Investment opportunities through Exchange Traded Funds

FinEx Gold ETF

Basic Information
Asset classCommodity
Product typeRetail & Institutional
Inception date03.09.2013
Fund base currencyUSD
Reference indexLBMA Gold Price PM USD
Reporting frequencySemi-Annually
Use of incomeNot Applicable
Minimum purchase1 share
Fund domicileIreland
Replication basisPhysical
Trading taxesNo UK stamp duty or SDRT
CFICEOGCS
Fee
Total expense ratio0.45%
Risk Information
Annual volatility13.77%
Annual volatility timeframe03.09.2013 - 08.05.2024
Tracking error0.25%
Tracking error timeframe03.09.2013 - 08.05.2024
NAV summary (03.09.2013 - 08.05.2024)
Unit NAV1.54
Unit class currency(NAV)USD
Fund AUM173 358 094
Shareclass AUM173 358 094
Shares in issue112 384 500
Structure
Replication methodFull replication
Security lending