Skip to main content
iShares Silver Trust logo

iShares Silver Trust — Investor Relations & Filings

Ticker · SLV ISIN · US46428Q1094 LEI · 549300K2C2CG14B0ZA09 US Financial and insurance activities
Filings indexed 265 across all filing types
Latest filing 2026-05-07 Regulatory Filings
Country US United States of America
Listing US SLV

About iShares Silver Trust

https://www.ishares.com/us/products/239…

The iShares Silver Trust is a grantor trust designed to provide investors with a convenient and cost-effective method to gain exposure to the price of silver. The Trust's objective is to reflect the performance of the price of silver bullion, less its expenses. To achieve this, the Trust holds physical silver bullion in secure vaults. Each share of the Trust represents a fractional, undivided beneficial interest in the net assets of the Trust, which consist primarily of the silver held by a custodian. This structure allows investors to access the silver market without the logistical challenges associated with the purchase, storage, and insurance of physical metal. The investment is often used for portfolio diversification or as a potential hedge against inflation.

Recent filings

Filing Released Lang Actions
IRANNOTICE - iShares Silver Trust (0001330568) (Filer)
Regulatory Filings
2026-05-07 English
10-Q - iShares Silver Trust (0001330568) (Filer)
Interim / Quarterly Report
2026-05-07 English
8-K - iShares Silver Trust (0001330568) (Filer)
Regulatory Filings
2026-03-31 English
10-K - ISHARES SILVER TRUST (0001330568) (Filer)
Annual Report FY 2025
2026-02-27 English
Net Asset Value(s)
Net Asset Value Classification · 100% confidence The document is a standard regulatory announcement from the London Stock Exchange's RNS service providing the daily Net Asset Value (NAV) for the iShares Physical Silver ETC. It explicitly lists 'NAV PER SHARE', 'DEALING DATE', and 'NUMBER OF SHARES IN ISSUE', which are the defining characteristics of a NAV update filing.
2026-01-23 English
Net Asset Value(s)
Net Asset Value Classification · 100% confidence The document is a standard regulatory announcement from the London Stock Exchange's RNS service providing the Net Asset Value (NAV) for the iShares Physical Silver ETC. It explicitly lists 'NAV PER SHARE', 'FUND', and 'DEALING DATE', which are characteristic of a periodic NAV update for an investment fund.
2026-01-16 English

Report missing filing

Can't find a specific document? Let us know and we'll add it within 24 hours.

We will notify you once the filing is added.
Report sent
Thank you. We will check the data and update it shortly.