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Market Announcements

All of our market announcements, as released to the NZX Main Board, are listed below.

24 September 2020BRM - Issue of Securities - 25 September 2020
24 September 2020Notice of Annual Meeting of Shareholders - 23 October 2020 (BRM - Virtual Meeting Guide)
24 September 2020Notice of Annual Meeting of Shareholders - 23 October 2020 (BRM - Proxy form)
24 September 2020Notice of Annual Meeting of Shareholders - 23 October 2020 (BRM - Notice of Annual Shareholders Meeting)
24 September 2020Barramundi 2020 Annual Report
24 September 2020BRM NAV as at 23/9/20 - $0.7111
17 September 2020DIVIDEND REINVESTMENT PLAN PRICE DETERMINED
17 September 2020BRM NAV as at 16/9/20 - $0.7087
10 September 2020BRM – September 2020 monthly update
10 September 2020BRM ex-div NAV as at 9/9/20 - $0.6970
3 September 2020BRM NAV as at 2/9/20 - $0.7403
3 September 2020BRM - D & O Ongoing Disclosures - Multiple (BRM - Ongoing Disclosure Notice (Carol Campbell))
3 September 2020BRM - D & O Ongoing Disclosures - Multiple (BRM - Ongoing Disclosure Notice (Andy Coupe))
3 September 2020BRM - D & O Ongoing Disclosures - Multiple (BRM - Ongoing Disclosure Notice (Alistair Ryan))
1 September 2020BRM NAV as at 31/8/20 - $0.7379
27 August 2020BRM NAV as at 26/8/20 - $0.7423
27 August 2020Strong result for Barramundi during uncertain times (BRM - Preliminary year end announcement - 30 June 2020)
27 August 2020Strong result for Barramundi during uncertain times (BRM - Financial Statements for period 30 June 2020 incl Audit Opinion report)
27 August 2020Strong result for Barramundi during uncertain times (BRM - Commentary for year ended 30 June 2020)
26 August 2020Quotation Notice - Barramundi Limited (BRMWF) Warrants
26 August 2020Barramundi pays performance fee
26 August 2020New Warrant Issue for Barramundi (New Warrant Issue for Barramundi)
26 August 2020New Warrant Issue for Barramundi (Cleansing Notice BRMWF)
26 August 2020New Warrant Issue for Barramundi (BRMWF Warrant Terms Document)
26 August 2020New Warrant Issue for Barramundi (BRM Shareholder Letter for BRMWF Warrant Offer)
26 August 2020New Warrant Issue for Barramundi (BRM Corporate Action 3.14.1)
26 August 2020BRM Quarterly dividend of 1.34 cents per share
20 August 2020BRM NAV as at 19/8/20 - $0.7356
16 August 2020BRM - Nominations for Directors
13 August 2020BRM NAV as at 12/8/20 - $0.6978
12 August 2020BRM August 2020 monthly update
6 August 2020BRM NAV as at 5/8/20 - $0.6939
2 August 2020BRM NAV as at 31/7/20 - $0.6856
30 July 2020BRM NAV as at 29/7/20 - $0.6900
23 July 2020BRM NAV as at 22/7/20 - $0.7006
19 July 2020BRM - June 2020 Quarterly Newsletter
16 July 2020BRM NAV as at 15/7/20 - $0.6894
9 July 2020BRM NAV as at 8/7/20 - $0.6802
2 July 2020BRM NAV as at 1/7/20 - $0.6829
1 July 2020BRM NAV as at 30/6/20 - $0.6781
29 June 2020BRM - D & O Ongoing Disclosures - Multiple (BRM - Ongoing Disclosure Notice (Carol Campbell))
29 June 2020BRM - D & O Ongoing Disclosures - Multiple (BRM - Ongoing Disclosure Notice (Andy Coupe))
29 June 2020BRM - D & O Ongoing Disclosures - Multiple (BRM - Ongoing Disclosure Notice (Alistair Ryan))
25 June 2020BRM - Issue of Securities - 26 June 2020
