Date | Issuer | Insider | Transaction | Amount | New Balance ⓘ
The balance of securities held by registered holder at the time of the transaction. Insiders may direct multiple registered holders and hold multiple security types.
|
|
---|---|---|---|---|---|---|
Filed 2016-01-25 Tx date 2016-01-15 |
$GTU
Central GoldTrust |
Sprott Asset Management LP
3 - 10% Security Holder of Issuer
Holder: Sprott Asset Management Gold Bid LP (Indirect Ownership)
|
Trust Units
00 - Opening Balance-Initial SEDI Report
|
|||
Filed 2016-01-25 Tx date 2016-01-15 |
$GTU
Central GoldTrust |
Sprott Asset Management LP
3 - 10% Security Holder of Issuer
Holder: Sprott Asset Management Gold Bid LP (Indirect Ownership)
|
Trust Units
22 - Acquisition or disposition pursuant to a take-over bid, merger or acquisition
|
$45,194,470
+3,479,174 vol $12.99 each |
3,479,174 | |
Filed 2016-01-25 Tx date 2016-01-15 |
$GTU
Central GoldTrust |
Sprott Asset Management LP
3 - 10% Security Holder of Issuer
Holder: Sprott Asset Management Gold Bid LP (Indirect Ownership)
|
Trust Units
38 - Redemption, retraction, cancellation, repurchase
|
$-45,194,457.27
-3,479,173 vol $12.99 each |
1 | |
Filed 2015-10-21 Tx date 2011-05-25 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$-748,458
-12,900 vol $58.02 each |
1,669,558 | |
Filed 2015-10-21 Tx date 2011-05-26 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$-463,667.20
-8,192 vol $56.60 each |
1,661,366 | |
Filed 2015-10-21 Tx date 2011-08-03 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
99 - Correction of information
|
+22,960 vol |
1,684,326 | |
Filed 2015-10-21 Tx date 2011-08-04 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$-12,733.50
-195 vol $65.30 each |
1,684,131 | |
Filed 2015-10-21 Tx date 2011-08-08 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$-190,266
-2,850 vol $66.76 each |
1,681,281 | |
Filed 2015-10-21 Tx date 2011-08-09 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$-395,136
-5,880 vol $67.20 each |
1,675,401 | |
Filed 2015-10-21 Tx date 2011-08-10 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
99 - Correction of information
|
+36,505 vol |
||
Filed 2015-10-21 Tx date 2011-08-10 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$72,064
+1,013 vol $71.14 each |
1,676,414 | |
Filed 2015-10-21 Tx date 2011-08-10 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$50,224
+706 vol $71.14 each |
1,677,120 | |
Filed 2015-10-21 Tx date 2011-08-10 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$584,913
+8,222 vol $71.14 each |
1,685,342 | |
Filed 2015-10-21 Tx date 2011-08-10 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$706,700
+10,000 vol $70.67 each |
1,695,342 | |
Filed 2015-10-21 Tx date 2011-08-10 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$982,514
+13,811 vol $71.14 each |
1,709,153 | |
Filed 2015-10-21 Tx date 2011-08-10 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$108,132
+1,520 vol $71.14 each |
1,710,673 | |
Filed 2015-10-21 Tx date 2011-08-10 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$202,037
+2,840 vol $71.14 each |
1,713,513 | |
Filed 2015-10-21 Tx date 2011-08-10 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$572,677
+8,050 vol $71.14 each |
1,721,563 | |
Filed 2015-10-21 Tx date 2011-08-10 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$35,625
+500 vol $71.25 each |
1,722,063 | |
Filed 2015-10-21 Tx date 2011-08-11 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$2,496,960
+36,000 vol $69.36 each |
||
Filed 2015-10-21 Tx date 2011-08-11 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$2,496,960
+36,000 vol $69.36 each |
1,758,243 | |
Filed 2015-10-21 Tx date 2011-08-19 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$18,737
+250 vol $74.95 each |
1,758,493 | |
Filed 2015-10-21 Tx date 2011-08-23 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$-467,080.77
-6,539 vol $71.43 each |
1,751,954 | |
Filed 2015-10-21 Tx date 2011-08-23 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$-993,734.16
-13,912 vol $71.43 each |
1,738,042 | |
Filed 2015-10-21 Tx date 2011-08-23 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$179,375
+2,500 vol $71.75 each |
1,740,542 | |
Filed 2015-10-21 Tx date 2011-08-25 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$114,902
