Sprott Physical Silver Trust Dossier
Outlook & Key Dates
Estimates, guidance, catalysts, and upcoming events
Analyst Estimates Learn more →
No analyst estimates are published for this company.
Coverage varies across the market: larger companies are often followed by dozens of analysts, while smaller or recently listed ones may have none.
Monitoring Framework
Key Performance Indicators
Net Asset Value (NAV) per Unit Daily23
Premium / Discount to NAV Daily-7.4
Total Ounces of Physical Silver Held Daily215.6M
Management Expense Ratio (MER) Annually51.0%
Watch Items
- Silver Spot Price VolatilityTrigger: Correction of 20% or more from recent highsAction: Assess impact on trust net asset value and investor redemption requests.
- Trust Premium/Discount DivergenceTrigger: Discount widening beyond -10%Action: Monitor market liquidity and evaluate potential arbitrage or marketing initiatives to support unit pricing.
Research as of 2 Sep 2026