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ETFS Silver

Investment objective
Daily security data
Key facts
Trading information
Allocation
Download fact sheet

Investment objective

ETFS Silver (SLVR) is designed to track the DJ-AIG Silver Sub-IndexSM and pays a capitalised interest return which cumulates daily. The Sub-Index is an "excess return" index and the interest component combines to give a total return investment.


Daily security data


Click here for information on how NAV is determined
Click here to view the latest LSE trading and price performance


Key facts

Inception date September '06
Management fee 0.49% p.a.
Currency USD
Minimum investment One security
Type of security Secured, undated, zero-coupon note
Taxes No stamp duty or SDRT
Index DJ-AIG Silver Sub-IndexSM


Trading information

Exchange London Stock Exchange
Exchange code SLVR
Bloomberg code SLVA LN < Equity >
Reuters code SLVR.L
SEDOL B15KY32
ISIN GB00B15KY328


Allocation

The NAV (Net Asset value) of each Individual Commodity Security is calculated in the following way: Individual Commodity Index * Multiplier / 10.

Each Individual Commodity Index is available on the following website: www.djindexes.com

The NAV of Individual Commodity Securities will be a true NAV if the relevant DJ-UBS individual commodity feed was sourced on a Pricing Day. If it is not a Pricing Day (due to Holiday or a Market Disruption Day), then the NAV shown will be an indicative NAV.

More details can be obtained on the detailed pricing page for ETFS Commodity Securities




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