deListed Australia
 
SEARCH LISTED OR DELISTED COMPANY
Any AUS or NZ company

Browse Australian delisted companies

0-9 A B C D E F G H I J K L M N O P Q R S T U V W X Y Z

Browse terminated Australian managed funds

0-9 A B C D E F G H I J K L M N O P Q R S T U V W X Y Z
SEARCH PRIVATE COMPANY
SEARCH FUNDS

Find any Australian or New Zealand company or fund (dead or alive) by using SEARCH above or go directly to the site:

HHY FUND (ASX.HHY)

ASX Announcements (courtesy of ASX)

201720182019202020212022

ASX, Legal & CGT Status

SHARE PRICES

(updated at weekends)
Former (or subsequent) names
CompanyFROMTO
HHY FUND08/02/2017
HASTINGS HIGH YIELD FUND08/02/2017
Shareholder links
Our website ranking of HHY: rating 4
(4 out of 5)
COMPANY WEBSITE:

 

REGISTRY:
Boardroom Pty Ltd
Level 8, 210 George Street, Sydney NSW 2000
Tel : +61 2 9290 9600 or 1300 737 760
Fax : +61 2 9279 0664 or 1300 653 459
RegistryWebsite RegistryEmail

Company details
Address: Suite 613 Level 6 370 St Kilda Road Melbourne, Victoria 3004
Tel:  1300 553 431 Fax: (03) 8650 3701

Date first listed: 11/04/2005

Sector: N/A
Activities: Investment in high-yield securities

delisted following failure to pay the annual ASX listing fees per Listing Rule 17.15

29/08/2022

we understand the fund failed to pay to ASX Limited the annual listing fees for the year ending 30 June 2023

29/08/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 26 August 2022 was $0.0658.

29/08/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 25 August 2022 was $0.0656.

26/08/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 24 August 2022 was $0.0649.

25/08/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 23 August 2022 was $0.0643.

24/08/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 22 August 2022 was $0.0652.

23/08/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 19 August 2022 was $0.0659.

22/08/2022

Under Listing Rule 17.6, an entity (if not already suspended) that had not paid its annual listing fees by close of business on Friday, 19 August 2022 would have its securities suspended from Official Quotation before the commencement of trading on Monday, 22 August 2022. The following entity has failed to pay to ASX Limited the annual listing fees for the year ending 30 June 2023, and each entity's securities are already suspended from quotation. Under Listing Rule 17.15, any entity that has not paid its annual listing fees as required by Listing Rule 16.5 by 5.00 pm AEST on Friday, 26 August 2022 will be removed from the Official List with effect from the close of trading on Friday, 26 August 2022.

22/08/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 18 August 2022 was $0.0645.

19/08/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 17 August 2022 was $0.0647.

18/08/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 16 August 2022 was $0.0647.

17/08/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 15 August 2022 was $0.0646.

16/08/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 12 August 2022 was $0.0649.

15/08/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 11 August 2022 was $0.0649.

12/08/2022

The NTA backing of f the HHY Fund as of 31 July 2022 (after taking into account taxation on realised and unrealised gains where applicable) was as follows: 6.55 cents (31 July 2022); 6.31 cents (30 June 2022); 3.72% (monthly change%); 3.72% (FYTD change %).

10/08/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 9 August 2022 was $0.0650.

10/08/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 8 August 2022 was $0.0649.

09/08/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 5 August 2022 was $0.0666.

08/08/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 4 August 2022 was $0.0662.

05/08/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 3 August 2022 was $0.0660.

04/08/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 2 August 2022 was $0.0658.

03/08/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 1 August 2022 was $0.0662.

02/08/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 31 July 2022 was $0.0654.

01/08/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 27 July 2022 was $0.0641.

29/07/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 28 July 2022 was $0.0646.

29/07/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 26 July 2022 was $0.0644.

27/07/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 25 July 2022 was $0.0652.

26/07/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 22 July 2022 was $0.0652.

25/07/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 21 July 2022 was $0.0639.

22/07/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 20 July 2022 was $0.0640.

21/07/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 19 July 2022 was $0.0637.

20/07/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 18 July 2022 was $0.0638.

20/07/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 15 July 2022 was $0.0630.

18/07/2022

The NTA backing of the HHY Fund as of 30 June 2022 (after taking into account taxation on realised and unrealised gains where applicable) was as follows: 6.31 cents (30 June 2022); 6.62 cents (31 May 2022); -4.62% (monthly change); 4.55% (FYTD change %).

15/07/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 12 July 2022 was $0.0637.

13/07/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 11 July 2022 was $0.0637.

12/07/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 8 July 2022 was $0.0630.

11/07/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 7 July 2022 was $0.0638.

08/07/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 6 July 2022 was $0.0637.

07/07/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 5 July 2022 was $0.0638.

06/07/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 4 July 2022 was $0.0635.

05/07/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 1 July 2022 was $0.0634.

04/07/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 30 June 2022 was $0.0631.

01/07/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 29 June 2022 was $0.0634.

30/06/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 28 June 2022 was $0.0640.

29/06/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 27 June 2022 was $0.0636.

28/06/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 24 June 2022 was $0.0641.

