What is Share Silver


Share Silver Bar Structured Ownership Program


Stored at The Reserve, Singapore
Our program allows clients to participate in silver large bar institutional-grade silver bar through a structured allocation model.

Example - Each 1000oz bar is divided into 1000 individual ounces. Clients may purchase from a minimum of 1oz and accumulate over time. (If 100oz will be divided into 100 individual ounce)

1. Ownership Statement / Allocation Confirmation
Upon purchase, clients receive:
•⁠ ⁠Official Allocation Confirmation
•⁠ ⁠Bar Serial Number (e.g., A404)
•⁠ ⁠Allocated Quantity (e.g., 5oz / 25oz / 100oz)
•⁠ ⁠Vault Location: The Reserve, Singapore
•⁠ ⁠Date of Allocation
This confirms your proportional ownership in the specific serialized silver bar.

2. Physical Redemption Mechanism
Clients may request physical delivery once the minimum redemption threshold is met.
Redemption Tiers:
•⁠ ⁠10oz – Eligible for redemption into a 10oz silver bar
•⁠ ⁠100oz – Eligible for redemption into a 100oz silver bar
•⁠ ⁠1000oz – Eligible for full 1000oz bar withdrawal
If holdings are below 10oz, clients may continue accumulating until the minimum threshold is reached.

Important Notes:
•⁠ ⁠Redemption is subject to fabrication and withdrawal fees
•⁠ ⁠Delivery or vault pickup options available
•⁠ ⁠Once redeemed, ounces will be deducted from allocated balance
•⁠ ⁠Redemption bars may carry different serial numbers depending on refinery availability

This structure provides flexibility for both small and large investors while maintaining institutional-grade backing.

3. Monthly Holding Statement
Clients receive a monthly statement showing:
•⁠ ⁠Total ounces held
•⁠ ⁠Serial Number reference
•⁠ ⁠Vault location
•⁠ ⁠Transaction summary (Buy / Sell / Add-on)
•⁠ ⁠Portfolio valuation based on current silver price
This ensures transparency and audit clarity.

4. Real-Time Price Linked to Spot Silver
All buy/sell pricing is linked directly to live international silver spot prices.
•⁠ ⁠Transparent pricing formula
•⁠ ⁠No hidden spreads
•⁠ ⁠Updated in real time
•⁠ ⁠Reflects global market movement
Clients benefit from real market exposure.

5. Limited Batch Concept
Each silver bar is sold under a specific Serial Number.
Example:
Batch A404 – 1000oz total allocation
Once fully allocated:
A404 will be closed
Next batch (e.g., A405) will be opened

This creates:
•⁠ ⁠Clear inventory tracking
•⁠ ⁠Transparent allocation system
•⁠ ⁠Limited structured batches
Every batch is finite and fully traceable.

大型银条结构化持有计划
存放于新加坡 The Reserve 专业金库
本计划采用结构化分配模式,让客户参与共享投资银条。
例子 - 每条 1000oz 银条分成 1000 份单位,客户可从 1oz 起购,并持续累积。(如:100oz会分成100份单位)

1. 持有证明 / 分配确认
每次购买后,客户将获得:
•⁠ ⁠官方 Allocation Confirmation
•⁠ ⁠银条编号(如 A404)
•⁠ ⁠持有数量(如 5oz / 25oz / 100oz)
•⁠ ⁠存放地点:新加坡 The Reserve
•⁠ ⁠分配日期
确认您在该编号银条中的比例持有权。

2. 实体提取机制
当持有数量达到最低提取门槛时,可申请提取实体银条。
提取等级
•⁠ ⁠10oz – 可申请提取 10oz 银条
•⁠ ⁠100oz – 可申请提取 100oz 银条
•⁠ ⁠1000oz – 可提取整条 1000oz 银条
若持有少于 10oz,可继续累积至达标。


注意:
•⁠ ⁠提取需支付加工费及提货费用
•⁠ ⁠可选择金库自提或安排配送
•⁠ ⁠提取后,相应数量将从账户持仓中扣除
•⁠ ⁠提取银条编号可能根据当时供应情况而不同

此机制兼顾小额投资者与大额投资者需求,同时保持真实银条资产支持。


3. 每月持仓报告
每月提供持仓报表,内容包括:
•⁠ ⁠持有总数量
•⁠ ⁠对应银条编号
•⁠ ⁠存放地点
•⁠ ⁠交易记录(买入 / 卖出 / 增持)
•⁠ ⁠按实时银价计算之市值
确保透明与清晰记录。

4. 实时国际银价挂钩
所有买卖价格直接连接国际现货银价。
•⁠ ⁠价格透明
•⁠ ⁠实时更新
•⁠ ⁠反映全球市场走势
客户享有真实市场价格波动。

5. 限量批次编号概念
每条银条均以独立编号销售。
例如:
A404 批次 – 总 1000oz
当 A404 完全分配后:
该批次关闭
开启下一个编号(如 A405)


特点
•⁠ ⁠每批次数量固定
•⁠ ⁠清晰可追踪
•⁠ ⁠真实编号资产