Financial
Details
|
SGX Ticker : GLD 10US$ |
Fund Inception
Date |
Oct
11 2006 |
ISIN
No: US8633071043 |
Expense Ratio
at Nov 18, 2004 |
0.40% |
Reuters
Code: SGLD.SI
Bloomberg Code: GLD SP <Equity> |
Please see How
to Invest / Fees for more information |
|
SGX GLD 10US$ Market
Info |
GLD 10US$ Share
Price
data delayed 20 minutes |
last sale: |
awaited |
Premium/Discount
of Delayed GLD 10US$ Share v
Delayed Indicative Intraday Value* of GLD 10US$
data delayed 20 minutes |
|
|
|
|
awaited
|
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|
Delayed
Indicative Intraday Value* per GLD 10US$ |
$
90.700 |
Daily GLD 10US$ share volume
updated 5.30 p.m. Singapore time UTC/GMT+8 05/20/2008 |
awaited |
data
delayed 20 minutes |
|
|
|
|
|
Current
Indicative Intraday Value* per GLD 10US$ |
$
90.601 |
|
data
delayed 5-10 seconds |
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Most Recent GLD 10US$ Close
|
$89.52 |
|
|
|
|
Mid point
of bid/ask spread of GLD 10US$
at close, updated 5.30 p.m. Singapore
time UTC/GMT+8 05/19/2008
|
mid: |
awaited |
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|
|
|
Net
Asset Value per GLD 10US$ |
$90.19 |
|
Based
on NAV established between
10:30 a.m. & 12:00 p.m. NYT
05/20/2008
|
|
|
|
|
Net
Asset Value
per GLD in gold oz
|
0.099
|
|
Based
on NAV established between
10:30 a.m. & 12:00 p.m. NYT
05/20/2008 |
|
|
* Indicative Intraday Value is calculated
on the mid point of the bid/offer gold spot price |
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Per Basket Information
(a basket is 100,000 shares) |
Indicative Intraday
Value* $ per basket data delayed
5-10 seconds |
$9,060,140 |
|
|
|
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Net Asset Value
$ per basket |
$9,019,210.71 |
|
Based
on NAV established between
10:30 a.m. & 12:00 p.m. NYT
05/20/2008 |
|
|
|
|
|
Net Asset Value
in Gold Ounces per basket
|
9,862.450 |
|
Based
on NAV established between
10:30 a.m. & 12:00 p.m. NYT
05/20/2008 |
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|
|
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*
Indicative Intraday Value is calculated on the mid point of
the bid/offer gold spot price |
|
Trust Information |
Total Net Asset
Value in the Trust
based on London PM fix
updated between
10.30am and 10.45am NYT
05/20/2008 |
$17,163,557,977.93 |
|
|
|
|
Total Net Asset
Value Ounces in the Trust
updated between 10.30am and 10.45am
and 4.15 p.m. and 4.30 p.m. NYT
05/20/2008 |
18,773,964.69 |
|
|
|
|
Total Net Asset
Value Tonnes in the Trust
updated between 10.30am and 10.45am
and 4.15 p.m. and 4.30 p.m. NYT
05/20/2008 |
583.93 |
|
|
|
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Total shares outstanding
updated between 10.30am and 10.45am
and 4.15 p.m. and 4.30 p.m. NYT
05/20/2008 |
190,300,000 |
|
|
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Monthly gold sales per share
Apr 2008
|
$0.02945 |
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Spot Market Info |
Live Gold Spot
Price |
bid: |
$918.40 |
|
data
delayed 5-10 seconds |
offer: |
$918.90 |
|
05/21/2008 GMT |
mid: |
$918.65 |
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|
London PM Fix
05/20/2008 GMT |
$
914.50 |
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