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LOWELL RESOURCES FUND — Investor Relations & Filings

Ticker · LRT ISIN · AU000000LRT4 ASX Financial and insurance activities
Filings indexed 838 across all filing types
Latest filing 2025-03-31 Net Asset Value
Country AU Australia
Listing ASX LRT

About LOWELL RESOURCES FUND

https://www.lowellresourcesfundsmanagem…

Lowell Resources Fund is a managed investment scheme focused on providing exposure to the junior resources sector. The fund primarily invests in a diversified portfolio of early-stage exploration and development companies within the mining and energy sectors. Its investment strategy emphasizes capital growth by identifying undervalued opportunities in commodities such as gold, base metals, and oil and gas. Managed by a team of technical and financial professionals, the fund leverages specialized geological and commercial expertise to evaluate projects. The portfolio typically includes a mix of listed and unlisted entities, targeting high-growth potential assets. By focusing on the junior end of the market, the fund aims to capture value from discovery and development milestones that are often under-researched by larger institutional investors.

Recent filings

Filing Released Lang Actions
LRT NAV Estimate - 28 March 2025 1 page 137.0KB
Net Asset Value Classification · 100% confidence The document is a short announcement from Lowell Resources Fund providing an update on the estimated Net Asset Value (NAV) per unit as of a specific date (28 March 2025). It is addressed to ASX Limited and is clearly titled 'NET ASSET VALUE (NAV) UPDATE'. The content is brief and focused solely on the NAV figure without detailed financial statements or analysis. Given the short length (1504 characters) and the nature of the content, this is a regular NAV update rather than a full financial report or other filing type. Therefore, the appropriate classification is 'Net Asset Value (NAV)'.
2025-03-31 English
LRT NAV Estimate - 21 March 2025 1 page 137.0KB
Net Asset Value Classification · 100% confidence The document is a short announcement from Lowell Resources Fund providing an update on the Net Asset Value (NAV) per unit as of a specific date (21 March 2025). It is addressed to ASX Limited and is signed by the company secretary. The content is focused solely on the NAV update without detailed financial statements or analysis. The document length is only 1505 characters, indicating it is a brief notice rather than a full report. Therefore, this fits the category of a Net Asset Value (NAV) update.
2025-03-24 English
LRT NAV Estimate - 14 March 2025 1 page 137.0KB
Net Asset Value Classification · 100% confidence The document is a short announcement from Lowell Resources Fund providing an update on the estimated Net Asset Value (NAV) per unit as of a specific date (14 March 2025). It is addressed to ASX Limited and is clearly titled 'NET ASSET VALUE (NAV) UPDATE'. The content is brief and focused solely on the NAV figure without detailed financial statements or analysis. Given the short length (1505 characters) and the nature of the content, this is a regular NAV update rather than a full report or detailed financial disclosure. Therefore, the appropriate classification is 'Net Asset Value (NAV)'.
2025-03-17 English
LRT NAV Estimate - 7 March 2025 1 page 137.0KB
Net Asset Value Classification · 100% confidence The document is a brief announcement from Lowell Resources Fund providing an update on the estimated Net Asset Value (NAV) per unit as of a specific date (7 March 2025). It is short (1502 characters) and focuses solely on the NAV figure without detailed financial statements or analysis. The content matches the definition of a Net Asset Value (NAV) update, which is a regular update primarily for investment funds. There is no indication that this is a full report or an announcement of a report publication, but rather a direct NAV update.
2025-03-11 English
LRT Monthly Update - February 2025 10 pages 611.5KB
Interim / Quarterly Report Classification · 95% confidence The document is a detailed monthly update from Lowell Resources Fund for February 2025. It contains extensive financial and operational information about the fund's net asset value (NAV), portfolio composition, investment actions, market commentary, and performance comparisons. The document includes actual financial data such as NAV per unit, market capitalization, distribution paid, and portfolio holdings percentages. It also discusses market conditions, commodity prices, and economic factors affecting the fund's investments. The presence of substantive financial data and analysis for a period shorter than a full fiscal year, along with the monthly frequency, indicates this is an Interim / Quarterly Report. It is not a brief announcement or a report publication notice, nor is it a regulatory filing or certification. Therefore, the appropriate classification is Interim / Quarterly Report (IR).
2025-03-10 English
LRT NAV Estimate - 28 February 2025 1 page 137.0KB
Net Asset Value Classification · 100% confidence The document is a short announcement from Lowell Resources Fund providing an update on the Net Asset Value (NAV) per unit as of a specific date (28 February 2025). It is addressed to ASX Limited and is signed by the company secretary. The content is concise, focused solely on the NAV update, and does not contain detailed financial statements or analysis. Given the document length (1507 characters) and the nature of the content, it fits the category of a regular NAV update rather than a full report or announcement of a report publication. Therefore, the appropriate classification is 'Net Asset Value (NAV)'.
2025-03-03 English

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