Ishares silver trust prospectus

Gold is the granddaddy of precious metals, at least from an investment perspective. But other precious metals such as platinum and silver have their own place in a savvy investor’s portfolio.

Net Asset Value (NAV) is determined as specified in the prospectus : the iShares Silver Trust's silver and other assets are valued on the basis of each day's announced LBMA Silver Price. All references to LBMA Silver Price are used with the permission of ICE Benchmark Administration Limited and have been provided for informational purposes only. The iShares Silver Trust (the “Trust”) issues shares (“Shares”) representing fractional undivided beneficial interests in its net assets. The assets of the Trust consist primarily of silver held by a custodian on behalf of the Net Asset Value (NAV) is determined as specified in the prospectus : the iShares Silver Trust's silver and other assets are valued on the basis of each day's announced LBMA Silver Price. All references to LBMA Silver Price are used with the permission of ICE Benchmark Administration Limited and have been provided for informational purposes only. iShares Silver Trust exchange traded fund profile by MarketWatch. View key slv ETF statistics, ETF market cap and other ETF analysis data.

Find the latest iShares Silver Trust (SLV) stock quote, history, news and other vital information to help you with your stock trading and investing.

Snapshot for the ISHARES SILVER TRUST ETF (SLV), including recent quote, performance, objective, analyst opinions, and commentary. iShares Silver Trust (SLV) is not a typical ETF. As the prospectus notes, "The assets of the Trust consist primarily of silver held by a custodian on behalf of the  The latest iShares Physical Metals plc (SSLN) Physical Silver ETC share the Key Investor Information Document, Factsheet, Prospectus and any other relevant and is received from the Fund Management Company administering this fund. 21 Apr 2011 iShares Silver Trust (the “Silver Trust”) has filed a registration statement ( including a prospectus) with the SEC for the offering to which this  Net Asset Value (NAV) is determined as specified in the prospectus : the iShares Silver Trust's silver and other assets are valued on the basis of each day's announced LBMA Silver Price. All references to LBMA Silver Price are used with the permission of ICE Benchmark Administration Limited and have been provided for informational purposes only. The iShares Silver Trust (the “Trust”) issues shares (“Shares”) representing fractional undivided beneficial interests in its net assets. The assets of the Trust consist primarily of silver held by a custodian on behalf of the

While the investment objective stated in a fund's prospectus may or may not reflect how the fund actually invests, the Morningstar category is assigned based on 

Net Asset Value (NAV) is determined as specified in the prospectus : the iShares Silver Trust's silver and other assets are valued on the basis of each day's announced LBMA Silver Price. All references to LBMA Silver Price are used with the permission of ICE Benchmark Administration Limited and have been provided for informational purposes only. The iShares Silver Trust (the “Trust”) issues shares (“Shares”) representing fractional undivided beneficial interests in its net assets. The assets of the Trust consist primarily of silver held by a custodian on behalf of the Net Asset Value (NAV) is determined as specified in the prospectus : the iShares Silver Trust's silver and other assets are valued on the basis of each day's announced LBMA Silver Price. All references to LBMA Silver Price are used with the permission of ICE Benchmark Administration Limited and have been provided for informational purposes only.

The iShares® Silver Trust (the "Trust") is a grantor trust designed to provide investors with a simple and cost-effective method to gain exposure to the price of silver in an investment portfolio. The Trust holds silver bullion, and is designed to reflect, at any given time, the price of silver owned by the Trust at that time, less the Trust's expenses and liabilities.

Net Asset Value (NAV) is determined as specified in the prospectus : the iShares Silver Trust's silver and other assets are valued on the basis of each day's announced LBMA Silver Price. All references to LBMA Silver Price are used with the permission of ICE Benchmark Administration Limited and have been provided for informational purposes only.

iShares Silver Trust is offered by prospectus only. Read and consider the prospectus carefully before investing in any fund to ensure the fund is appropriate for your goals and risk tolerance. The prospectus contains complete information on advisory fees, distribution charges, and other expenses. Get a prospectus or report for this fund.

prospectus, including “Risk Factors” beginning on page 7, before making an investment decision about the iShares.

SPDR Gold Shares is part of the SPDR family of exchange-traded funds (ETFs) managed and marketed by State Street Global Advisors. For a few years, the fund was the second-largest exchange-traded fund in the with iShares Gold Trust ( NYSE Arca: IAU). There is also iShares Silver Trust (NYSE Arca: SLV). The iShares® Silver Trust (the 'Trust') seeks to reflect generally the should carefully consider the risk factors and other information included in the prospectus. The iShares Silver Trust (the “Trust”) issues shares (“Shares”) representing fractional approved or disapproved of the securities offered in this prospectus,   iShares Silver Trust (the "Silver Trust") has filed a registration statement ( including a prospectus) with the SEC for the offering to which this communication relates. prospectus, including “Risk Factors” beginning on page 7, before making an investment decision about the iShares. Find the latest iShares Silver Trust (SLV) stock quote, history, news and other vital information to help you with your stock trading and investing.