ETF Quickrank

 NameMorningstar® CategoryMorningstar
Rating™
YTD
Return
%
Ongoing ChargeLast
Close
 Amundi Physical Gold ETC C GBPCommodities - Precious MetalsNot Rated18.05-7,610.38GBX
 Amundi Physical Gold ETC C USDCommodities - Precious MetalsNot Rated18.06-94.75USD
 Gold Bullion SecuritiesCommodities - Precious MetalsNot Rated18.26-220.32USD
 Gold Bullion Securities EURCommodities - Precious MetalsNot Rated17.17-205.77EUR
 Gold Bullion Securities GBPCommodities - Precious MetalsNot Rated17.68-17,613.00GBX
 Invesco Physical Gold ETCCommodities - Precious MetalsNot Rated18.14-230.00USD
 Invesco Physical Gold ETC GBPCommodities - Precious MetalsNot Rated18.05-18,480.00GBX
 Invesco Physical Gold ETC GBP HedgedCommodities - Precious MetalsNot Rated15.10-5,313.00GBX
 Invesco Physical Palladium ETCCommodities - Precious MetalsNot Rated-4.59-99.90USD
 Invesco Physical Palladium ETC GBPCommodities - Precious MetalsNot Rated-5.00-7,991.00GBX
 Invesco Physical Platinum ETCCommodities - Precious MetalsNot Rated-3.01-91.10USD
 Invesco Physical Platinum ETC GBPCommodities - Precious MetalsNot Rated-3.08-7,316.00GBX
 Invesco Physical Silver ETCCommodities - Precious MetalsNot Rated22.98-27.34USD
 Invesco Physical Silver ETC GBPCommodities - Precious MetalsNot Rated22.97-2,196.00GBX
 iShares Physical Gold ETCCommodities - Precious MetalsNot Rated18.12-46.39USD
 iShares Physical Gold ETC EURCommodities - Precious MetalsNot Rated18.38-43.60EUR
 iShares Physical Gold ETC GBPCommodities - Precious MetalsNot Rated18.06-3,726.00GBX
 iShares Physical Gold GBP Hedged ETCCommodities - Precious MetalsNot Rated15.15-38.66GBP
 iShares Physical Palladium ETCCommodities - Precious MetalsNot Rated-5.24-29.84USD
 iShares Physical Palladium ETC GBPCommodities - Precious MetalsNot Rated-5.01-2,396.50GBX
Total Results: 56
1-20 of 56First | Previous | Next | Last
Fund prices are updated every weekday after the close of trading and before 11 p.m. wherever possible. Performance figures are presented in British Pounds (GBP). Fund returns are based upon Nav to Nav or Bid to Bid income reinvested basis. UK-domiciled funds report after-tax dividends. Non-UK-domiciled funds report gross dividends.
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