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Loftus Peak Global Disruption Fund (Managed Fund) (ASX: LPGD) - Announcements

Current share price for LPGD : $5.620 0.03 (0.53%)+

Loftus Peak Global Disruption Fund (Managed Fund) (LPGD) 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. Loftus Peak Global Disruption Fund (Managed Fund) (LPGD) is a registered managed investment scheme. It aims to deliver return over the benchmark over the medium to long term by bringing a disciplined investment process to listed global companies impacted by disruption.

Latest company announcements for Loftus Peak Global Disruption Fund (Managed Fund) (LPGD)

Market Cap ($m) Headline Release
date/time+
Price at
release+
Current
price+
Gain/Loss View
$766 Units on Issue & Monthly Redemptions - January 2022 7 Feb 2022 3:56PM $3.180 $5.620 risen by 76.73%
$766 Company Secretary Appointment/Resignation 13 Jan 2022 3:30PM $3.300 $5.620 risen by 70.30%
$766 Units on Issue & Monthly Redemptions - December 2021 10 Jan 2022 3:39PM $3.290 $5.620 risen by 70.82%
$766 Unitholder Monthly Report for December 2021 7 Jan 2022 10:34AM $3.340 $5.620 risen by 68.26%
$766 Units on Issue & Monthly Redemptions - November 2021 7 Dec 2021 3:50PM $3.400 $5.620 risen by 65.29%
$766 Unitholder Monthly Report for November 2021 - Updated 7 Dec 2021 3:42PM $3.400 $5.620 risen by 65.29%
$766 Unitholder Monthly Report for November 2021 3 Dec 2021 3:15PM $3.410 $5.620 risen by 64.81%
$766 Quarterly Portfolio Disclosure - 30 September 2021 18 Nov 2021 2:35PM $3.490 $5.620 risen by 61.03%
$766 Unitholder Monthly Report for October 2021 9 Nov 2021 1:44PM $3.320 $5.620 risen by 69.28%
$766 Units on Issue & Monthly Redemptions - October 2021 5 Nov 2021 10:44AM $3.320 $5.620 risen by 69.28%
$766 Structured Products PDS 13 Oct 2021 12:31PM $3.040 $5.620 risen by 84.87%
$766 Unitholder Monthly Report for September 2021 11 Oct 2021 4:16PM $3.080 $5.620 risen by 82.47%
$766 Units on Issue & Monthly Redemptions - September 2021 7 Oct 2021 3:52PM $3.100 $5.620 risen by 81.29%
$766 Target Market Determination 6 Oct 2021 8:19AM $3.020 $5.620 risen by 86.09%
$766 2021 Annual Report 30 Sep 2021 4:21PM $3.090 $5.620 risen by 81.88%
$766 Units on Issue & Monthly Redemptions - August 2021 7 Sep 2021 3:54PM $3.250 $5.620 risen by 72.92%
$766 Unitholder Monthly Report for August 2021 6 Sep 2021 5:02PM $3.240 $5.620 risen by 73.46%
$766 Quarterly Portfolio Disclosure - 30 June 2021 19 Aug 2021 12:22PM $3.140 $5.620 risen by 78.98%
$766 Unitholder Monthly Report for July 2021 10 Aug 2021 5:41PM $3.220 $5.620 risen by 74.53%
$766 Units on Issue & Monthly Redemptions - July 2021 6 Aug 2021 4:10PM $3.200 $5.620 risen by 75.63%
$766 Unitholder Monthly Report for June 2021 7 Jul 2021 8:49AM $3.140 $5.620 risen by 78.98%
$766 Units on Issue & Monthly Redemptions - June 2021 6 Jul 2021 3:07PM $3.140 $5.620 risen by 78.98%
$766 No distribution for the period ending 30 June 2021 29 Jun 2021 3:58PM $3.110 $5.620 risen by 80.71%
$766 Unitholder Monthly Report for May 2021 9 Jun 2021 10:19AM $2.900 $5.620 risen by 93.79%
$766 Units on Issue & Monthly Redemptions - May 2021 3 Jun 2021 4:47PM $2.890 $5.620 risen by 94.46%

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

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