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Savana US Small Caps Active ETF (ASX: SVNP) - Announcements

Current share price for SVNP : $1.735 0.02 (1.17%)+

Savana US Small Caps Active ETF (SVNP) 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. Savana US Small Caps Active ETF (SVNP) provides investors the opportunity to invest in a fund that seeks to outperform the S&P 600 Total Return Index over a medium to long term investment horizon.

Latest company announcements for Savana US Small Caps Active ETF (SVNP)

Market Cap ($m) Headline Release
date/time+
Price at
release+
Current
price+
Gain/Loss View
- Fund Fact Sheet - March 2026 1 Apr 2026 5:06PM $1.625 $1.735 risen by 6.77%
- Letter to investors - February 2026 18 Mar 2026 5:33PM $1.565 $1.735 risen by 10.86%
- Fund Fact Sheet - February 2026 12 Mar 2026 10:25AM $1.550 $1.735 risen by 11.94%
- Monthly Units on Issue - February 2026 3 Mar 2026 1:53PM $1.625 $1.735 risen by 6.77%
- Half Year Accounts 26 Feb 2026 5:59PM $1.615 $1.735 risen by 7.43%
- Quarterly Portfolio Disclosure - 31 December 2025 25 Feb 2026 4:05PM $1.615 $1.735 risen by 7.43%
- Letter to investors - January 2026 12 Feb 2026 10:10AM $1.705 $1.735 risen by 1.76%
- Fund Fact Sheet - January 2026 4 Feb 2026 4:43PM $1.655 $1.735 risen by 4.83%
- Monthly Units on Issue - January 2026 3 Feb 2026 5:44PM $1.680 $1.735 risen by 3.27%
- CORRECTED Fund Fact Sheet - December 2025 30 Jan 2026 3:59PM $1.645 $1.735 risen by 5.47%
- Letter to investors - December 2025 22 Jan 2026 1:41PM $1.680 $1.735 risen by 3.27%
- Monthly Units on Issue - December 2025 5 Jan 2026 6:16PM $1.640 $1.735 risen by 5.79%
- Fund Fact Sheet - December 2025 5 Jan 2026 3:31PM $1.640 $1.735 risen by 5.79%
- Letter to investors - November 2025 5 Dec 2025 12:52PM $1.645 $1.735 risen by 5.47%
- Fund Fact Sheet - November 2025 3 Dec 2025 10:42AM $1.645 $1.735 risen by 5.47%
- Monthly Units on Issue - November 2025 2 Dec 2025 5:37PM $1.645 $1.735 risen by 5.47%
- Quarterly Portfolio Disclosure - 30 September 2025 24 Nov 2025 5:24PM $1.570 $1.735 risen by 10.51%
- Letter to investors - October 2025 11 Nov 2025 10:08AM $1.585 $1.735 risen by 9.46%
- Fund Fact Sheet - October 2025 5 Nov 2025 1:57PM $1.555 $1.735 risen by 11.58%
- Monthly Units on Issue - October 2025 5 Nov 2025 1:52PM $1.555 $1.735 risen by 11.58%
- Monthly Units on Issue - September 2025 2 Oct 2025 4:44PM $1.535 $1.735 risen by 13.03%
- Letter to investors - September 2025 2 Oct 2025 12:49PM $1.545 $1.735 risen by 12.30%
- Fund Fact Sheet - September 2025 1 Oct 2025 3:52PM $1.555 $1.735 risen by 11.58%
- 2025 Annual Report 25 Sep 2025 11:52AM $1.525 $1.735 risen by 13.77%
- Letter to investors - August 2025 4 Sep 2025 8:50AM $1.490 $1.735 risen by 16.44%

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

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