27/06/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 23 June 2022 was $0.0636.

24/06/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 22 June 2022 was $0.0642.

23/06/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 21 June 2022 was $0.0652.

23/06/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 20 June 2022 was $0.0646.

21/06/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 17 June 2022 was $0.0652.

20/06/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 16 June 2022 was $0.0658.

17/06/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 15 June 2022 was $0.0665.

16/06/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 14 June 2022 was $0.0651.

15/06/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 10 June 2022 was $0.0655.

14/06/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 9 June 2022 was $0.0655.

10/06/2022

The unaudited net tangible asset backing of the e HHY Fund as of 31 May 2022 (after taking into account taxation on realised and unrealised gains where applicable) was as follows: 6.62 cents (31 May 2022); 6.81 cents (30 April 2022); -2.76% (monthly change); 9.61% (FYTD change %).

09/06/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 8 June 2022 was $0.0656.

09/06/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 7 June 2022 was $0.0658.

08/06/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 6 June 2022 was $0.0654.

07/06/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 3 June 2022 was $0.0652.

06/06/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 2 June 2022 was $0.0668.

03/06/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 1 June 2022 was $0.0663.

02/06/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 31 May 2022 was $0.0662.

01/06/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 30 May 2022 was $0.0653.

31/05/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 27 May 2022 was $0.0652.

30/05/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 26 May 2022 was $0.0646.

27/05/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 25 May 2022 was $0.0644.

26/05/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 24 May 2022 was $0.0662.

25/05/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 23 May 2022 was $0.0666.

24/05/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 20 May 2022 was $0.0674.

23/05/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 19 May 2022 was $0.0672.

20/05/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 18 May 2022 was $0.0673.

19/05/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 17 May 2022 was $0.0673.

18/05/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 16 May 2022 was $0.0646.

18/05/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 13 May 2022 was $0.0643.

16/05/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 12 May 2022 was $0.0666.

13/05/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 11 May 2022 was $0.0666.

12/05/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 10 May 2022 was $0.0666.

11/05/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 9 May 2022 was $0.0672.

10/05/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 6 May 2022 was $0.0677.

09/05/2022

The unaudited NTA backing of the HHY Fund as of 30 April 2022 (after taking into account taxation on realised and unrealised gains where applicable) was as follows: 6.81 cents (30 April 2022); 7.51 cents (31 March 2022); -9.32% (monthly change %); and 12.72% (FYTD change %).

06/05/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 5 May 2022 was $0.0663.

06/05/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 4 May 2022 was $0.0653.

05/05/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 3 May 2022 was $0.0669.

04/05/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 2 May 2022 was $0.0669.

03/05/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 29 April 2022 was $0.0681.

02/05/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 28 April 2022 was $0.0663.

29/04/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 27 April 2022 was $0.0663.

28/04/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 26 April 2022 was $0.0668.

27/04/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 22 April 2022 was $0.0672.

26/04/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 21 April 2022 was $0.0668.

22/04/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 20 April 2022 was $0.0673.

21/04/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 19 April 2022 was $0.0682.

20/04/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 14 April 2022 was $0.0681.

19/04/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 13 April 2022 was $0.0667.

14/04/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 12 April 2022 was $0.0682.

13/04/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 11 April 2022 was $0.0673.

12/04/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 8 April 2022 was $0.0665.

11/04/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 7 April 2022 was $0.0665.

08/04/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 6 April 2022 was $0.0769.

07/04/2022

The unaudited NTA backing of the HHY Fund as of 31 March 2022 (after taking into account taxation on realised and unrealised gains where applicable) was as follows: 7.51 cents (31 March 2022); 6.50 cents (28 February 2022); 15.54% (monthly change %); 24.31% (FYTD change %).

06/04/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 5 April 2022 was $0.0775.

06/04/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 4 April 2022 was $0.0770.

05/04/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 1 April 2022 was $0.0736.

04/04/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 31 March 2022 was $0.0751.

01/04/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 30 March 2022 was $0.0757.

31/03/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 29 March 2022 was $0.0752.

30/03/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 28 March 2022 was $0.0745.

29/03/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 25 March 2022 was $0.0740.

28/03/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 24 March 2022 was $0.0740.

25/03/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 23 March 2022 was $0.0740.

24/03/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 22 March 2022 was $0.0737.

23/03/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 21 March 2022 was $0.0737.

23/03/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 18 March 2022 was $0.0724.

21/03/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 17 March 2022 was $0.0667.

18/03/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 16 March 2022 was $0.0667.

17/03/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 15 March 2022 was $0.0667.

16/03/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 14 March 2022 was $0.0672.

15/03/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 11 March 2022 was $0.0684.

14/03/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 10 March 2022 was $0.0672.

11/03/2022

The unaudited NTA backing of the HHY Fund as of 28 February 2022 was as follows: 6.50 cents (28 February 2022); 6.71 cents (31 January 2022); -3.16% (monthly change %); 7.59% (FYTD change %).

10/03/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 9 March 2022 was $0.0661.

10/03/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 8 March 2022 was $0.0666.

09/03/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 7 March 2022 was $0.0664.

08/03/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 4 March 2022 was $0.0664.

07/03/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 3 March 2022 was $0.0658.

