Not Registered? Register Now.

1. My Profile >2. Additional Information

By submitting below you certify that you have read and agree to our privacy policy.


WisdomTree Physical Precious Metals

WisdomTree Physical Precious Metals is designed to offer security holders a simple and cost-efficient way to access the precious metals market by providing a return equivalent to the movements in the spot prices of four precious metals less the applicable management fee.
WisdomTree Physical Precious Metals is backed by physical allocated precious metals held by HSBC Bank plc (the custodian). Only metal conforming with following rules can be accepted by the custodian: the London Bullion Market Association's (LBMA) rules for Good Delivery for Gold and Silver and the London Platinum and Palladium Association's (LPPM) rules for Good Delivery for Platinum and Palladium. Each physical bar is segregated, individually identified and allocated.

*Formerly ETFS Physical PM Basket

Fund Overview
Base Currency USD
Currency hedged No – this product is not protected against adverse currency movements
Daily Change (01 Apr 2020) -2.04%
Leverage Factor N/A
Metals Lending No
Physical delivery No
Price (NAV) (01 Apr 2020) $124.40
Underlying Exposure Physically backed with allocated metal subject to LBMA and LPPM rules for Good Delivery
Vault Inspector Inspectorate International (Vault inspected 2x per annum)
Vault Location London
Net Asset Value As of 01 Apr 2020
NAV €113.88
Daily Change -€1.86
Daily Return -1.61%
Total AUM of fund €131,871,888.10
Shares Outstanding 1,157,892
Gold 44,032 troy oz
Silver 1,303,908 troy oz
Platinum 10,866 troy oz
Palladium 21,732 troy oz
Domicile Jersey
Replication method Physical - backed by bullion
Legal form Debt security
Legal structure ETC
Legal Tax
ISA Eligible
Sharia compliant Yes
Securities regulator Financial Conduct Authority (FCA UK)
UCITS Eligible Eligible
UK Reporting Status Yes
Key Service Providers
Custodian HSBC Bank plc
Trustee The Law Debenture Trust Corporation p.l.c.
Issuer WisdomTree Metal Securities Limited
Registrar Computershare Investor Services (Jersey) Ltd
MER 0.44%
Entry / Exit fees None when traded on Exchange
Passported Countries
Austria Austria
Belgium Belgium
Denmark Denmark
Spain Spain
United Kingdom

Listings & Codes

Listings & Codes


i The above chart presents information about the difference between the daily market price for shares of the Fund and the Fund's net asset value. The market price is determined using the midpoint between the highest bid and the lowest offer on the listing exchange, as of the time that the Fund's NAV is calculated (usually 4:00 p.m. eastern time for most Funds). The vertical axis of the chart shows the premium or discount expressed as a percentage of mid-point.

Performance is total return based on the growth of a hypothetical 10K based unit value net of fees using daily NAV. Historical performance is not an indication of future performance and any investments may go down in value.
Index Details

Spot Precious Metal LBMA and LPPM specifications


Each individual WisdomTree Physical Precious Metals security has an effective entitlement to a basket of physical precious metals, and that entitlement changes daily to reflect the accrual of the management fee.

Authorised Participants create and redeem WisdomTree Physical Precious Metals securities by delivering or receiving precious metals that conforms to the LBMA and LPPM Good Delivery standards.

WisdomTree Physical Precious Metals securities are traded on exchange with a price that is based on the spot price of the individual precious metals multiplied by the applicable metal entitlement.


Index Details

Index Details
Index Name Spot Precious Metal LBMA and LPPM specifications
Index Provider LPPM / LBMA
Index Constituent Count 4
Currency USD
Bloomberg Ticker n.a
Reuters Index Ticker n.a.
Index Website ,
No Data To Display

Historical Data

The products discussed in this document are issued by WisdomTree Metal Securities Limited (the "Issuer"). The Issuer is regulated by the Jersey Financial Services Commission. Investors should read the prospectus of the Issuer before investing and should refer to the section of the prospectus entitled ‘Risk Factors’ for further details of risks associated with an investment in the securities offered by the Issuer.

Securities issued by the Issuer are direct, limited recourse obligations of the Issuer alone and are not obligations of or guaranteed by any of HSBC Bank plc and JP Morgan Chase Bank, N.A. any of their affiliates or anyone else or any of their affiliates. Each of HSBC Bank plc and JP Morgan Chase Bank, N.A. disclaims all and any liability whether arising in tort, contract or otherwise which it might have in respect of this document or its contents otherwise arising in connection herewith.