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Antipodes Global Shares (Quoted Managed Fund) (ASX: AGX1) - Announcements

Current share price for AGX1 : $6.670 0.01 (0.15%)+

Antipodes Global Shares (Quoted Managed Fund) (AGX1) is an Exchange Traded Fund - commonly known as an ETF. For more details about how ETFs work, feel free to check out our What is an ETF? overview. Antipodes Global Shares (Quoted Managed Fund) (AGX1) is an exchange traded managed fund quoted on the ASX, otherwise known as an active ETF, offering investors access to a long only global securities portfolio via a single trade.

Latest company announcements for Antipodes Global Shares (Quoted Managed Fund) (AGX1)

Market Cap ($m) Headline Release
date/time+
Price at
release+
Current
price+
Gain/Loss View
$361 Units on Issue & Redemptions - Apr 2020 6 May 2020 12:44PM $5.000 $6.670 risen by 33.40%
$361 March 2020 Investment Update 14 Apr 2020 12:12PM $4.940 $6.670 risen by 35.02%
$361 Units on Issue & Redemptions - Mar 2020 3 Apr 2020 6:29PM $4.800 $6.670 risen by 38.96%
$361 AGX1 Interim Financial Report 13 Mar 2020 7:14PM $4.500 $6.670 risen by 48.22%
$361 February 2020 Investment Update 11 Mar 2020 11:42AM $4.930 $6.670 risen by 35.29%
$361 Units on Issue & Redemptions - Feb 2020 3 Mar 2020 12:04PM $5.530 $6.670 risen by 20.61%
$361 Disclosure of Portfolio Holdings December 2019 2 Mar 2020 10:52AM $5.530 $6.670 risen by 20.61%
$361 January 2020 Investment Update - Amended 20 Feb 2020 12:20PM $5.720 $6.670 risen by 16.61%
$361 January 2020 Investment Update 14 Feb 2020 2:07PM $5.730 $6.670 risen by 16.40%
$361 Units on Issue & Redemptions - Jan 2020 7 Feb 2020 10:45AM $5.700 $6.670 risen by 17.02%
$361 December 2019 Investment Update 17 Jan 2020 4:17PM $5.710 $6.670 risen by 16.81%
$361 Units on Issue & Redemptions - Dec 2019 7 Jan 2020 12:51PM $5.590 $6.670 risen by 19.32%
$361 November 2019 Investment Update 17 Dec 2019 4:34PM $5.560 $6.670 risen by 19.96%
$361 Units on Issue & Redemptions - Nov 2019 4 Dec 2019 5:02PM $5.430 $6.670 risen by 22.84%
$361 Disclosure of Portfolio Holdings September 2019 2 Dec 2019 10:30AM $5.510 $6.670 risen by 21.05%
$361 October 2019 Investment Update 28 Nov 2019 9:33AM $5.510 $6.670 risen by 21.05%
$361 Units on Issue & Redemptions Oct 2019 7 Nov 2019 11:58AM $5.350 $6.670 risen by 24.67%
$361 September 2019 Investment Update 28 Oct 2019 10:50AM $5.270 $6.670 risen by 26.57%
$361 Units on Issue & Redemptions Sept 2019 3 Oct 2019 4:26PM $5.240 $6.670 risen by 27.29%
$361 Full Year Statutory Accounts 3 Oct 2019 2:54PM $5.260 $6.670 risen by 26.81%
$361 August 2019 Investment Update 19 Sep 2019 5:02PM $5.330 $6.670 risen by 25.14%

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

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