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Sprott PHYs Silver

PSLV

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About

Name
Sprott Physical Silver Trust
Index tracked
Bloomberg SILV Comdty Spot Price Sp USD
Type
Real Assets
Expense ratio
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Management fee
0.62%
Dividend policy
None
NAV
USD 27.63 (03/16/2026)
Issued units
631.85M (07/07/2026)
Listing date
Oct 29, 2010
Sponsor
Sprott Asset Management LP
Custodian
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