SINGAPORE EXCHANGE TICKER: "GLD 10US$"

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Financial Information - Performance

 

This fund started trading on the November 18 2004.


NAV per GLD Share

Cumulative
All figures are to month end [awaited] unless otherwise indicated
* Year to date for the Trust begins awaited and for Gold PM Fix begins awaited
Trust Gold Price
(London PM Fix)
*Year to date awaited
(updated between 9.15pm and 9.45pm UK)
awaited awaited
1 month awaited awaited
3 months awaited awaited
6 months awaited awaited
1 year awaited awaited
5 year awaited awaited
Since inception (to month end) awaited awaited

 

GLD Share Price at Close

Cumulative
All figures are to month end [awaited] unless otherwise indicated
** Year to date begins awaited
Gold Spot Price taken as at 16.30 (NYT) note the price may differ from the London PM fix of the same day.
Trust Gold Spot Price
(Mid Point)
*Year to date awaited
(updated between 9.15pm and 9.45pm UK)
awaited awaited
1 month awaited awaited
3 months awaited awaited
6 months awaited awaited
1 year awaited awaited
5 year awaited awaited
Since inception (to month end) awaited awaited

SGX "GLD 10US$" Share Price

US$awaited

Data source:
Singapore Exchange
data delayed 20 mins

Current Indicative Intraday Value of GLD 10US$

US$awaited

Data delayed 5-10 seconds.

Gold Spot Price

Bid

US$awaited

Offer

US$awaited

Mid

US$awaited

data source:
thebulliondesk.com
data delayed 5-10 sec, awaited

Total Gold in Trust

Tonnes

awaited

Ounces

awaited

Value US$

awaited