Item 5. Market for Registrant’s Common Equity
Item
5. Market for Registrant’s Common Equity, Related Stockholder Matters and Issuer Purchases of Equity Securities
The
Trust was formed on January 11, 2018 (the “Date of Inception”) following an initial deposit of platinum. The Trust’s
Shares have been listed on the NYSE Arca under the symbol PLTM since its initial public offering on January 18, 2018. The following tables
set out the range of high and low closing prices for the Shares as reported for NYSE Arca transactions for each of the quarters during
the fiscal year ended June 30, 2026:
Fiscal
Year Ended June 30, 2026: Quarter Ended
High
Low
September 2025
$ 15.43
$ 12.47
December 2025
$ 23.32
$ 14.52
March 2026
$ 26.71
$ 17.49
June 2026
$ 20.65
$ 14.94
The
number of outstanding Shares of the Trust as of August 13, 2026 was 10,900,000.
Fiscal
Year Ended June 30, 2026: Monthly Share Price
The
following table sets forth, for each month since inception, the high and low closing prices of the Shares, as reported for NYSE Arca
transactions.
High
Low
July 2025
$ 14.11
$ 12.47
August 2025
$ 13.26
$ 12.65
September 2025
$ 15.43
$ 13.14
October 2025
$ 16.48
$ 14.84
November 2025
$ 16.19
$ 14.52
December 2025
$ 23.32
$ 15.80
January 2026
$ 26.71
$ 20.56
February 2026
$ 22.75
$ 19.18
March 2026
$ 22.17
$ 17.49
April 2026
$ 20.44
$ 18.05
May 2026
$ 20.65
$ 18.44
June 2026
$ 18.60
$ 14.94
Issuer
Purchase of Shares
The
Trust issues and redeems Shares only with Authorized Participants in exchange for platinum, only in aggregations of 50,000 Shares or
integral multiples thereof. A list of current Authorized Participants is available from the Sponsor or the Trustee and is included in
Item 7 of this report. Although the Trust does not purchase Shares directly from its Shareholders in connection with the redemption of
Baskets, the Trust redeemed as follows during the fiscal year ended June 30, 2026:
Month
Total number of
Shares redeemed
Average ounces of
platinum per Share
July 2025
-
-
August 2025
50,000
0.0096293
September 2025
-
-
October 2025
100,000
0.0096215
November 2025
-
-
December 2025
-
-
January 2026
-
-
February 2026
-
-
March 2026
2,500,000
0.0096026
April 2026
-
-
May 2026
750,000
0.0095958
June 2026
400,000
0.0095894
Total
3,800,000
0.0096007
29
Item
6. Selected Financial Data
The
following selected financial data for the reporting periods should be read in conjunction with the Trust’s financial statements
and related notes and Management’s Discussion and Analysis of Financial Condition and Results of Operations.
June 30, 2026
June 30, 2025
(Amounts in 000’s of US$, except per Share data)
Total assets
$ 163,840
$ 88,487
Total gain / (loss) on platinum
$ (6,068 )
$ 20,328
Change in net assets from operations
$ (6,998 )
$ 20,085
Weighted average number of Shares (in 000’s)
10,375
5,057
Net increase / (decrease) in net assets per Share
$ (0.67 )
$ 3.97
Text extracted from the filing as submitted to EDGAR. Formatting, tables and exhibits are simplified for reading; the original document is authoritative for anything you rely on.