SINGAPORE EXCHANGE TICKER: "GLD 10US$"

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Financial Information - Performance


 

This fund started trading on October 11, 2006. 

NAV per GLD Share

Cumulative
All figures are to month end [11/30/2008] unless otherwise indicated
* Year to date for the Trust begins January 2 2008 and for Gold PM Fix begins January 2 2008
Trust Gold Price
(London PM Fix)
*Year to date November 28 2008
(updated between 9.15pm and 9.45pm UK)
-4.16%
-5.16%
1 month
+11.43%
+11.46%
3 months
-2.32%
-2.22%
6 months
-8.23%
-8.04%
1 year
+3.54%
+3.96%
Since inception (to month end)
+81.36%
+84.28%

 

 

GLD share price at close

Cumulative
All figures are to month end [11/30/2008] unless otherwise indicated
** Year to date begins January 2 2008
Gold Spot Price taken as at 17:00 (SGX) note the price may differ from the London PM fix of the same day.
Trust
Gold Spot Price
(Mid Point)
**Year to date November 28 2008
(updated between 9.15pm and 9.45pm UK)
-2.84%
-5.99%
1 month
+5.08%
+11.47%
3 months
-2.31%
-2.70%
6 months
-9.55%
-8.60%
1 year
+0.88%
+3.58%
Since inception (to month end)
+39.17%
+38.25%


SGX "GLD 10US$" Share Price

Last SaleUS$awaited

data source:
Singapore Exchange
data delayed 20 mins


Current Indicative Intraday Value of GLD 10US$

 US$awaited

data delayed 5-10 sec


Gold Spot Price

US$ Gold/oz

bidUS$awaited
offerUS$awaited
midUS$awaited

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


More Information

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