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iShares (BlackRock) · IE00B4ND3602

iShares Physical Gold ETC

Physical · fullAcc

A secured, exchange-traded commodity backed by allocated physical gold held in vaults — not a fund, but the largest and most liquid gold ETC on European exchanges.

TER0.12%per year
Fund size
EUR32.7bn
Replication
Physical (full replication)
Distribution
Accumulating
Currency hedged
No
Benchmark
Gold spot price (LBMA)
Region
Global
Domicile
Ireland
Inception
8 April 2011

Data as of 18 August 2026 · Source: iShares (BlackRock) fund page

Frequently asked questions

What is the TER of iShares Physical Gold ETC?

iShares Physical Gold ETC has a total expense ratio (TER) of 0.12% per year, as reported by iShares (BlackRock).

Is iShares Physical Gold ETC accumulating or distributing?

It is accumulating. Income from the underlying holdings is reinvested in the fund rather than paid out to investors.

Where is iShares Physical Gold ETC domiciled?

iShares Physical Gold ETC is domiciled in Ireland and structured as a UCITS fund, ISIN IE00B4ND3602.

How does iShares Physical Gold ETC replicate its index?

It uses physical (full replication) to track the Gold spot price (LBMA).

How big is iShares Physical Gold ETC?

As of the data on this page, iShares Physical Gold ETC has approximately EUR32.7bn in assets under management.

How do I find iShares Physical Gold ETC on IBKR?

Search IBKR's contract search by ISIN (IE00B4ND3602) or ticker. It commonly trades on London Stock Exchange under SGLN in USD. UCITS funds often have multiple listings across exchanges and currencies, so confirm the exact contract before trading.

Find this on IBKR

Search IBKR’s contract lookup by ISIN for the most reliable match, then choose the exchange and currency listing you want.

IE00B4ND3602
  • London Stock ExchangeSGLN · USD

UCITS funds are frequently cross-listed on several exchanges in different currencies. Confirm the exact contract in your IBKR platform before trading.

This page is independent research, not investment advice. Fund data is sourced from public issuer factsheets — always confirm current figures and the exact exchange listing in your own platform before investing. Capital at risk. See our methodology.