25 June 2020BRM NAV as at 24/6/20 - $0.6846
22 June 2020BRM Director Independence, Carmel Fisher
18 June 2020BRM NAV as at 17/6/20 - $0.6791
17 June 2020DIVIDEND REINVESTMENT PLAN PRICE DETERMINED
11 June 2020BRM June 2020 monthly update
11 June 2020BRM ex-div NAV as at 10/6/20 - $0.6897
4 June 2020BRM NAV as at 3/6/20 - $0.6888
1 June 2020BRM NAV as at 31/5/20 - $0.6664
28 May 2020BRM NAV as at 27/5/20 - $0.6688
21 May 2020BRM NAV as at 20/5/20 - $0.6400
18 May 2020BRM - Quarterly Dividend and NAV Reporting
14 May 2020BRM May 2020 monthly update
14 May 2020BRM NAV as at 13/5/20 - $0.6270
11 May 2020BRM NAV as at 8/5/20 - $0.6205
7 May 2020BRM NAV as at 6/5/20 - $0.6156
4 May 2020BRM NAV as at 1/5/20 - $0.6009
1 May 2020BRM NAV as at 30/4/20 - $0.6207
30 April 2020BRM NAV as at 29/4/20 - $0.6072
28 April 2020BRM NAV as at 24/4/20 - $0.5764
23 April 2020BRM NAV as at 22/4/20 - $0.5786
22 April 2020BRM - March 2020 Quarterly Newsletter
20 April 2020BRM NAV as at 17/4/20 - $0.6002
16 April 2020BRM NAV as at 15/4/20 - $0.5969
14 April 2020BRM NAV as at 9/4/20 - $0.5790
9 April 2020BRM NAV as at 8/4/20 - $0.5529
6 April 2020BRM NAV as at 3/4/20 - $0.5369
2 April 2020BRM NAV as at 1/4/20 - $0.5699
1 April 2020BRM NAV as at 31/3/20 - $0.5523
30 March 2020BRM - D&O Ongoing Discloures - Multiple (BRM - Ongoing Disclosure Notice (Carol Campbell))
30 March 2020BRM - D&O Ongoing Discloures - Multiple (BRM - Ongoing Disclosure Notice (Andy Coupe))
30 March 2020BRM - D&O Ongoing Discloures - Multiple (BRM - Ongoing Disclosure Notice (Alistair Ryan))
30 March 2020BRM NAV as at 27/3/20 - $0.5107
26 March 2020BRM - Issue of Securities - 27 March 2020
26 March 2020BRM NAV as at 25/3/20 - $0.5074
23 March 2020BRM NAV as at 20/3/20 - $0.5049
19 March 2020BRM NAV as at 18/3/20 - $0.5213
18 March 2020DIVIDEND REINVESTMENT PLAN PRICE DETERMINED
17 March 2020BRM Updates re Distribution Policy and NAV Reporting
12 March 2020BRM ex-div NAV as at 11/3/20 - $0.6197
11 March 2020BRM March 2020 monthly update
5 March 2020BRM NAV as at 4/3/20 - $0.6944
2 March 2020BRM Notice of acquisition of securities 2 March 2020
1 March 2020BRM NAV as at 29/2/20 - $0.6961
27 February 2020BRM NAV as at 26/2/20 - $0.7230
24 February 2020Barramundi outperforms in first half of year (BRM - Preliminary half year announcement - appendix 1)
24 February 2020Barramundi outperforms in first half of year (BRM - Financial Statements for period 31 Dec 2019 incl review report)
24 February 2020Barramundi outperforms in first half of year (BRM - Commentary for the interim period 2020)
24 February 2020BRM Quarterly dividend of 1.45 cents per share
20 February 2020BRM NAV as at 19/2/20 - $0.7654
16 February 2020BRM February 2020 monthly update
13 February 2020BRM NAV as at 12/2/20 - $0.7683
7 February 2020BRM NAV as at 5/2/20 - $0.7471
2 February 2020BRM NAV as at 31/1/20 - $0.7460
30 January 2020BRM NAV as at 29/1/20 - $0.7427
23 January 2020BRM NAV as at 22/1/20 - $0.7475
22 January 2020BRM - Dividend Reinvestment Plan 2020
21 January 2020Barramundi December 2019 Quarter Newsletter
16 January 2020BRM NAV as at 15/1/20 - $0.7441
9 January 2020BRM NAV as at 8/1/20 - $0.7168
3 January 2020BRM NAV as at 31/12/19 - $0.7079