+1,688 vol $68.07 each |
1,742,230 | |
Filed 2015-10-21 Tx date 2011-08-25 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$250,879
+3,740 vol $67.08 each |
1,745,970 | |
Filed 2015-10-21 Tx date 2011-09-13 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$-219,049.60
-3,080 vol $71.12 each |
1,742,890 | |
Filed 2015-10-21 Tx date 2011-09-14 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$-21,255.68
-304 vol $69.92 each |
1,742,586 | |
Filed 2015-10-21 Tx date 2011-09-14 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$-918,660.50
-13,105 vol $70.10 each |
1,729,481 | |
Filed 2015-10-21 Tx date 2011-09-14 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$-1,139,690.88
-16,272 vol $70.04 each |
1,713,209 | |
Filed 2015-10-21 Tx date 2011-09-14 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$-1,139,620.84
-16,271 vol $70.04 each |
1,696,938 | |
Filed 2015-10-21 Tx date 2011-09-14 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$-918,660.50
-13,105 vol $70.10 each |
1,683,833 | |
Filed 2015-10-21 Tx date 2011-09-14 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$7,009
+100 vol $70.10 each |
1,683,933 | |
Filed 2015-10-21 Tx date 2011-09-14 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$129,020
+1,840 vol $70.12 each |
1,685,773 | |
Filed 2015-10-21 Tx date 2011-09-14 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$56,096
+800 vol $70.12 each |
1,686,573 | |
Filed 2015-10-21 Tx date 2011-09-14 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$118,188
+1,686 vol $70.10 each |
1,688,259 | |
Filed 2015-10-21 Tx date 2011-09-14 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$1,287,316
+18,364 vol $70.10 each |
1,706,623 | |
Filed 2015-10-21 Tx date 2011-09-14 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$239,810
+3,420 vol $70.12 each |
1,710,043 | |
Filed 2015-10-21 Tx date 2011-09-15 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$-4,099,434.30
-60,021 vol $68.30 each |
1,650,022 | |
Filed 2015-10-21 Tx date 2011-09-23 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
99 - Correction of information
|
+150,747 vol |
1,800,769 | |
Filed 2015-10-21 Tx date 2011-05-18 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$-693,416.90
-12,485 vol $55.54 each |
||
Filed 2015-10-21 Tx date 2011-09-26 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$9,177,418
+140,607 vol $65.27 each |
1,941,376 | |
Filed 2015-10-21 Tx date 2011-08-22 |
$GTU
Central GoldTrust |
Smith, Maria Elizabeth
6 - Director or Senior Officer of 10% Security Holder
Direct Ownership
|
Trust Units
10 - Acquisition or disposition in the public market
|
$7,168
+100 vol $71.68 each |
200 | |
Filed 2015-10-21 Tx date 2011-09-26 |
$GTU
Central GoldTrust |
Smith, Maria Elizabeth
6 - Director or Senior Officer of 10% Security Holder
Direct Ownership
|
Trust Units
99 - Correction of information
|
+100 vol |
||
Filed 2015-10-21 Tx date 2011-09-26 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
99 - Correction of information
|
+183,133 vol |
||
Filed 2015-10-21 Tx date 2011-05-18 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$-693,416.90
-12,485 vol $55.54 each |
1,685,558 | |
Filed 2015-10-21 Tx date 2011-05-25 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$-179,211
-3,100 vol $57.81 each |
1,682,458 | |
Filed 2015-10-13 Tx date 2011-08-11 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$2,496,960
+36,000 vol $69.36 each |
1,758,243 | |
Filed 2015-10-13 Tx date 2011-09-26 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
99 - Correction of information
|
+183,133 vol |
1,941,376 | |
Filed 2015-10-13 Tx date 2011-09-28 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$-302.95
-5 vol $60.59 each |
1,941,371 | |
Filed 2015-10-13 Tx date 2011-10-11 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$375,744
+5,560 vol $67.58 each |
1,946,931 | |
Filed 2015-10-13 Tx date 2011-10-28 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$2,627,040
+39,000 vol $67.36 each |
1,985,931 | |
Filed 2015-10-13 Tx date 2011-12-22 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$316,546
+5,267 vol $60.10 each |
1,991,198 | |
Filed 2015-10-13 Tx date 2011-12-29 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$4,989,450
+87,000 vol $57.35 each |
2,078,198 | |