04/03/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 2 March 2022 was $0.0662.

03/03/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 1 March 2022 was $0.0663.

02/03/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 28 February 2022 was $0.0650.

01/03/2022

The company lodges its Half Year Accounts.

01/03/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 25 February 2022 was $0.0667.

28/02/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 24 February 2022 was $0.0652.

25/02/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 23 February 2022 was $0.0652.

24/02/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 22 February 2022 was $0.0658.

23/02/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 21 February 2022 was $0.0677.

22/02/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 18 February 2022 was $0.0670.

21/02/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 17 February 2022 was $0.0672.

18/02/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 16 February 2022 was $0.0670.

17/02/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 15 February 2022 was $0.0650.

16/02/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 14 February 2022 was $0.0666.

15/02/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 11 February 2022 was $0.0682.

14/02/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 10 February 2022 was $0.0674.

11/02/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 9 February 2022 was $0.0663.

10/02/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 8 February 2022 was $0.0648.

09/02/2022

The unaudited NTA backing of the HHY Fund as of 31 January 2022 (after taking into account taxation on realised and unrealised gains where applicable) was as follows: 6.71 cents (31 January 2022); 6.87 cents (31 December 2021); -2.27% (monthly change %); 11.10% (FYTD change %).

08/02/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 7 February 2022 was $0.0664.

08/02/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 4 February 2022 was $0.0665.

07/02/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 3 February 2022 was $0.0665.

04/02/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 2 February 2022 was $0.0643.

03/02/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 1 February 2022 was $0.0647.

02/02/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 31 January 2022 was $0.0668.

01/02/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 28 January 2022 was $0.0668.

31/01/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 27 January 2022 was $0.0653.

28/01/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 25 January 2022 was $0.0653.

27/01/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 24 January 2022 was $0.0659.

25/01/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 21 January 2022 was $0.0677.

24/01/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 20 January 2022 was $0.0682.

21/01/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 19 January 2022 was $0.0676.

20/01/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 18 January 2022 was $0.0687.

19/01/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 14 January 2022 was $0.0699.

17/01/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 13 January 2022 was $0.0694.

14/01/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 12 January 2022 was $0.0694.

13/01/2022

The unaudited NTA backing of the HHY Fund as of 31 December 2021 (after taking into account taxation on realised and unrealised gains where applicable) was as follows: 6.87 cents (31 December 2021); 6.47 cents (30 November 2021); 6.16% (monthly change %); 13.68% (FYTD change %).

12/01/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 11 January 2022 was $0.0696.

12/01/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 10 January 2022 was $0.0690.

11/01/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 7 January 2022 was $0.0684.

10/01/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 6 January 2022 was $0.0688.

10/01/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 5 January 2022 was $0.0687.

06/01/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 4 January 2022 was $0.0709.

05/01/2022

The Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 31 December 2021 was $0.0687.

04/01/2022

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 30 December 2021 was $0.0695.

31/12/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 29 December 2021 was $0.0669.

30/12/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 24 December 2021 was $0.0669.

29/12/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 23 December 2021 was $0.0660.

24/12/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 22 December 2021 was $0.0657.

23/12/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 21 December 2021 was $0.0641.

22/12/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 20 December 2021 was $0.0652.

21/12/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 17 December 2021 was $0.0648.

20/12/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 16 December 2021 was $0.0642.

17/12/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 15 December 2021 was $0.0645.

16/12/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 14 December 2021 was $0.0635.

15/12/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 13 December 2021 was $0.0635.

14/12/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 10 December 2021 was $0.0649.

13/12/2021

The unaudited NTA backing of the HHY Fund as of 30 November 2021 was as follows: NTA per unit: 6.47 cents (30 November 2021); 6.34 cents (31 October 2021); 2.05% (monthly change %); 7.08% (FYTD Change %).

10/12/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 9 December 2021 was $0.0630.

10/12/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 8 December 2021 was $0.0636.

09/12/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 7 December 2021 was $0.0630.

08/12/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 6 December 2021 was $0.0640.

07/12/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 3 December 2021 was $0.0637.

06/12/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 2 December 2021 was $0.0627.

03/12/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 1 December 2021 was $0.0647.

02/12/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 30 November 2021 was $0.0646.

01/12/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 29 November 2021 was $0.0645.

30/11/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 26 November 2021 was $0.0647.

29/11/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 25 November 2021 was $0.0655.

26/11/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 24 November 2021 was $0.0648.

25/11/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 23 November 2021 was $0.0642.

24/11/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 22 November 2021 was $0.0645.

23/11/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 19 November 2021 was $0.0642.

22/11/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 18 November 2021 was $0.0655.

19/11/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 17 November 2021 was $0.0660.

18/11/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 16 November 2021 was $0.0659.

17/11/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 15 November 2021 was $0.0653.

16/11/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 12 November 2021 was $0.0631.

15/11/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 11 November 2021 was $0.0638.

12/11/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 10 November 2021 was $0.0632.

11/11/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 9 November 2021 was $0.0647.

10/11/2021

The unaudited NTA backing of the HHY Fund as of 31 October 2021 (after taking into account taxation on realised and unrealised gains where applicable) was as follows: 6.34 cents (31 October 2021); 6.03 cents (30 September 2021); 5.14% (monthly change %); 4.45% (FYTD change %).

