Scroll
Share Price*
$0.54
as at 06/04/2020
Latest NAV
$0.5699
as at 01/04/2020
*updated every 20 minutes

Market Announcements

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

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