Market Price
—
USD · LSE
1-Day Return
—
—
NAV
—
—
AUM
-
Total Assets
Expense Ratio
0.25%
TER · Annual
Holdings
—
Top 10: 47.2%
52W Range
—
—
NR Score
0/100
Q2 2026 · Watch
$0.00+NaN%(1Y)
Last updated: 18 Apr 2026 · Market prices · USD
Analyst OverviewQ2 2026
Coverage pending. NR Scorecard analysis in progress.
Fund Details
ProviderRoyal Mint
Inception Date
ExchangeLSE
StructureETC
Benchmark IndexGold Spot Price (LBMA)
Rebalance FrequencyQuarterly
Distribution PolicyAccumulating
DomicileUK
CurrencyUSD
ISIN