Skip to main content

AI assistant

Sign in to chat with this filing

The assistant answers questions, extracts KPIs, and summarises risk factors directly from the filing text.

Barramundi Limited Net Asset Value 2021

Oct 14, 2021

66172_rns_2021-10-14_e4ee58f3-7263-4be3-aaf4-d394f5a6c0ac.pdf

Net Asset Value

Open in viewer

Opens in your device viewer

==> picture [157 x 87] intentionally omitted <==

Barramundi Limited Phone +64 9 489 7074 Fax +64 9 489 7139 Private Bag 93502 Takapuna, Auckland

BRM undiluted NAV as at 13/10/21 - $0.8906

Date 13/10/2021 6/10/2021
BRM undiluted NAV $0.8906 $0.8824
Share price close $0.99 $1.00
(Premium) (11%) (13%)

The above net asset value (NAV) is unaudited and net of fees and tax.

The NAV per share is calculated after deducting treasury stock (shares acquired under the Barramundi buyback programme) - currently nil.

  • The undiluted NAV excludes any impact on the NAV of the future exercise of warrants (BRMWF). At 13 October 2021, 52,532,918 warrants are on issue and may be exercised on 29 October 2021. The final exercise price of each warrant is $0.64.

The five largest portfolio holdings at 13 October 2021 are approximately as follows:

CSL 8%
Wisetech 7%
Carsales.com 7%
CBA 5%
Seek 5%

BACKGROUND

Barramundi is a listed investment company that invests in growing Australian companies. The Barramundi portfolio is managed by Fisher Funds, a specialist investment manager with a track record of successfully investing in growth company shares. The aim of Barramundi is to offer investors competitive returns through capital growth and dividends, and access to a diversified portfolio of investments through a single tax-efficient investment vehicle. Barramundi listed on the NZX Main Board on 26 October 2006 and may invest in companies that are listed on an Australian stock exchange or unlisted companies.

Contact Corporate Manager Barramundi Limited Tel +64 9 4840352