Filed 2015-10-13 Tx date 2012-03-23 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$-63,100
-1,000 vol $63.10 each |
2,077,198 | |
Filed 2015-10-13 Tx date 2010-06-16 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Direct Ownership
|
Trust Units
00 - Opening Balance-Initial SEDI Report
|
4,780 | ||
Filed 2015-10-13 Tx date 2012-05-15 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$1,932,289
+33,740 vol $57.27 each |
2,110,738 | |
Filed 2015-10-13 Tx date 2012-05-18 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$-3,556,462.56
-60,116 vol $59.16 each |
2,050,622 | |
Filed 2015-10-13 Tx date 2012-05-21 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$-8,258,591.04
-139,692 vol $59.12 each |
1,910,930 | |
Filed 2015-10-13 Tx date 2010-08-30 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Direct Ownership
|
Trust Units
10 - Acquisition or disposition in the public market
|
$19,464
+400 vol $48.66 each |
5,180 | |
Filed 2015-10-13 Tx date 2010-11-22 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Direct Ownership
|
Trust Units
10 - Acquisition or disposition in the public market
|
$-133,229.60
-2,590 vol $51.44 each |
2,590 | |
Filed 2015-10-13 Tx date 2010-11-23 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Direct Ownership
|
Trust Units
10 - Acquisition or disposition in the public market
|
$-134,498.70
-2,590 vol $51.93 each |
0 | |
Filed 2015-10-13 Tx date 2011-04-01 |
$GTU
Central GoldTrust |
Smith, Maria Elizabeth
6 - Director or Senior Officer of 10% Security Holder
Direct Ownership
|
Trust Units
00 - Opening Balance-Initial SEDI Report
|
100 | ||
Filed 2015-10-13 Tx date 2011-09-26 |
$GTU
Central GoldTrust |
Smith, Maria Elizabeth
6 - Director or Senior Officer of 10% Security Holder
Direct Ownership
|
Trust Units
99 - Correction of information
|
+100 vol |
200 | |
Filed 2015-10-13 Tx date 2012-04-13 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$-12,748
-200 vol $63.74 each |
2,076,998 | |
Filed 2015-10-13 Tx date 2010-06-16 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
00 - Opening Balance-Initial SEDI Report
|
1,825,771 | ||
Filed 2015-10-13 Tx date 2010-07-19 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$100,190
+2,150 vol $46.60 each |
1,827,921 | |
Filed 2015-10-13 Tx date 2010-07-21 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$162,400
+3,500 vol $46.40 each |
1,831,421 | |
Filed 2015-10-13 Tx date 2010-07-26 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$42,540
+920 vol $46.24 each |
1,832,341 | |
Filed 2015-10-13 Tx date 2010-07-27 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$265,087
+5,900 vol $44.93 each |
1,838,241 | |
Filed 2015-10-13 Tx date 2010-07-27 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$11,475
+250 vol $45.90 each |
1,838,491 | |
Filed 2015-10-13 Tx date 2010-09-03 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$48,700
+1,000 vol $48.70 each |
1,839,491 | |
Filed 2015-10-13 Tx date 2010-09-08 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$48,960
+1,000 vol $48.96 each |
1,840,491 | |
Filed 2015-10-13 Tx date 2010-09-09 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$48,460
+1,000 vol $48.46 each |
1,841,491 | |
Filed 2015-10-13 Tx date 2010-09-17 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$49,550
+1,000 vol $49.55 each |
1,842,491 | |
Filed 2015-10-13 Tx date 2010-09-20 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$43,454
+880 vol $49.38 each |
1,843,371 | |
Filed 2015-10-13 Tx date 2010-09-20 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$84,950
+1,720 vol $49.39 each |
1,845,091 | |
Filed 2015-10-13 Tx date 2010-09-23 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$-108,912.60
-2,187 vol $49.80 each |
1,842,904 | |
Filed 2015-10-13 Tx date 2010-09-28 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$105,231
+2,100 vol $50.11 each |
1,845,004 | |
Filed 2015-10-13 Tx date 2010-09-29 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$10,054
+200 vol $50.27 each |
1,845,204 | |
Filed 2015-10-13 Tx date 2010-10-04 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$50,034
+990 vol $50.54 each |
1,846,194 | |
Filed 2015-10-13 Tx date 2010-10-05 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$100,191
+1,950 vol $51.38 each |
1,848,144 | |
