Skip to main content

$7.76 -0.62 (-7.40%)

High

$8.00

Low

$7.68

Trades

59

Turnover

$1,143,470

Volume

146,043
30 June 2023 at 3:59pm
Register to track LNAS and receive email alerts.
LNAS Announcements on Price Chart

Latest Announcements

Headline Date
Global X Estimated Distribution Announcement - June 2023 30 June 2023 at 9:05am
Global X Estimated Distribution Announcement - June 2023 26 June 2023 at 6:30pm
Global X Units on Issue May 2023 5 June 2023 at 11:15am
Global X Units on Issue April 2023 5 May 2023 at 10:10am
Global X Units on Issue March 2023 5 April 2023 at 9:50am
LNAS Half Year Accounts 15 March 2023 at 9:20am
Global X Units on Issue February 2023 6 March 2023 at 2:40pm
Global X Units on Issue January 2023 2 February 2023 at 11:55am
Global X Units on Issue December 2022 4 January 2023 at 12:05pm
Global X Units on Issue November 2022 1 December 2022 at 4:10pm
Global X Units on Issue October 2022 7 November 2022 at 5:55pm
Global X Units on Issue September 2022 4 October 2022 at 4:45pm
LNAS Annual Financial Report 29 September 2022 at 1:45pm
Replacement PDS dated 16 September 2022 16 September 2022 at 2:30pm
Change of Company Name 16 September 2022 at 2:25pm
ETFS Units on Issue August 2022 5 September 2022 at 1:05pm
ETFS Units on Issue July 2022 2 August 2022 at 7:20pm
Update - Dividend/Distribution 1 July 2022 at 7:15pm
ETFS Units on Issue June 2022 1 July 2022 at 6:25pm
Updated Estimated Distribution Announcement - Jun 2022 30 June 2022 at 10:15am
Estimated Distribution Announcement - June 2022 24 June 2022 at 5:35pm
Change of ownership and control of responsible entity 15 June 2022 at 12:45pm
ETFS Units on Issue May 2022 3 June 2022 at 11:55am
Replacement PDS dated 9 May 2022 9 May 2022 at 9:10am
ETFS Units on Issue April 2022 2 May 2022 at 6:30pm
ETFS Units on Issue March 2022 1 April 2022 at 4:45pm
LNAS Half Year Accounts 16 March 2022 at 9:15am
ETFS Units on Issue February 2022 1 March 2022 at 10:55am
ETFS Units on Issue January 2022 1 February 2022 at 5:25pm
ETFS Units on Issue December 2021 5 January 2022 at 8:55am
ETFS Units on Issue November 2021 1 December 2021 at 8:15pm
ETFS Units on Issue October 2021 2 November 2021 at 11:30am
LNAS Annual Financial Report 4 October 2021 at 12:15pm
ETFS Units on Issue September 2021 1 October 2021 at 8:50am
ETFS Units on Issue August 2021 1 September 2021 at 1:10pm
ETFS Units on Issue Jul 2021 2 August 2021 at 12:50pm
ETFS Units on Issue Jun 2021 2 July 2021 at 8:40am
Update - Dividend/Distribution - LNAS 1 July 2021 at 7:10pm
Update - Dividend/Distribution - LNAS 30 June 2021 at 8:45am
Dividend/Distribution - LNAS 24 June 2021 at 7:15pm
ETFS Units on Issue May 29021 1 June 2021 at 4:30pm
ETFS Units on Issue April 2021 7 May 2021 at 12:35pm
ETFS Units on Issue March 2021 1 April 2021 at 10:25am
LNAS Half Yearly Report and Accounts 11 March 2021 at 10:30am
ETFS Units on Issue February 2021 1 March 2021 at 9:20am
ETFS Units on Issue January 2021 2 February 2021 at 9:50am
ETFS Units on Issue December 2020 11 January 2021 at 9:05am
ETFS Units on Issue November 2020 1 December 2020 at 10:15am
ETFS Units on Issue October 2020 6 November 2020 at 6:05pm
Register to track LNAS and receive email alerts.