| Financial Services Industry | Financials Sector | - CEO | CXA Exchange | AU60OPH00027 ISIN |
| Australia Country | - Employees | 30 Jun 2026 Last Dividend | - Last Split | - IPO Date |
Ophir Asset Management Pty Ltd operates as an investment management firm with a focus on delivering strong, risk-adjusted returns over the long term. Established in 2015 and headquartered in Australia, the company has carved a niche for itself in the competitive financial market. It manages the Ophir High Conviction Fund, listed on the ASX under the ticker OPH, showcasing its commitment to transparency and accessibility for investors. The firm is known for its high-conviction investment approach, implying a concentrated portfolio strategy where the firm invests in what it believes to be the most promising opportunities without being constrained by benchmarks.
This flagship product of Ophir Asset Management Pty Ltd is a publicly traded investment vehicle that seeks to provide investors with long-term capital growth. The fund primarily invests in a concentrated portfolio of Australian and overseas listed companies, leveraging the firm's high-conviction investment strategy. By focusing on a select group of investments, the fund aims to outperform traditional benchmark indices over a rolling five-year period, making it an attractive option for investors looking for differentiated market exposure and the potential for higher returns.