09/11/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 8 November 2021 was $0.0662.

09/11/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 5 November 2021 was $0.0655.

08/11/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 4 November 2021 was $0.0658.

05/11/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 3 November 2021 was $0.0653.

04/11/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 2 November 2021 was $0.0649.

03/11/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 1 November 2021 was $0.0632.

02/11/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 29 October 2021 was $0.0634.

01/11/2021

The company releases its Appendix 4G and Corporate Governance Statement.

29/10/2021

The company lodges its Full Year Statutory Accounts.

29/10/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 28 October 2021 was $0.0639.

29/10/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 27 October 2021 was $0.0637.

28/10/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 26 October 2021 was $0.0634.

27/10/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 25 October 2021 was $0.0633.

27/10/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 22 October 2021 was $0.0621.

25/10/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 21 October 2021 was $0.0616.

22/10/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 20 October 2021 was $0.0619

21/10/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 19 October 2021 was $0.0622.

20/10/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 18 October 2021 was $0.0618.

19/10/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 15 October 2021 was $0.0615.

18/10/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 14 October 2021 was $0.0615.

15/10/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 13 October 2021 was $0.0613.

14/10/2021

The unaudited NTA backing of the HHY Fund as of 30 September 2021 (after taking into account taxation on realised and unrealised gains where applicable) was as follows: 6.03 cents (30 September 2021); 6.20 cents (31 August 2021); -2.78% (monthly change %); and -0.60% (FYTD change %).

13/10/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 12 October 2021 was $0.0613.

13/10/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 11 October 2021 was $0.0622.

12/10/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 8 October 2021 was $0.0613.

11/10/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 7 October 2021 was $0.0614.

08/10/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 6 October 2021 was $0.0605.

07/10/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 5 October 2021 was $0.0596.

06/10/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 4 October 2021 was $0.0603.

05/10/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 1 October 2021 was $0.0600.

04/10/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 30 September 2021 was $0.0603.

01/10/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 29 September 2021 was $0.0593.

30/09/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 28 September 2021 was $0.0604.

29/09/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 27 September 2021 was $0.0616.

28/09/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 24 September 2021 was $0.0604.

27/09/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 23 September 2021 was $0.0620.

24/09/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 22 September 2021 was $0.0617.

23/09/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 21 September 2021 was $0.0616.

22/09/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 20 September 2021 was $0.0621.

21/09/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 17 September 2021 was $0.0620.

20/09/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 16 September 2021 was $0.0621.

17/09/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 15 September 2021 was $0.0616.

16/09/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 14 September 2021 was $0.0639.

15/09/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 13 September 2021 was $0.0639.

14/09/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 10 September 2021 was $0.0616.

13/09/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 9 September 2021 was $0.0612.

10/09/2021

The unaudited NTA backing of the HHY Fund as at 31 August 2021 was as follows: 6.20 cents (31 Aug 2021); 6.00 cents (31 July 2021); 3.33% (monthly change %); 2.14% (FTYD change %).

09/09/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 8 September 2021 was $0.0612.

09/09/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 7 September 2021 was $0.0612.

08/09/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 6 September 2021 was $0.0615.

07/09/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 3 September 2021 was $0.0620.

06/09/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 2 September 2021 was $0.0610.

03/09/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 1 September 2021 was $0.0623.

02/09/2021

The company lodges its Preliminary Final Report.

01/09/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 31 August 2021 was $0.0620.

01/09/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 30 August 2021 was $0.0614.

31/08/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 27 August 2021 was $0.0621.

30/08/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 26 August 2021 was $0.0621.

27/08/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 25 August 2021 was $0.0627.

26/08/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 24 August 2021 was $0.0617.

25/08/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 23 August 2021 was $0.0619.

24/08/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 20 August 2021 was $0.0614.

23/08/2021

The company has failed to pay to ASX Limited the annual listing fees for the year ending 30 June 2022, and the entity's securities are already suspended from quotation.

23/08/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 19 August 2021 was $0.0605.

20/08/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 18 August 2021 was $0.0615

19/08/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 17 August 2021 was $0.0624.

18/08/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 16 August 2021 was $0.0632.

17/08/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 13 August 2021 was $0.0628.

16/08/2021

The unauditied NTA backing of the HHY Fund as at 31 July 2021 was as follows: NTA per unit 6.02 cents (31 July 2021); 6.07 cents (30 June 2021); -0.77% (monthly change %); -0.77% (FYTD change %).

13/08/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 12 August 2021 was $0.0619.

13/08/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 11 August 2021 was $0.0612.

12/08/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 10 August 2021 was $0.0608.

11/08/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 9 August 2021 was $0.0608.

10/08/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 6 August 2021 was $0.0596.

09/08/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 5 August 2021 was $0.0609.

06/08/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 4 August 2021 was $0.0612.

05/08/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 3 August 2021 was $0.0606.

04/08/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 2 August 2021 was $0.0601.

03/08/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 30 July 2021 was $0.0603.

02/08/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 29 July 2021 was $0.0603

30/07/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 28 July 2021 was $0.0597.

