Tuesday in NAV Day and the estimated Net Asset Value per unit of the Lowell Resources Fund is $1.3033 compared with $1.2527 last week.
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Tuesday is NAV Day and the estimated Net Asset Value per unit of the Lowell Resources Fund is $1.5454 compared with $1.5962 the previous week.
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Tuesday is NAV Day and the estimated Net Asset Value per unit of the Lowell Resources Fund is $1.2441 compared with $1.2692 the previous week.
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Tuesday is NAV Day and the estimated Net Asset Value per unit of the Lowell Resources Fund is $1.1857 compared with $1.2441 the previous week.
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Tuesday is NAV Day and the estimated Net Asset Value per unit of the Lowell Resources Fund is $1.605 compared with $1.6039 last week.
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Tuesday is NAV Day and the estimated Net Asset Value per unit of the Lowell Resources Fund is $1.4402 compared with $1.4691 the previous week.
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Tuesday is NAV Day and the estimated Net Asset Value per unit of the Lowell Resources Fund is $1.6039 compared with $1.5525 last week.
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Tuesday is NAV Day and the estimated Net Asset Value of the Lowell Resources Fund has nudged above A$50 million or $1.4462 per unit (34.588 million on issue) compared with $1.3668 per unit the previous week.
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Tuesday is NAV Day and the estimated Net Asset Value per unit of the Lowell Resources Fund is $1.5466, compared with $1.5167 the previous week. The last traded price on the ASX for units in $LRT.ASX is $1.305 which is a discount to NAV of 15.6%. #resources #fund #gold
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