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OPHIR HIGH CONVICTION FUND — Investor Relations & Filings

Ticker · OPH ASX Financial and insurance activities
Filings indexed 918 across all filing types
Latest filing 2026-05-03 Regulatory Filings
Country AU Australia
Listing ASX OPH

About OPHIR HIGH CONVICTION FUND

https://www.ophiram.com.au/

The Ophir High Conviction Fund is a managed investment vehicle that utilizes a fundamental, bottom-up research methodology to identify growth-oriented small and mid-cap companies. The fund maintains a concentrated portfolio, typically comprising 15 to 30 positions, selected for their potential to deliver long-term capital appreciation. Its investment strategy prioritizes businesses characterized by sustainable competitive advantages, robust management teams, and structural growth drivers. By focusing on high-conviction opportunities and maintaining a high active share relative to broad market indices, the fund aims to generate superior risk-adjusted returns. The management team emphasizes rigorous financial analysis and direct corporate engagement to evaluate business quality and intrinsic value, ensuring a disciplined approach to security selection and portfolio construction.

Recent filings

Filing Released Lang Actions
Weekly NTA 01.05.2026 1 page 215.6KB
Regulatory Filings
2026-05-03 English
Month End NTA - 30.04.2026 1 page 271.9KB
Regulatory Filings
2026-04-30 English
Appointment of Company Secretary 2 pages 217.8KB
Regulatory Filings
2026-04-30 English
Weekly NTA 24.04.2026 1 page 210.5KB
Net Asset Value Classification · 1% confidence The document is a weekly Net Asset Value (NAV) estimate for the Ophir High Conviction Fund, providing an unaudited NAV per unit and typical fund background information. This is a regular update of the fund’s NAV, matching the definition of a Net Asset Value report (NAV), not an annual or interim report or mere announcement of report publication.
2026-04-27 English
Weekly NTA 17.04.2026 1 page 215.9KB
Net Asset Value Classification · 1% confidence The document is titled “Weekly NAV Estimate” and provides the unaudited Net Asset Value per unit for the Ophir High Conviction Fund on a specific date. It is clearly a regular NAV update for an investment fund, matching the Net Asset Value category.
2026-04-19 English
March 2026 Webinar Summary 3 pages 251.5KB
Fund Information / Factsheet Classification · 1% confidence The document is a periodical investor update from Ophir Asset Management for the Ophir High Conviction Fund, providing month-end NAV performance, market commentary, top contributors/detractors, and fund-level information such as a buy-back facility. It is not a formal regulatory filing (e.g., 10-K, IR), nor an earnings press release, M&A, or board change. It resembles a fund factsheet or investor newsletter summarizing key fund facts and performance for unit-holders. Therefore it best matches the Fund Information / Factsheet category (FS).
2026-04-14 English

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