29/07/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 27 July 2021 was $0.0604.

28/07/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 26 July 2021 was $0.0607.

27/07/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 23 July 2021 was $0.0596.

26/07/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 22 July 2021 was $0.0593.

23/07/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 21 July 2021 was $0.0597.

22/07/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 20 July 2021 was $0.0602.

21/07/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 19 July 2021 was $0.0602.

20/07/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 16 July 2021 was $0.0600.

19/07/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 15 July 2021 was $0.0605.

16/07/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 14 July 2021 was $0.0610.

15/07/2021

The unaudited Net Tangible Asset backing of the HHY Fund as at 30 June 2021 (after taking into account taxation on realised and unrealised gains where applicable) was as follows: NTA per unit 6.07 cents (30 June 2021); 6.34 cents (31 May 2021); -4.26% (monthly change %); and 23.88% (FYTD change %).

14/07/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 13 July 2021 was $0.0611.

14/07/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 12 July 2021 was $0.0590.

13/07/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 9 July 2021 was $0.0592.

12/07/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 8 July 2021 was $0.0600.

09/07/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 7 July 2021 was $0.0606.

08/07/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 6 July 2021 was $0.0602.

07/07/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 5 July 2021 was $0.0596.

06/07/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 2 July 2021 was $0.0599.

05/07/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 1 July 2021 was $0.0599.

02/07/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 30 June 2021 was $0.0606.

01/07/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 29 June 2021 was $0.0600.

30/06/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 28 June 2021 was $0.0598.

29/06/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 25 June 2021 was $0.0608.

28/06/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 24 June 2021 was $0.0607.

25/06/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 23 June 2021 was $0.0613.

24/06/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 22 June 2021 was $0.0608.

23/06/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 21 June 2021 was $0.0613.

22/06/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 18 June 2021 was $0.0626.

21/06/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 17 June 2021 was $0.0621.

18/06/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 16 June 2021 was $0.0620.

17/06/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 15 June 2021 was $0.0628.

16/06/2021

The unaudited NTA backing of the HHY Fund as at 31 May 2021 was as follows: 6.34 cents (31 May 2021); 6.07 cents (30 April 2021); 4.45 (Monthly Change %); 29.33 (FYTD Change %).

15/06/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 11 June 2021 was $0.0629.

15/06/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 10 June 2021 was $0.0629.

11/06/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 9 June 2021 was $0.0645.

10/06/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 8 June 2021 was $0.0642.

09/06/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 7 June 2021 was $0.0642.

08/06/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 4 June 2021 was $0.0631.

07/06/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 3 June 2021 was $0.0621.

04/06/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 2 June 2021 was $0.0631.

03/06/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 1 June 2021 was $0.0621.

02/06/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 31 May 2021 was $0.0633.

01/06/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 28 May 2021 was $0.0617.

31/05/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 27 May 2021 was $0.0594.

28/05/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 26 May 2021 was $0.0590.

27/05/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 25 May 2021 was $0.0605.

26/05/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 24 May 2021 was $0.0605.

25/05/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 21 May 2021 was $0.0604.

24/05/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 20 May 2021 was $0.0606.

21/05/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 19 May 2021 was $0.0602.

20/05/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 18 May 2021 was $0.0594.

19/05/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 17 May 2021 was $0.0576.

18/05/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 14 May 2021 was $0.0578.

17/05/2021

The estimated Net Asset Value per Unit of the Trust (after taking into account taxation on realised and unrealised gains where applicable) as of 13 May 2021 was $0.0588.

14/05/2021

The NTA backing of the HHY Fund as at 30 April 2021 was as follows: 6.07 cents (30 April 2021); 6.04 cents (31 March 2021); 0.60 (monthly change %); 23.91 (FYTD change %).

07/05/2021

The company releases a final share buy-back notice - Appendix 3F.

16/04/2021

The unaudited backing of the HHY Fund as at 31 March 2021 (after taking into account taxation on realised and unrealised gains where applicable) was as follows: NTA per unit: 6.05 cents (31 March 2021); 6.41 cents (28 February 2021); -5.83 (monthly change %); 23.18 (FYTD change %). Aurora has responded to queries from the ASX dated 28 February 2020, 10 March 2020, 12 August 2020 and 14 December 2020, with Aurora's most recent response being provided to the ASX on 16 December 2020. Further, Aurora has followed up with the ASX on 13 January 2021, 22 January 2021, 1 February 2021, 11 February 2021, 15 February 2021, 19 February 2021, 3 March 2021, 15 March 2021 and 22 March 2021 regarding the lifting of the suspension, however, is yet to receive a meaningful response.

09/04/2021

The company lodges its Half Yearly Accounts.

31/03/2021

The unaudited Net Tangible Asset backing of the HHY Fund as at 28 February 2021 (after taking into account taxation on realised and unrealised gains where applicable) was as follows: NTA per unit 28-February 2021: 6.41 cents, monthly change %: 4.19; FYTD change %: 30.80.

12/03/2021

The company lodges an Appendix 4D.

26/02/2021

The unaudited NTA backing o the HHY Fund as at 31 January 2020 was as follows: NTA per unit 6.15 cents (31 January 2020); 5.81 cents (31 December 2020); 5.96% (monthly change %); and 25.54 (FYTD change %).

