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KEYBRIDGE CAPITAL LIMITED — Investor Relations & Filings

Ticker · KBC ISIN · AU000000KBC6 LEI · 549300UG314Z1PTXWP21 ASX Financial and insurance activities
Filings indexed 1,496 across all filing types
Latest filing 2014-12-18 Share Issue/Capital Cha…
Country AU Australia
Listing ASX KBC

About KEYBRIDGE CAPITAL LIMITED

https://www.keybridge.com.au

Keybridge Capital Limited is an investment and financial services group that specializes in managing a diversified portfolio of alternative assets. The company focuses on identifying and investing in high-yield opportunities across various sectors, including listed and unlisted equity, debt instruments, and property. Its core business activities involve strategic asset management, corporate restructuring, and the provision of structured finance solutions. Keybridge Capital aims to generate risk-adjusted returns through active management and the acquisition of undervalued assets. The firm leverages its expertise in complex financial transactions and investment analysis to navigate diverse market conditions, focusing on capital preservation and long-term value creation.

Recent filings

Filing Released Lang Actions
Appendix 3B 11 pages 270.0KB
Share Issue/Capital Change Classification · 100% confidence The document is an Appendix 3B filing submitted to the Australian Stock Exchange (ASX) regarding the issuance of loan funded shares under an executive share plan. It details the terms of the share issuance, including the number of shares, issue price, vesting conditions, and loan arrangements for executive directors. Appendix 3B is a standard form used in Australia for announcements of new issues of securities and related information. The document is not a financial report, earnings release, or management discussion, but rather a regulatory announcement about a capital issuance event. Therefore, it fits the category of Share Issue/Capital Change (SHA). The document length and detail confirm it is the actual announcement, not just a brief notice or report publication announcement.
2014-12-18 English
Keybridge to acquire the Aurora Funds Management business 1
M&A Activity Classification · 95% confidence The document is an announcement dated 19 December 2014 regarding Keybridge's intention to acquire the Aurora Funds Management business. It details the terms of the acquisition, including purchase price, conditions, and strategic rationale. There is no indication of this being a full financial report, audit, or regulatory filing. The content focuses on a transaction announcement related to acquisition activity. Therefore, the document fits best under the category of M&A Activity (TAR), which covers announcements and documents related to merger proposals or takeover bids. The document length is 3127 characters, which is consistent with an announcement rather than a full report.
2014-12-18 English
AFV: Keybridge to purchase Aurora funds management business 1
Capital/Financing Update Classification · 95% confidence The document is a press release announcing that Aurora Funds Limited and Keybridge Capital Limited have entered into a binding term sheet for the sale of Aurora's funds management business. It details the terms of the sale, including purchase price, shareholder approval, and employment arrangements. There is no financial statement, detailed financial analysis, or regulatory form filing included. The document is an update on a capital transaction and financing activity rather than a full report or regulatory filing. The length is short (3084 characters) and it is clearly an announcement of a transaction rather than a report or detailed filing. Therefore, the most appropriate classification is Capital/Financing Update (CAP).
2014-12-18 English
Change of Director's Interest Notice - Sormann 3 pages 102.9KB
Director's Dealing Classification · 100% confidence The document is titled 'Appendix 3Y Change of Director’s Interest Notice' and references ASX listing rule 3.19A.2 and section 205G of the Corporations Act. It details changes in securities holdings by a director, including the number of securities held before and after the change, the nature of the interest, and the value of the transaction. This type of document is a formal notification of personal share transactions by a company director. It is not a financial report, earnings release, or management discussion, but specifically a report of insider trades by directors. Therefore, it fits the category 'Director's Dealing' (DIRS). The document length and content confirm it is the actual notice, not just an announcement or certification.
2014-12-18 English
Change of Director's Interest Notice - Bolton 2 pages 103.0KB
Director's Dealing Classification · 100% confidence The document is titled 'Appendix 3Y Change of Director’s Interest Notice' and references ASX listing rule 3.19A.2 and section 205G of the Corporations Act. It details changes in securities holdings by a director, including the number of securities acquired and disposed, nature of interest, and dates. This type of document is a report of personal share transactions by company directors and executives, commonly known as insider trades or director dealings. It is not an annual report, earnings release, or any other financial report but specifically a director's dealing notice.
2014-12-18 English
Net Tangible Asset Backing 2 pages 320.6KB
Net Asset Value Classification · 95% confidence The document is titled 'Monthly Net Tangible Assets Per Share - November 2014' and provides unaudited net tangible asset (NTA) per share figures along with a breakdown of the company's investments by asset class and currency exposure. The document is dated 18 December 2014 and is addressed to the Australian Securities Exchange (ASX) Markets Announcements. The content is a periodic update on the company's net asset value and investment composition rather than a full financial report or annual/quarterly report. The document length is 2265 characters, which is relatively short and focused on NTA data. This fits the definition of a Net Asset Value (NAV) update, which is a regular update primarily for investment funds on their NAV. Therefore, the appropriate classification is NAV.
2014-12-17 English

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