Filed 2015-10-13 Tx date 2010-10-13 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$78,495
+1,500 vol $52.33 each |
1,849,644 | |
Filed 2015-10-13 Tx date 2011-01-04 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$-280,518.09
-5,377 vol $52.17 each |
1,844,267 | |
Filed 2015-10-13 Tx date 2011-01-04 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$-912,658.56
-17,504 vol $52.14 each |
1,826,763 | |
Filed 2015-10-13 Tx date 2011-01-05 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$-607,248.32
-11,732 vol $51.76 each |
1,815,031 | |
Filed 2015-10-13 Tx date 2011-01-05 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$-379,954.11
-7,283 vol $52.17 each |
1,807,748 | |
Filed 2015-10-13 Tx date 2011-01-06 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$-338,537.92
-6,571 vol $51.52 each |
1,801,177 | |
Filed 2015-10-13 Tx date 2011-01-07 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$-337,289.43
-6,571 vol $51.33 each |
1,794,606 | |
Filed 2015-10-13 Tx date 2011-01-10 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$-504,398.40
-9,840 vol $51.26 each |
1,784,766 | |
Filed 2015-10-13 Tx date 2011-01-11 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$-15,426
-300 vol $51.42 each |
1,784,466 | |
Filed 2015-10-13 Tx date 2011-01-11 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$-86,916.70
-1,690 vol $51.43 each |
1,782,776 | |
Filed 2015-10-13 Tx date 2011-01-11 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$-515,400
-10,000 vol $51.54 each |
1,772,776 | |
Filed 2015-10-13 Tx date 2011-01-11 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$-1,471,982.40
-28,560 vol $51.54 each |
1,744,216 | |
Filed 2015-10-13 Tx date 2011-01-11 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$-1,947.88
-38 vol $51.26 each |
1,744,178 | |
Filed 2015-10-13 Tx date 2011-01-11 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$-348,478
-6,760 vol $51.55 each |
1,737,418 | |
Filed 2015-10-13 Tx date 2011-01-11 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$174,475
+3,380 vol $51.62 each |
1,740,798 | |
Filed 2015-10-13 Tx date 2011-01-13 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$-6,550.66
-127 vol $51.58 each |
1,740,671 | |
Filed 2015-10-13 Tx date 2011-01-25 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$437,880
+8,900 vol $49.20 each |
1,749,571 | |
Filed 2015-10-13 Tx date 2011-01-25 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$289,277
+5,900 vol $49.03 each |
1,755,471 | |
Filed 2015-10-13 Tx date 2011-04-04 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$-2,010,981.14
-37,358 vol $53.83 each |
1,718,113 | |
Filed 2015-10-13 Tx date 2011-04-04 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$-57,307.65
-1,065 vol $53.81 each |
1,717,048 | |
Filed 2015-10-13 Tx date 2011-04-04 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$-4,296.80
-80 vol $53.71 each |
1,716,968 | |
Filed 2015-10-13 Tx date 2011-04-27 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$-609,000
-10,500 vol $58.00 each |
1,706,468 | |
Filed 2015-10-13 Tx date 2011-05-05 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$-345,664
-6,400 vol $54.01 each |
1,700,068 | |
Filed 2015-10-13 Tx date 2011-05-09 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$-1,318,342.77
-23,141 vol $56.97 each |
1,676,927 | |
Filed 2015-10-13 Tx date 2011-05-09 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$1,204,245
+21,116 vol $57.03 each |
1,698,043 | |
Filed 2015-10-13 Tx date 2011-05-18 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$-693,416.90
-12,485 vol $55.54 each |
1,685,558 | |
Filed 2015-10-13 Tx date 2011-08-10 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
99 - Correction of information
|
+36,505 vol |
1,722,063 | |
Filed 2015-10-13 Tx date 2011-08-11 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$-123,097.86
-1,774 vol $69.39 each |
1,720,289 | |
Filed 2015-10-13 Tx date 2011-08-11 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$125,420
+1,819 vol $68.95 each |
1,722,108 | |
Filed 2015-10-13 Tx date 2011-08-11 |
$GTU
Central GoldTrust |
Smith Affiliated Capital Corp.
3 - 10% Security Holder of Issuer
Holder: Managed Accounts (Control or Direction)
|
Trust Units
10 - Acquisition or disposition in the public market
|
$9,336
+135 vol $69.16 each |
1,722,243 |