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MIRRABOOKA INVESTMENTS LIMITED — Investor Relations & Filings

Ticker · MIR ISIN · AU000000MIR5 LEI · 25490051O7MD1MUIND53 ASX Financial and insurance activities
Filings indexed 1,000 across all filing types
Latest filing 2026-05-24 Net Asset Value
Country AU Australia
Listing ASX MIR

About MIRRABOOKA INVESTMENTS LIMITED

https://www.mirra.com.au

Mirrabooka Investments Limited is a listed investment company that specializes in a diversified portfolio of small and medium-sized companies. The investment strategy focuses on identifying businesses with strong growth potential that are positioned outside the top 50 entities by market capitalization. The primary objective is to provide medium to long-term investment returns through a combination of capital appreciation and dividend income. The company employs a fundamental, bottom-up research process to select businesses characterized by sustainable competitive advantages, quality management teams, and sound financial structures. This approach allows for participation in the growth of emerging market leaders while managing risk through broad portfolio diversification.

Recent filings

Filing Released Lang Actions
Weekly Estimated NTA as at 22 May 2026 1 page 153.2KB
Net Asset Value Classification · 90% confidence The document is a periodic update of the estimated net tangible asset (NTA) backing per share for Mirrabooka Investments Limited, a fund. It provides the pre-tax NTA per share and share price as of a specific date. This matches the definition of Net Asset Value updates for investment funds (NAV).
2026-05-24 English
Weekly Estimated NTA as at 15 May 2026 1
Net Asset Value Classification · 85% confidence The document is a brief one‐page announcement from an investment fund (Mirrabooka Investments Limited) providing an estimated net tangible asset (NTA) backing per share as at 15 May 2026. This is a standard NAV update for an investment fund. It does not contain full financial statements or actuarial details beyond the NTA figure, and its primary purpose is to inform shareholders of the per‐share net asset value. Therefore, it fits the Net Asset Value (NAV) category.
2026-05-17 English
Weekly Estimated NTA as at 8 May 2026 1
Net Asset Value Classification · 90% confidence The document is a short ASX lodgement dated 11 May 2026 providing the estimated net tangible asset (NTA) backing per share as at 8 May 2026, including pre-tax NTA and share price. It is a routine NAV update for an investment fund (“Mirrabooka Investments Limited”). There are no financial statements or other report attachments — it solely communicates the NTA per share. This matches the Net Asset Value (NAV) category.
2026-05-10 English
NTA & Top 20 Investments as at 30 April 2026 2 pages 294.1KB
Net Asset Value Classification · 95% confidence The document is titled 'Monthly net tangible asset (NTA) backing per share and top 20 investments as at 30 April 2026' and provides detailed portfolio facts, investment objectives, sector allocation, and NTA figures for Mirrabooka Investments Limited. It includes specific financial data such as before and after tax NTA values, portfolio size, and top 20 investments with their values and percentages of the portfolio. The document is dated 5 May 2026 and is approximately 5,454 characters long, which is sufficient to contain substantive financial data. The content focuses on the net asset value and investment portfolio details rather than a full annual or interim report. This matches the definition of a Net Asset Value (NAV) update, which is a regular update of the NAV primarily for investment funds. There is no indication that this is an announcement of a report or a certification, so it is not RPA or RNS. Therefore, the correct classification is NAV.
2026-05-04 English
Weekly Estimated NTA as at 1 May 2026 1 page 152.3K
Net Asset Value Classification · 95% confidence The document is a short announcement from Mirrabooka Investments Limited providing an estimated net tangible asset (NTA) backing per share as of a specific date (1 May 2026). It includes a pre-tax NTA per share figure and the share price on that date. The document is only 1015 characters long, which is very brief and does not contain detailed financial statements or analysis. It explicitly states the NTA is unaudited and indicative only. This type of document is a regular update of the Net Asset Value (NAV) for an investment fund, which fits the definition of the NAV category. It is not an announcement of a report publication or a regulatory filing, but the actual NAV update itself. Therefore, the correct classification is NAV with high confidence.
2026-05-03 English
Weekly Estimated NTA as at 24 April 2026 1 page 153
Net Asset Value Classification · 92% confidence The document is a one‐page ASX market announcement from Mirrabooka Investments Limited providing an updated unaudited estimated net tangible asset (NTA) per share as of a specific date. This aligns with a regular Net Asset Value update primarily used by investment funds. It is not a notice of dividend, financing, management change, or other report type, but clearly a NAV announcement.
2026-04-26 English

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