ANTIPODES GLOBAL SMID ACTIVE ETF (ASX:MID)

ASX announcement history & article coverage

15
Total announcements
(in last 3 months)
1
With article
14
No article
Article coverage
7%
Transparent by design. Announcments by ANTIPODES GLOBAL SMID ACTIVE ETF (ASX:MID) are listed here, whether we covered it or not. Where we've written an article, you'll see it linked directly. Where we haven't, the filing is still shown so nothing is hidden from view. If you think a particular announcement deserved editorial coverage and was overlooked, you can flag it for review and our team will take a look.

22 Sept 2026 · 04:12 pm AEST Material ASX Filing
Annual Report
Antipodes Global SMID Fund reports strong FY2026 growth and $22.7 million profit
15 Sept 2026 · 03:38 pm AEST ASX Filing
August 2026 Investment Update
7 Sept 2026 · 05:41 pm AEST ASX Filing
Derivatives Disclosure - August 2026
7 Sept 2026 · 05:40 pm AEST ASX Filing
Units on Issue & Movements - August 2026

31 Aug 2026 · 05:38 pm AEST ASX Filing
Disclosure of Portfolio Holdings June 2026
17 Aug 2026 · 09:34 am AEST ASX Filing
July 2026 Investment Update
7 Aug 2026 · 05:30 pm AEST ASX Filing
Derivatives Disclosure - July 2026
7 Aug 2026 · 05:21 pm AEST ASX Filing
Units on Issue & Movements - July 2026

22 July 2026 · 02:13 pm AEST ASX Filing
June 2026 Investment Update
7 July 2026 · 06:17 pm AEST ASX Filing
Units on Issue & Movements - June 2026
7 July 2026 · 06:17 pm AEST ASX Filing
Units on Issue & Movements - June 2026
7 July 2026 · 06:16 pm AEST ASX Filing
Derivatives Disclosure - June 2026
2 July 2026 · 06:18 pm AEST Material ASX Filing
Dividend Reinvestment Plan Price
Antipodes Global SMID Active ETF sets DRP issue price at $10.3905 for FY 2026
2 July 2026 · 06:06 pm AEST ⚡ Price SensitiveMaterial ASX Filing
Final Distribution Details
Antipodes Global SMID Active ETF declares final distribution of $0.04586 per unit for FY 2026

26 June 2026 · 05:57 pm AEST ⚡ Price SensitiveMaterial ASX Filing
Annual Distribution Estimate and Timetable
Antipodes Global SMID Active ETF announces estimated FY2026 distribution and reminds unitholders to confirm preferences