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Company Sector Market Cap ($m) Headline Release
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Current
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EQT Holdings Limited (EQT)
ORDINARY FULLY PAID
Financials $881 Appendix 3Y - M O'Brien 5 Apr 2024 4:22PM $28.780 $32.910 risen by 14.35%
Advance Metals Limited (AVM)
ORDINARY FULLY PAID
Materials $10 Director Appointment/Resignation 5 Apr 2024 4:20PM $0.045 $0.048 risen by 6.67%
1414 Degrees Limited (14D)
ORDINARY FULLY PAID
Industrials $6 Trading Halt 5 Apr 2024 4:19PM $0.060 $0.020 fallen by 66.67%
Tietto Minerals Limited (TIE)
ORDINARY FULLY PAID
Materials - Details of Company Address 5 Apr 2024 4:18PM $0.610 $0.675 risen by 10.66%
Motio Ltd (MXO)
ORDINARY FULLY PAID
Communication Services $8 Details of Company Address 5 Apr 2024 4:17PM $0.024 $0.028 risen by 16.67%
Betashares Geared Australian Equity Fund (GEAR) Financials $419 Units on Issue Disclosure - March 2024 5 Apr 2024 4:16PM $28.430 $28.280 fallen by 0.53%
BetaShares Geared U.S. Equity Fund-Currency Hedged (hedge fund) (GGUS) Financials $248 Units on Issue Disclosure - March 2024 5 Apr 2024 4:16PM $35.080 $39.220 risen by 11.80%
BetaShares U.S. Equities Strong Bear Hedge Fund - Currency Hedged (BBUS) Financials $161 Units on Issue Disclosure - March 2024 5 Apr 2024 4:16PM $5.880 $4.920 fallen by 16.33%
BetaShares Martin Currie Emerging Markets Fund (Managed Fund) (EMMG) Financials $26 Units on Issue Disclosure - March 2024 5 Apr 2024 4:13PM $5.910 $6.480 risen by 9.64%
Betashares Aus Top20 Equity Yield Max Fund (YMAX) Financials $513 Units on Issue Disclosure - March 2024 5 Apr 2024 4:13PM $7.760 $7.450 fallen by 3.99%
Betashares Australian Dividend Harvester Fund (HVST) Financials $230 Units on Issue Disclosure - March 2024 5 Apr 2024 4:13PM $12.900 $12.870 fallen by 0.23%
BetaShares Martin Currie Real Income Fund (Managed Fund) (RINC) Financials $37 Units on Issue Disclosure - March 2024 5 Apr 2024 4:13PM $8.590 $8.890 risen by 3.49%
Betashares Strong Australian Dollar Fund (Hedge Fund) (AUDS) Financials $41 Units on Issue Disclosure - March 2024 5 Apr 2024 4:13PM $6.270 $5.550 fallen by 11.48%
Betashares Active Australian Hybrids Fund (Managed Fund) (HBRD) Financials $2,336 Units on Issue Disclosure - March 2024 5 Apr 2024 4:13PM $10.100 $10.130 risen by 0.30%
Betashares Managed Risk Global Share Fund (Managed Fund) (WRLD) Financials $50 Units on Issue Disclosure - March 2024 5 Apr 2024 4:13PM $18.000 $20.400 risen by 13.33%
Betashares Strong U.S. Dollar Fund (Hedge Fund) (YANK) Financials $9 Units on Issue Disclosure - March 2024 5 Apr 2024 4:13PM $12.600 $13.180 risen by 4.60%
BetaShares Australian Equities Bear Hedge Fund (BEAR) Financials $54 Units on Issue Disclosure - March 2024 5 Apr 2024 4:13PM $7.950 $8.130 risen by 2.26%
BetaShares S&P 500 Yield Maximiser Fund (UMAX) Financials $257 Units on Issue Disclosure - March 2024 5 Apr 2024 4:13PM $23.390 $25.660 risen by 9.71%
Betashares Managed Risk Australian Share Fund (AUST) Financials $31 Units on Issue Disclosure - March 2024 5 Apr 2024 4:13PM $16.950 $16.740 fallen by 1.24%
BetaShares Australian Small Companies Select Fund (Managed Fund) (SMLL) Financials $95 Units on Issue Disclosure - March 2024 5 Apr 2024 4:13PM $3.650 $3.580 fallen by 1.92%
BetaShares Martin Currie Equity Income Fund (Managed Fund) (EINC) Financials $13 Units on Issue Disclosure - March 2024 5 Apr 2024 4:13PM $8.740 $9.070 risen by 3.78%
BetaShares Western Asset Australian Bond Fund (Managed Fund) (BNDS) Financials $807 Units on Issue Disclosure - March 2024 5 Apr 2024 4:13PM $23.590 $23.620 risen by 0.13%
Merrimack Holdings Limited (MMK)
ORDINARY FULLY PAID
- - Units on Issue Disclosure - March 2024 5 Apr 2024 4:13PM n/a n/a n/a
Betashares Austalian Equities Strong Bear Hedge Fund (BBOZ) Financials $242 Units on Issue Disclosure - March 2024 5 Apr 2024 4:13PM $2.880 $29.080 risen by 909.72%
Mitre Mining Corporation Limited (MMC)
ORDINARY FULLY PAID
Materials - Notification regarding unquoted securities - MMC 5 Apr 2024 4:11PM $0.510 $0.985 risen by 93.14%

136901 - 136925 of 143937 results

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  • + Company announcements and prices are delayed by at least 20 minutes. Prices are indicative only.

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