12/02/2021

The unaudited NTA backing of the HHY Fund as at 31 December 2020 was as follows: 5.81 cents NTA per unit with a monthly change of 6.23% and FYTD change of 18.48%.

13/01/2021

The unaudited NTA backing of the HHY Fund as at 30 November 2020 was as follows: 5.47 cents.

11/12/2020

The unauidted net tangible asset backing of the HHY Fund as at 31 October 2020 was as follows: NTA per unit: 5.19 cents (31 October 2020); 5.17 cents (30 September 2020); 0.41 (monthly change %); and 5.85 (FYTD change %).

12/11/2020

The company releases its Appendix 4G and Corporate Governance Statement.

30/10/2020

The company lodges its Full Year Statutory Accounts.

29/10/2020

The unaudited NTA backing of the HHY Fund as at 30 September 2020 (after taking into account taxation on realised and unrealised gains where applicable) was as follows: NTA per unit 5.17 cents (30 September 2020); 5.34 cents (31 August 2020); -3.28 (monthly change %); 5.42 (FYTD change %).

14/10/2020

NTA per unit: 5.34 cents (31 August 2020); 4.80 cents (31 July 2020); 11.38 (monthly change %); 9.00 (FYTD change %).

11/09/2020

The company lodges its Preliminary Final Report.

31/08/2020

The company releases its Share Trading Policy.

18/08/2020

The unaudited net tangible asset backing of the HHY Fund as at 31 July 2020 was as follows: NTA per unit: 4.80 cents (31 July 2020); 4.90 cents (30 June 2020); -2.14 (Monthly Change %); -2.14 (FYTD Change %).

10/08/2020

The unaudited net tangible asset backing of the HHY Fund as at 30 June 2020 was as follows: NTA per unit: 4.90 cents (30 June 2020); 4.26 cents (29 May 2020); 15.14 (Monthly Change %); -6.62 (FYTD Change %).

10/08/2020

Shortly after the closure of the ADIT bid, Aurora processed and paid for all of the acceptances received, except for those of Bentley Capital Limited and Scarborough Equities Pty Ltd (Scarborough) as a consequence of the Interim Orders made by the Takeovers Panel. Whilst Aurora was also ready, willing and able to process and pay for the Bentley/Scarborough acceptances, the Takeovers Panel decision in Keybridge 08R, 09R & 10R allowed Bentley/Scarborough to withdraw from the ADIT bid. Aurora advises that Bentley/Scarborough requested that its acceptance into the ADIT cash bid of 7.0 cents per share for Keybridge, be withdrawn, so that Bentley/Scarborough could accept into a lower bid at 6.9 cents per share. Aurora confirms that ADIT did not draw on the Funding Arrangements with HHY and AFARF to pay for the acceptances received bid under the ADIT bid.

29/06/2020

The unaudited Net Tangible Asset backing of the HHY Fund as at 29 May 2020 (after taking into account taxation on realised and unrealised gains where applicable) was as follows: NTA per unit 05/29/2020 4.26 cents; 04/30/2020 3.41 cents; Monthly Change % 24.82; FYTD Change % -18.90.

09/06/2020

The unaudited Net Tangible Asset backing of the HHY Fund as at 30 April 2020 was as follows: NTA per unit - 3.41 cents (30 April 2020); 3.15 cents (31 March 2020); 8.32 (Monthly Change %); -35.02 (FYTD Change %).

12/05/2020

On 9 April 2020, the Panel received an application from Aurora Funds Management Limited as responsible entity for Aurora Dividend Income Trust, HHY Fund and Aurora Fortitude Absolute Return Funds seeking a review of the Panel's decision to make a declaration of unacceptable circumstances and orders in relation to the affairs of Keybridge Capital Limited. The Acting President has made interim orders staying the initial Panel's orders that granted any person that had accepted into the bid made by Aurora Funds Management Limited as responsible entity for Aurora Dividend Income Trust the right to withdraw that acceptance. However, during the period of the stay, any accepting shareholder may still notify ADIT of its intention to exercise a withdrawal right and give voting directions for any meeting of Keybridge. The interim orders have effect until the earliest of further order of the review Panel or Acting President, the determination of the review proceedings or 2 months from the date of the interim orders. A meeting of Keybridge is scheduled for Friday, 17 April 2020.

14/04/2020

The NTA backing of the HHY Fund as at 31 March 2020 was as follows: 3.15 cents (31 March 2020); 4.71 cents (28 February 2020); -33.09 (Monthly Change %) and -40.01 (FYTD Change %).

14/04/2020

Aurora Funds Management Limited, in its capacity as responsible entity of the Aurora Dividend Income Trust, advises that the offers made by ADIT under its off-market takeover bid for the ordinary shares in Keybridge Capital Limited closed on Monday, 6 April 2020 pursuant to the terms of those offers. ADIT received acceptances of 21.20% of the ordinary shares in Keybridge. Bentley Capital Limited, who accepted the ADIT offer, has made an application to the Takeovers Panel seeking to have its acceptance reversed.

