Skip to main content
Year archive

OPHIR HIGH CONVICTION FUND — 2022 filings

All 101 regulatory filings released by OPHIR HIGH CONVICTION FUND (OPH) in 2022, sourced directly from the official regulator.

101 Filings
2022 Period
2022 filings (101)
Filing Released Lang
Net Asset Value
2022-12-27 English
Net Asset Value
2022-12-18 English
Net Asset Value
2022-12-14 English
Net Asset Value
2022-12-11 English
Management Reports
2022-12-05 English
Net Asset Value
2022-12-04 English
Net Asset Value
2022-11-30 English
Net Asset Value
2022-11-27 English
Net Asset Value
2022-11-21 English
Net Asset Value
2022-11-20 English
Net Asset Value
2022-11-15 English
Net Asset Value
2022-11-15 English
Net Asset Value
2022-11-13 English
Net Asset Value
2022-11-06 English
Net Asset Value
2022-11-01 English
Board/Management Information
2022-10-31 English
Net Asset Value
2022-10-30 English
Net Asset Value
2022-10-23 English
Net Asset Value
2022-10-16 English
Net Asset Value
2022-10-12 English
Investor Presentation
2022-10-10 English
Net Asset Value
2022-10-09 English
Net Asset Value
2022-10-03 English
Net Asset Value
2022-09-25 English
Net Asset Value
2022-09-18 English
Net Asset Value
2022-09-14 English
Interim / Quarterly Report FY 2022
2022-09-13 English
Net Asset Value
2022-09-11 English
Regulatory Filings
2022-09-06 English
Net Asset Value
2022-09-04 English
Net Asset Value
2022-09-01 English
Annual Report FY 2022
2022-08-30 English
Regulatory Filings
2022-08-30 English
Net Asset Value
2022-08-28 English
Net Asset Value
2022-08-21 English
Net Asset Value
2022-08-17 English
Net Asset Value
2022-08-14 English
Net Asset Value
2022-08-07 English
Net Asset Value
2022-07-31 English
Fund Information / Factsheet
2022-07-31 English
Net Asset Value
2022-07-25 English
Share Issue/Capital Change
2022-07-19 English
Net Asset Value
2022-07-17 English
Notice of Dividend Amount
2022-07-17 English
Net Asset Value
2022-07-17 English
Net Asset Value
2022-07-10 English
Board/Management Information
2022-07-07 English
Fund Information / Factsheet
2022-07-05 English
Net Asset Value
2022-07-03 English
Net Asset Value
2022-06-30 English
Net Asset Value
2022-06-26 English
Notice of Dividend Amount
2022-06-21 English
Notice of Dividend Amount
2022-06-21 English
Net Asset Value
2022-06-19 English
Net Asset Value
2022-06-13 English
Investor Presentation
2022-06-09 English
Report Publication Announcement
2022-06-09 English
Net Asset Value
2022-06-08 English
Net Asset Value
2022-06-05 English
Net Asset Value
2022-05-31 English
Net Asset Value
2022-05-29 English
Net Asset Value
2022-05-22 English
Net Asset Value
2022-05-15 English
Net Asset Value
2022-05-08 English
Net Asset Value
2022-05-08 English
Fund Information / Factsheet
2022-05-03 English
Net Asset Value
2022-05-01 English
Net Asset Value
2022-04-25 English
Net Asset Value
2022-04-18 English
Net Asset Value
2022-04-13 English
Net Asset Value
2022-04-10 English
Fund Information / Factsheet
2022-04-07 English
Net Asset Value
2022-04-03 English
Net Asset Value
2022-04-03 English
Board/Management Information
2022-03-30 English
Net Asset Value
2022-03-27 English
Net Asset Value
2022-03-20 English
Net Asset Value
2022-03-13 English
Net Asset Value
2022-03-10 English
Fund Information / Factsheet
2022-03-08 English
Net Asset Value
2022-03-06 English
Net Asset Value
2022-02-28 English
Net Asset Value
2022-02-27 English
Share Issue/Capital Change
2022-02-22 English
Interim / Quarterly Report H1 2022
2022-02-22 English
Net Asset Value
2022-02-20 English
Net Asset Value
2022-02-13 English
Net Asset Value
2022-02-10 English
Net Asset Value
2022-02-06 English
Fund Information / Factsheet
2022-02-02 English
Director's Dealing
2022-01-31 English
Board/Management Information
2022-01-31 English
Net Asset Value
2022-01-31 English
Net Asset Value
2022-01-30 English
Net Asset Value
2022-01-23 English
Net Asset Value
2022-01-16 English
Net Asset Value
2022-01-16 English
Transaction in Own Shares
2022-01-12 English
Transaction in Own Shares
2022-01-12 English
Net Asset Value
2022-01-09 English
Net Asset Value
2022-01-03 English