Skip to main content

$1.71 0.03 (1.79%)

High

$1.71

Low

$1.67

Trades

64

Turnover

$405,210

Volume

238,858
30 June 2023 at 4:10pm
Register to track PGG and receive email alerts.
Subject
PGG Ann: PGG NAV Estimate as of 20.07.2022

PGG Ann: Dividend/Distribution - PGG

PGG Ann: PGG NAV Estimate as of 15.07.2022

PGG Ann: PGG NAV Estimate as of 13.07.2022

PGG Ann: Unitholder Monthly Report for June 2022

PGG Ann: Update - Dividend/Distribution - PGG

PGG Ann: PGG NAV Estimate as of 08.07.2022

PGG Ann: PGG NAV Estimate as of 06.07.2022

PGG Ann: PGG NAV Estimate as of 01.07.2022

PGG Ann: Month End NTA for June 2022

PGG Ann: PGG NAV Estimate as of 29.06.2022

PGG Ann: PGG NAV Estimate as of 24.06.2022

PGG Ann: PGG NAV Estimate as of 22.06.2022

PGG Ann: Dividend/Distribution - PGG

PGG Ann: Unitholder Monthly Report for May 2022

PGG Ann: PGG NAV Estimate as of 17.06.2022

PGG Ann: PGG NAV Estimate as of 15.06.2022

PGG Ann: PGG NAV Estimate as of 10.06.2022

PGG Ann: Update - Dividend/Distribution - PGG

PGG Ann: PGG NAV Estimate as of 08.06.2022

PGG Ann: PGG NAV Estimate as of 03.06.2022

PGG Ann: PGG NAV Estimate as of 01.06.2022

PGG Ann: Month End NTA for May 2022

PGG Ann: PGG NAV Estimate as of 27.05.2022

PGG Ann: Appendix 3X - Initial Director's Interest Notice MOC

PGG Ann: PGG NAV Estimate as of 25.05.2022

PGG Ann: PGG NAV Estimate as of 20.05.2022

PGG Ann: Dividend/Distribution - PGG

PGG Ann: PGG NAV Estimate as of 18.05.2022

PGG Ann: Director Appointment

PGG Ann: PGG NAV Estimate as of 13.05.2022

PGG Ann: Unitholder Monthly Report for April 2022

PGG Ann: PGG NAV Estimate as of 11.05.2022

PGG Ann: Update - Dividend/Distribution - PGG

PGG Ann: PGG NAV Estimate as of 06.05.2022

PGG Ann: PGG NAV Estimate as of 04.05.2022

PGG Ann: Month End NTA for April 2022

PGG Ann: Responsible Entity Compliance Committee member changes

PGG Ann: PGG NAV Estimate as of 29.04.2022

PGG Ann: PGG NAV Estimate as of 27.04.2022

PGG Ann: PGG NAV Estimate as of 22.04.2022

PGG Ann: PGG NAV Estimate as of 20.04.2022

PGG Ann: Dividend/Distribution - PGG

PGG Ann: PGG NAV Estimate as of 13.04.2022

PGG Ann: PGG NAV Estimate as of 08.04.2022

PGG Ann: Unitholder Monthly Report for March 2022

PGG Ann: Update - Dividend/Distribution - PGG

PGG Ann: PGG NAV Estimate as of 06.04.2022

PGG Ann: PGG NAV Estimate as of 01.04.2022

PGG Ann: Month End NTA for March 2022

Register to track PGG and receive email alerts.