120.220

-0.020 (-0.02%)

Range 119.880 - 120.220   (0.28%)
Open 120.000
Previous Close 120.240
Buy Price 120.220
Buy Volume 260
Sell Price 120.300
Sell Volume 1,000
Volume 2.2
Value 262,421
Remark
Measurement Type Value
Daily NAV 119.727
Total Expense Ratio (TER) 0.4
Inception NAV 44.2
TER Record Date 2014-08-04
Daily Total Return NAV 119.727
Outstanding Units 283,900,000.0
Assets Under Management 33,990,470,000.0
Fund Name SPDR Gold Shares
Fund Domicile United States
Launch Date 2004-11-18
Benchmark Index LBMA Gold Price
Benchmark Type Price
Fund Administrator BNY
Investment Advisor State Street Global Advisors
Fund Structure Unit Trust
UCITS III Compliant true
Top Asset Class Commodities
Sub Asset Class Physical Gold & Precious Metals
Management Fee (%) -
Performance Fee (%) -
Swap Counterparty none
ISIN Code US78463V1070
Under CPF Investment Scheme (CPFIS) Yes
Index Components
Delayed prices. Updated at 24 Apr 2019 17:06.
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