Sprott Physical Silver Trust (PSLV) Net Cash Flow (2025 - 2026)

Sprott Physical Silver Trust's quarterly Net Cash Flow came in at -$166.2 million in Q1 2026, down 188.73% year-on-year from $187.3 million in Q1 2025, and down 188.73% quarter-over-quarter from $187.3 million in Q1 2025.

Sprott Physical Silver Trust has reported Net Cash Flow for 2 years, with the latest figure at -$166.2 million in Q1 2026.

  • For the quarter ending Q1 2026, Net Cash Flow fell 188.73% year-over-year to -$166.2 million; the trailing twelve-month figure through Mar 2026 stood at $21.1 million (down 88.73% YoY), and the FY2025 full-year result was $189.2 million, up 4791.42% from the prior year.
  • Net Cash Flow for Q1 2026 stood at -$166.2 million, down from $187.3 million in the prior quarter.
  • The five-year high for Net Cash Flow was $187.3 million in Q1 2025, with the low at -$166.2 million in Q1 2026.

Historic Data

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DateValue
Mar 31, 2026 -166.15 Mn
Mar 31, 2026 -166.15 Mn
Mar 31, 2025 187.25 Mn
Mar 31, 2025 187.25 Mn