07/04/2020

Aurora Funds Management Limited as responsible entity for the Aurora Dividend Income Trust releases a Second Supplementary Bidder's Statement in relation to the cash offer to acquire the fully paid ordinary shares in Keybridge Capital Limited.

30/03/2020

Aurora Funds Management Limited, as responsible entity for Aurora Dividend Income Trust, releases a notice of status of defeating conditions.

27/03/2020

On 24 March 2020, Aurora announced that ADIT had freed its bid of all defeating conditions, including the Withdrawal Condition. As such, ADIT's Offer is now 7.0 cents per KBC ordinary share.

27/03/2020

ADIT's Supplementary Bidders Statement, dated 5 March 2020, detailed its improved cash consideration of 7.0 cents for each fully paid ordinary share. which which was subject to Keybridge shareholders being granted the ability to withdraw their acceptances from the WAM Active bid. On 13 March 2020, Aurora announced that ADIT had freed its bid of all defeating conditions which included the Withdrawal Condition. As such, ADIT's takeover bid for KBC is 7.0 cents per share.

24/03/2020

Aurora has decided that it is in the best interests of unitholders to cancel the Entitlement Offer and refund all amounts to unitholders who participated in the capital raising. All application monies received under the Entitlement Offer will now be refunded in full without interest, pursuant to the terms set out in the Entitlement Offer booklet, with refund transfers commencing from Wednesday, 18 March 2020.

16/03/2020

The unaudited Net Tangible Asset backing of the HHY Fund as at 28 February 2020 (after taking into account taxation on realised and unrealised gains where applicable) was as follows: NTA per unit - 4.71 cents (28-Feb-2020); 5.78 cents (31-Jan-2020); -18.60 (Monthly Change %) and -10.34 (FYTD Change %).

16/03/2020

In order to maintain the status quo, the Acting President of the Panel has ordered that Aurora Funds Management Limited as responsible entity for the Aurora Dividend Income Trust (ADIT) must not take any steps, or allow any steps to be taken, to process any acceptances or transfers received from Bentley Capital Limited or Scarborough Equities Pty Limited in relation to ADIT's bid for Keybridge. ADIT offered to provide an undertaking but for process and technical reasons the Acting President made the interim orders. The interim orders have effect until the earliest of further order of the Acting President or the Panel, determination of the proceedings or 2 months from the date of the interim orders.

13/03/2020

ADIT declares bid for KBC free from defeating conditions.

13/03/2020

The Panel has received an application from Keybridge Capital Limited in relation to its affairs. Keybridge seeks final orders including: declaring that WAM Active has not properly freed its bid from a defeating condition for the purpose of section 650F; declaring that Keybridge shareholders who accepted the WAM Active bid on or after 25 February 2020 have their acceptances cancelled (and any processing and transfers which have occurred to date be reversed); entitling Keybridge shareholders who accepted the WAM Active bid before 25 February 2020 be provided with at least one month's notice of withdrawal rights, or alternatively that such acceptances should be cancelled; and requiring WAM Active to release an announcement in such form as the Panel determines correcting any misleading statements made by it in relation to the status of its bid.

12/03/2020

In order to maintain the status quo, the Acting President of the Panel has ordered that WAM Active must not take any steps, or allow any steps to be taken, to process any acceptances received under, or any transfers in relation to, WAM Active's bid for Keybridge. The interim orders have effect until the earliest of further order of the Acting President or the Panel, determination of the proceedings or 2 months from the date of the interim orders.

11/03/2020

Aurora Funds Management Limited gives notice that on 6 March 2020, it dispatched its Bidder's Statement dated 7 February 2020 and Supplementary Bidder's Statement dated 5 March 2020 in relation to its takeover bid for all of the ordinary shares in Keybridge Capital Limited. The Bid is open for acceptance and ADIT encourages Keybridge shareholders to accept the Bid as soon as possible, noting however that the Bid currently remains conditional. The Bid is currently scheduled to close at 7.00pm (AEST) on 6 April 2020, unless extended or withdrawn.

10/03/2020

The company releases an updated bidder's statement in relation to the cash offer to acquire all fully paid ordinary shares in KBC by Aurora Funds Management Limited as responsible entity for the Aurora Dividend Income Trust at a bid price of 6.6 cents cash per KBC share.

09/03/2020

The company releases a supplementary bidder's statement in relation to the cash offer to acquire all of your fully paid ordinary shares in Keybridge Capital Limited by Aurora Funds Management Limited as responsible entity for the Aurora Dividend Income Trust.

05/03/2020

Aurora Funds Management Limited, in its capacity as Responsible Entity for the HHY Fund, announces the closure of its Institutional Entitlement Offer to raise up to $3.25 million. No funds were raised under the Institutional Entitlement Offer, which is now closed. All HHY unitholders will be able to participate in accordance with the same timetable as the Retail Entitlement Offer.

03/03/2020

Aurora Funds Management Limited, as responsible entity for the Aurora Dividend Income Trust, announces that it proposes, if certain conditions are satisfied, to vary its off-market takeover bid for the fully paid ordinary shares in Keybridge Capital Limited by increasing the cash consideration offered from 6.6 cents to 7.0 cents for each fully paid ordinary share. ADIT's Initial Bid is 6.6 cents cash per KBC share. However, ADIT will increase its bid to 7.0 cents cash per KBC share on the condition that Target shareholders are able to withdraw their acceptances from the WAM Active takeover offer dated 3 January 2020. All other conditions in the Initial Bid, as announced on 8 January 2020, remain the same.

