This fund started trading on the November 18 2004.
NAV per GLD share
Cumulative
All figures are to month end [12/31/2007]
unless otherwise indicated
* Year to date for the Trust begins January 3 2006
and for Gold PM Fix begins January 4 2006
Trust
Gold Price
(London
PM Fix)
*Year to date December 31 2007
(updated between 9.15pm and 9.45pm UK)
-0.45%
n/a
1
month
+6.73%
+6.41%
3
months
+12.48%
+12.21%
6
months
+28.35%
+28.17%
1 year
+31.08%
+31.15%
Since
inception (to month end)
+86.95%
+88.63%
GLD share price at close
Cumulative
All figures are to month end [12/31/2007]
unless otherwise indicated
** Year to date begins January 3 2006
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 January 4 2008
(updated between 9.15pm and 9.45pm UK)