FT.com / Managed Funds
ft.com/
managedfunds
All times are London time
Welcome
Your Account
Sign Out
Sign in
Site tour
Register free
Sign in
Site tour
Register free
News
Search within:
News
Quotes
Articles
Quotes
Front page
World
Companies
Markets
Markets Data
Managed funds home
Lex
FT Alphaville
Comment
Technology
Video & Audio
More...
Managed funds
ETFs
ETF Analytics
Fund Comparison
Fund Screener
Portfolio
Daily fund focus
FTfm
User name
Password
Remember me on this computer
Help,
I forgot my username or password
Funds
>
Smith & Williamson
>
Smith & Williamson Investment Management
> Smith & Williamson Global Gold and Resource RetI Inc NAV
Fund Directory
Fund Quick Search
Sector Analysis
Fund Screener
Fund Directory
Fund Quick Search
All UK and Offshore funds
UK funds
Offshore funds
Exchange Traded Funds
Sector Analysis
UK Unit Trusts and OEICS
UK Pension Funds
UK Insurance Funds
Select a category to view...
£ Corporate Bond
£ High Yield
£ Strategic Bond
Absolute Return
Active Managed
Asia Pacific Excluding Japan
Asia Pacific Including Japan
Balanced Managed
Cautious Managed
Europe Excluding UK
Europe Including UK
European Smaller Companies
Global Bonds
Global Emerging Markets
Global Growth
Guaranteed/Protected Funds
Japan
Japanese Smaller Companies
Money Market
North America
North American Smaller Companies
Personal Pensions
Property
Specialist
Technology & Telecommunications
UK All Companies
UK Equity & Bond Income
UK Equity Income
UK Equity Income & Growth
UK Gilts
UK Index Linked Gilts
UK Smaller Companies
UK Zeros
Loading...
Smith & Williamson Global Gold and Resource RetI Inc NAV
View PDF
Print
More Docs
Add to Portfolio
Analyse ETFs
Select Fund(0)
Compare Now
262.20
GBX
Nav
-0.20
/
-0.08%
Change / % Change**
282.10
-
99.34
52 Week Range
+140.00
+114.57%
52 Week Change
Latest Price Information as at:
06/11/2009
Summary
Performance
Risk
History
Ratings
News
Assets & Holdings
Loading
Loading
Loading
Price and Dividend History
At a glance
Price and Dividend History
Charting Information
Price History
Start Date:
End Date:
Updating...
06/11/2008
06/11/2009
% Change
Change
Nav (GBX)
122.20
262.20
+114.57
+140.00
Dividend History
This fund has no dividends to display.
Loading
Loading
Loading
Interactive
Video
Blogs
Podcasts
Interactive graphics
Tools
Portfolio
FT Lexicon
FT clippings
Currency converter
MBA rankings
Today's newspaper
Updates
Keyword alerts
Daily briefings
FT on your mobile
Share prices on your phone
RSS feeds
Quick links
Special reports
Mergermarket
How to spend it
Services
Subscriptions
Corporate packages
Syndication
Conferences
Jobs
Businesses for sale
Contracts & tenders
UK annual reports
Analyst research
Company announcements
Order printed annual reports
Fund Newspaper Listings