03/03/2020

The company lodges its Half Yearly Report and Accounts.

02/03/2020

In order to ensure all institutional holders may participate in the Entitlement Offer in full, HHY has varied the offer terms as follows: the closing date of the Institutional Entitlement Offer has been extended to 7.00pm AEST on Monday, 2 March 2020; the Record Date has been extended to 7.00pm AEST on Tuesday, 3 March 2020; and to require the appointment of a nominee to acquire New Units that Ineligible Unitholders would have been entitled to acquire, had they been eligible to participate in the Entitlement Offer. As a result of the above changes, the Retail Entitlement Offer will open on 5 March 2020 and close on 16 March 2020.

28/02/2020

The Panel has received an application from WAM Active Limited in relation to the affairs of Keybridge Capital Limited. WAM Active seeks an interim order permitting WAM Active to extend its bid for the duration of the Panel proceedings without withdrawal rights.

28/02/2020

Aurora Funds Management Limited (Aurora) as the responsible entity of HHY Fund requests that a voluntary suspension be extended by the Australian Securities Exchange with respect to its securities pending completion of the proposed capital raising referred to in the trading halt lodged on Tuesday 25 February 2020. The voluntary suspension is requested until the earlier of the provision of an announcement to ASX on completion of the capital raising or prior to the commencement of trading on Tuesday, 3 March 2020.

28/02/2020

The securities of HHY Fund will be suspended from quotation immediately under Listing Rule 17.2, at the request of HHY, pending the release of an announcement regarding the proposed capital raising.

27/02/2020

name changed from Hastings High Yield Fund

08/02/2017
View ASX Announcements (courtesy of ASX)

 

Click here for free access to this company's:
ASX, Legal & CGT Status

Your comments

Please read our Terms before viewing comments.

 

Company Updates
Post your comments here
Please read our Terms before posting comments.
OMISSIONS
    You can post a comment here about this company

    Please click in the "I'm not a robot" box. If an image appears, enter the word/figures you see in the image.

    loading Posting your comments. Please wait...

    Directors' on-market share transactions (last 5)

    rss feeds

    Purchases Sales

    DATEDIRECTORNATURENUMBERPRICEAMOUNT
    25/10/2019Victor Siciliano241,500$0.042$10,143
    25/09/2019Anthony Hartnell11,500$0.043$495
    13/09/2019Anthony Hartnell10,000$0.043$430
    12/09/2019Anthony Hartnell10,150$0.043$436
    26/08/2019Anthony Hartnell18,370$0.043$790

    Click here for the last 20 transactions all companies

    Directors & Executives (current)
    NAMETITLEDATE OF APPT
    Anthony HartnellChairman, Independent Director02/03/2018
    John PattonManaging Director, Company Secretary01/07/2016
    Ross PritchardCOO24/02/2012
    Victor SicilianoExecutive Director11/01/2018

    Date of first appointment, title may have changed.

    Directors & Executives (former)
    NAMETITLEDATE OF APPOINTMENTDATE OF RESIGNATION
    Mark BrigliaCFO08/01/202001/04/2020
    Adrian MartinCFO11/01/201824/08/2018
    Jeffrey SchwarzIndependent Director25/07/201731/05/2018
    Ben NormanCOO26/04/201711/01/2018
    Betty PoonNon Exec Director, CFO07/09/201527/11/2017
    Jim HallamNon Exec Director01/07/201625/07/2017
    James SchwarzNon Exec Director25/02/201601/07/2016
    Antony SormannExecutive Director25/02/201601/07/2016
    John CorrExecutive Director30/06/2016
    Simon LindsayManaging Director16/06/2016
    Steuart RoeExecutive Director07/09/2015
    Alan CameronNon Exec Chairman14/04/200902/07/2015
    James EvansNon Exec Director06/10/200902/07/2015
    Stephen MasciantonioDirector21/09/201302/07/2015
    Liam FordeNon Exec Director30/01/200621/09/2013
    James McDonaldNon Exec Director01/07/200721/09/2013
    Stephen GibbsNon Exec Director16/12/200821/09/2013
    Andrew DayExecutive Director, CEO18/10/201121/09/2013
    Victoria PooleDirector01/04/201121/09/2013
    Alan FreerExecutive Director, CEO01/09/200720/10/2011
    Leslie VanceNon Exec Director06/10/200903/04/2011
    Steven BoultonExecutive Director, CEO03/09/200703/04/2011
    Mike HutchinsonNon Exec Director16/03/200002/01/2010
    Sean McElduffNon Exec Director16/10/200208/10/2009
    Jim TateNon Exec Director25/06/200416/04/2009
    Tim PooleManaging Director21/07/200517/06/2007
    Guy StrappNon Exec Director08/08/200328/10/2006
    Raymond WilsonNon Exec Director25/03/199401/02/2006
    Michael FitzpatrickManaging Director25/03/199406/11/2005

    Date of first appointment, title may have changed.