Fund Description |
The GraniteShares Platinum Trust is designed to seek the performance of the price of the price platinum, less trust expenses. |
Fund Profile |
Fund Name |
GraniteShares Platinum Trust |
Fund Exchange Ticker |
PLTM |
Fund Sponsor |
GraniteShares |
Fund ISIN |
US38748T1034 |
Net Expense Ratio |
0.72 % |
Fund Inception Date |
19 January 2018 |
Fund Legal Structure |
Grantor Trust |
Exchange |
NYSE Arca |
Listing Country Code |
US |
Fund Investment Objective |
ETF Type Specific |
Commodities & Metals - Gold / Metals |
Asset Class |
Commodities & Metals |
Index Linked |
Passive |
Index Name |
Platinum Spot |
Index Provider |
Not Applicable |
Currency Hedged |
No |
Inverse / Leveraged |
Not Applicable |
Developed / Emerging |
Funds Combining Developed & Emerging Exposure |
Commodity Types |
Gold / Metals |
Key Statistics |
Return As of Date |
11 August 2022 |
Asset Under Management |
47.27 Million (USD) |
1 Month Total Return |
12.31 % |
Year To Date Return |
-0.78 % |
1 Year Total Return |
-6.75 % |
3 Year Annualized Total Return |
3.82 % |
NAV |
9.453 |
Share Outstanding |
5,000,000 |