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FAT PROPHETS GLOBAL CONTRARIAN FUND LTD logo

FAT PROPHETS GLOBAL CONTRARIAN FUND LTD — Investor Relations & Filings

Ticker · FPC ISIN · AU000000FPC6 LEI · 213800D4W8QX61ZJH890 ASX Financial and insurance activities
Filings indexed 1,054 across all filing types
Latest filing 2026-05-28 Capital/Financing Update
Country AU Australia
Listing ASX FPC

About FAT PROPHETS GLOBAL CONTRARIAN FUND LTD

http://fpcontrarian.com.au/

Fat Prophets Global Contrarian Fund Ltd is a listed investment company that employs a high-conviction, contrarian investment strategy. The fund focuses on identifying undervalued global opportunities across various asset classes, including equities and commodities, where market sentiment is disproportionately negative or mispriced. Managed by Fat Prophets, the fund aims to achieve long-term capital growth by investing in assets that are currently out of favor but possess strong fundamental value. Its investment approach is benchmark-agnostic, allowing for significant flexibility in portfolio construction and geographic allocation. The fund targets mispriced securities globally, leveraging deep fundamental research to capitalize on market inefficiencies and cyclical turnarounds.

Recent filings

Filing Released Lang Actions
Rights Issue - Additional Underwriter 1 page 199.6KB
Capital/Financing Update Classification · 82% confidence The document is an ASX announcement regarding the Fund’s non-renounceable rights issue and the additional $1 million underwriting obtained for that capital raise. This is clearly an update on a fundraising/financing activity. Therefore it fits the “Capital/Financing Update” category.
2026-05-28 English
Weekly NAV 1 page 213.8KB
Net Asset Value Classification · 95% confidence The document is an ASX announcement from an investment fund presenting the estimated pre-tax NTA per share as of a specific date, with comparative figures and commentary on portfolio positions and a rights issue. This matches a typical Net Asset Value update for a fund rather than a full financial report, earnings release, or other corporate filing category. Therefore, it is classified as a Net Asset Value update.
2026-05-28 English
Weekly NAV 1
Net Asset Value Classification · 92% confidence The document is an ASX announcement by an investment fund providing its estimated pre-tax Net Tangible Asset (NTA) per share as at a specific date, including a table of current and prior NTA values and percentage change. Although it briefly mentions a rights issue (capital raise), the primary purpose is to update investors on the fund’s Net Asset Value. This matches the Net Asset Value (NAV) category.
2026-05-21 English
Net Tangible Asset Backing 6 pages 410.3KB
Net Asset Value Classification · 90% confidence The document is an ASX announcement by an investment fund disclosing its monthly net tangible asset (NTA) backing (pre- and post-tax), along with portfolio commentary, top holdings, geographic and sector exposures. It is a regular NAV update for an investment fund in line with ASX Listing Rule 4.12. This aligns with the “Net Asset Value (NAV)” category.
2026-05-14 English
Weekly NAV 1
Net Asset Value Classification · 92% confidence The document is an ASX announcement by an investment fund providing its estimated pre‐tax NTA per share as of a specific date, along with commentary on market conditions and a rights issue. This is a periodic Net Asset Value update for the fund, fitting the Net Asset Value category rather than a broader financial report or rights issue notice. Thus, it is classified as a Net Asset Value update (NAV).
2026-05-14 English
Weekly NAV 1
Net Asset Value Classification · 95% confidence The document is an ASX announcement dated 8th May 2026 from the Fat Prophets Global Contrarian Fund. It provides an estimated pre-tax Net Tangible Assets (NTA) per share as of 6th May 2026, including changes since the last update. The content discusses portfolio rebalancing, stock additions and sales, and a rights issue currently open for subscription. The document is relatively short (2961 characters) and primarily provides an update on the fund's NTA and capital raising activity. It does not contain comprehensive financial statements or detailed financial analysis typical of an Interim/Quarterly Report (IR) or Annual Report (10-K). Instead, it is a regular update on the fund's NAV and related capital activity. Given the focus on NTA updates and the rights issue announcement, the best fitting category is Net Asset Value (NAV), which covers regular updates of NAV primarily for investment funds.
2026-05-07 English

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