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BetaShares Gold Bullion ETF - Currency Hedged (ASX: QAU) - Announcements

- Current share price for QAU : $21.440

BetaShares Gold Bullion ETF - Currency Hedged (QAU) is an Exchange Traded Fund - commonly known as an ETF. For more details about how ETFs work, feel free to check out our What is an ETF? overview. Betashares Gold Bullion ETF - Currency Hedged (QAU, formerly Betashares Gold Bullion ETF (A$ Hedged)) is an exchange traded fund which track the performance of the price of gold bullion, with a currency hedge against movements in the AUD/USD exchange rate (before fees and expenses). QAU provides exposure to the performance of the price of gold bullion backed by physical gold bullion, the fund offers a convenient way for investors to gain exposure to the price of gold, without the inconvenience associated with directly purchasing, storing and insuring physical gold bullion.

Latest company announcements for BetaShares Gold Bullion ETF - Currency Hedged (QAU)

Market Cap ($m) Headline Release
date/time+
Price at
release+
Current
price+
Gain/Loss View
$686 Units On Issue Disclosure - 31 August 2016 7 Sep 2016 4:02PM $14.240 $21.440 risen by 50.56%
$686 Units on Issue Disclosure - 29 July 2016 8 Aug 2016 4:42PM $14.070 $21.440 risen by 52.38%
$686 Units on Issue Disclosure - 30 June 2016 7 Jul 2016 2:00PM $14.400 $21.440 risen by 48.89%
$686 Final Distribution Announcement 30 Jun 2016 7:14PM $13.870 $21.440 risen by 54.58%
$686 Estimated Distribution Announcement 30 Jun 2016 9:07AM $13.940 $21.440 risen by 53.80%
$686 Distribution Timetable 23 Jun 2016 6:07PM $13.290 $21.440 risen by 61.32%
$686 Units on Issue Disclosure - 31 May 2016 7 Jun 2016 4:44PM $13.070 $21.440 risen by 64.04%
$686 Units on Issue Disclosure - 29 April 2016 6 May 2016 5:23PM $13.470 $21.440 risen by 59.17%
$686 Units on Issue Disclosure - 31 March 2016 8 Apr 2016 8:28AM $12.930 $21.440 risen by 65.82%
$686 Interim Financial Report 14 Mar 2016 5:43PM $13.220 $21.440 risen by 62.18%
$686 Units on Issue Disclosure - 29 February 2016 7 Mar 2016 4:52PM $13.240 $21.440 risen by 61.93%
$686 Units on Issue Disclosure - 29 January 2016 5 Feb 2016 3:23PM $12.150 $21.440 risen by 76.46%
$686 Units on Issue Disclosure - 31 December 2015 6 Jan 2016 2:32PM $11.330 $21.440 risen by 89.23%
$686 Units on Issue Disclosure - 30 November 2015 7 Dec 2015 5:07PM $11.360 $21.440 risen by 88.73%
$686 Units on Issue Disclosure - 30 October 2015 6 Nov 2015 10:46AM $11.660 $21.440 risen by 83.88%
$686 Units on Issue Disclosure - 30 September 2015 7 Oct 2015 4:40PM $12.080 $21.440 risen by 77.48%
$686 Annual Financial Report 29 Sep 2015 5:16PM $11.880 $21.440 risen by 80.47%
$686 Units on Issue Disclosure - 31 August 2015 7 Sep 2015 4:47PM $11.790 $21.440 risen by 81.85%
$686 Units on Issue Disclosure - 31 July 2015 7 Aug 2015 9:43AM $11.390 $21.440 risen by 88.24%
$686 Units on Issue Disclosure - 30 June 2015 7 Jul 2015 5:18PM $12.250 $21.440 risen by 75.02%
$686 Estimated Distribution Announcement 30 Jun 2015 10:14AM $12.400 $21.440 risen by 72.90%
$686 Distribution Timetable 23 Jun 2015 7:19PM $12.420 $21.440 risen by 72.62%
$686 Units on Issue Disclosure - 29 May 2015 2 Jun 2015 9:27AM $12.530 $21.440 risen by 71.11%
$686 Units on Issue Disclosure - 30 April 2015 7 May 2015 9:41AM $12.610 $21.440 risen by 70.02%
$686 Final Distribution Announcement 1 Jul 2014 9:45AM $13.880 $21.440 risen by 54.47%

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  • + Company announcements and prices are delayed by least 20 minutes. Prices are indicative only.

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