VS Trust (SVIX) Net Cash Flow (2022 - 2026)

VS Trust's (SVIX) quarterly Net Cash Flow came in at $550.7 million in Q1 2026, up 663.87% quarter-over-quarter from $72.1 million in Q4 2025.

VS Trust (SVIX) Net Cash Flow (2022 - 2026) Analysis & Trends

VS Trust's Net Cash Flow history runs 5 years deep, the most recent figure standing at $550.7 million for Q1 2026.

  • On a quarterly basis, Net Cash Flow changed N/A year-over-year to $550.7 million in Q1 2026; TTM through Mar 2026 was -$269.4 million, a 362.41% decrease from a year earlier, with the FY2025 full-year figure at $123.6 million, up 3315.91% from the prior year.
  • Net Cash Flow improved to $550.7 million in Q1 2026 per SVIX's latest filing, from $72.1 million in the prior quarter.
  • Across five years, Net Cash Flow topped out at $550.7 million in Q1 2026 and bottomed at -$465.2 million in Q3 2025.
  • The 5-year median for Net Cash Flow is $2.5 million (2022), against an average of -$24.9 million.
  • Across the five-year window, Net Cash Flow surged 797.3% in 2023 and plunged 1752.26% in 2025, its largest moves.
  • Year by year, Net Cash Flow stood at $504600.0 in 2022, then surged by 797.3% to $4.5 million in 2023, then jumped by 92.72% to $8.7 million in 2024, then soared by 726.23% to $72.1 million in 2025, then jumped by 663.87% to $550.7 million in 2026.
  • Per Business Quant, the three latest SVIX Net Cash Flow figures stand at $550.7 million (Q1 2026), $72.1 million (Q4 2025), and -$465.2 million (Q3 2025).

Peer Comparison

Historic Data

Download Data
DateValue
Mar 31, 2026 550.71 Mn
Mar 31, 2026 550.71 Mn
Dec 31, 2025 72.10 Mn
Dec 31, 2025 72.10 Mn
Sep 30, 2025 -465.20 Mn
Sep 30, 2025 -465.20 Mn
Jun 30, 2025 -426.99 Mn
Jun 30, 2025 -426.99 Mn
Dec 31, 2024 8.73 Mn
Dec 31, 2024 8.73 Mn
Sep 30, 2024 68.09 Mn
Sep 30, 2024 68.09 Mn
Jun 30, 2024 25.84 Mn
Jun 30, 2024 25.84 Mn
Mar 31, 2024 -93.93 Mn
Mar 31, 2024 -93.93 Mn
Dec 31, 2023 4.53 Mn
Dec 31, 2023 4.53 Mn
Dec 31, 2022 504,600.00
Dec 31, 2022 504,600.00