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Share Price
$0.57
as at 23/09/2017
Warrant Price
$0.00
as at 23/09/2017
Latest NAV
$0.6482
as at 20/09/2017

Key Dates

June 2017

Financial Year End


29 September 2017

Dividend payment
(Ex-div date: 13 September 2017, Record date: 14 September 2017)


October 2017

September Quarter Newsletter