectus warns that the trust’s ZEC is not fully insured and that investors may have limited recourse if trust-held ZEC is lost and no person or entity is liable. SEC risk disclosures
- Past discounts are historical, not current quotes: The prospectus reports that the trust traded at a discount to NAV on 700 days between October 18, 2021, and June 30, 2026, and showed a 17% discount as of June 30, 2026. Those figures describe pre-listing OTC share history; they do not establish the current discount or premium of NYSE Arca shares. SEC risk disclosures
Is another Zcash ETF available?
A Winklevoss Zcash ETF registration statement filed October 6, 2026, is preliminary. It anticipates Nasdaq trading under ticker WINK, subject to issuance, but states that the prospectus is incomplete and securities may not be sold before the registration becomes effective. That filing alone does not establish WINK as an available fund. Preliminary SEC registration statement
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Before placing your order
- Confirm the symbol is ZCSH and the display name is The Zcash ETF on NYSE Arca.
- Check the latest prospectus for fees, valuation, custody and risks.
- Review your broker’s quote, restrictions and estimated charges before submitting.
- Remember that a brokerage purchase gives you fund shares, not direct ownership of ZEC.
Product prices and availability are accurate as of the date/time indicated and are subject to change. Any price and availability information displayed on Amazon at the time of purchase will apply.




