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Financial Highlights (unaudited)
3 Months Ended
Mar. 31, 2019
USD ($)
$ / shares
[1]
Financial Highlights [Abstract]  
Net asset value per share, beginning of period $ 12.81
Net investment loss (0.01) [2]
Net realized and unrealized gain (loss) on investment in gold 0.14
Change in net assets from operations 0.13
Net asset value per share, end of period $ 12.94
Total return, at net asset value 1.03% [3]
Net assets | $ $ 107,397,000 [3]
Ratio to average net assets  
Net investment loss (0.18%) [4]
Total expenses (0.18%) [4]
[1] No comparative financial statements have been provided as the Trust's operations commenced on July 26, 2018.
[2] Calculated using average shares outstanding.
[3] Not Annualized.
[4] Annualized.