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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 2014-08-26 Annual Report
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
Preliminary Final Report 2 pages 185.5KB
Annual Report Classification · 90% confidence The document is titled 'Preliminary Final Report (Appendix 4E) for the year ended 30 June 2014' and contains consolidated financial results for the full fiscal year ending June 30, 2014. It includes key financial metrics such as revenue, loss after tax, shareholders' funds per share, net tangible assets per share, and details on control gained or lost over entities during the period. The document references the 2014 Annual Report and Earnings Announcement as separate releases. The length is 3113 characters, which is relatively short but contains substantive financial data and analysis for the full fiscal year. Appendix 4E is typically a preliminary final report for Australian listed companies, which is a form of annual report summary. Given the detailed financial results and the full year period, this document aligns best with an Annual Report (10-K) type filing rather than a brief announcement or regulatory filing. Therefore, the classification is Annual Report (10-K). FY 2014
2014-08-26 English
Full Year Results 6 pages 220.7KB
Annual Report Classification · 95% confidence The document is a detailed financial report covering the full year ended 30 June 2014 for Keybridge Capital Limited. It includes comprehensive financial results, income statements, balance sheet summaries, asset valuations, impairments, and outlook commentary. The presence of audited net tangible assets, detailed financial tables, and extensive narrative on financial performance and asset classes indicates this is a full annual financial report. The document is about 15,000 characters long, which is consistent with a full report rather than a brief announcement. There is no indication that this is merely an announcement of a report or a certification letter. Therefore, this document fits the definition of an Annual Report (10-K equivalent). FY 2014
2014-08-26 English
Annual Report to shareholders 96 pages 2.1MB
Annual Report Classification · 100% confidence The document is titled 'Annual Report 2014' and contains detailed sections typical of an annual report, including Chairman's Letter, Managing Director's Report, Corporate Governance, Directors' Report, Remuneration Report, Auditor's Report, and full financial statements such as Consolidated Statement of Comprehensive Income, Statement of Financial Position, and Notes to the Financial Statements. The document covers the financial year ended 30 June 2014 and includes comprehensive financial data and management commentary. The length of the document (15,000 characters) and the detailed content confirm it is the full annual report rather than an announcement or summary. Therefore, the document fits the definition of an Annual Report (10-K). FY 2014
2014-08-26 English
Annual Results Presentation 16 pages 2.1MB
Annual Report Classification · 95% confidence The document is a detailed presentation of the company's financial results for the fiscal year ended 30 June 2014. It includes comprehensive financial data such as net loss, asset valuations, impairments, income sources, and detailed descriptions of various asset classes and investments. The presence of full financial performance data, discussion of business activities, and outlook indicates this is a full annual financial report. The document is lengthy (15,000 characters) and contains substantive financial information rather than just an announcement or summary. Therefore, it fits the definition of an Annual Report (10-K). FY 2014
2014-08-26 English
Net Tangible Asset Backing 2 pages 195.2KB
Net Asset Value Classification · 95% confidence The document is titled 'Monthly Net Tangible Assets Per Share' for July 2014 and provides unaudited NTA per share figures along with a breakdown of the company's investments by asset class and currency exposure. The document length is 2178 characters, which is relatively short and primarily contains summary financial data without comprehensive financial statements or detailed analysis. It is a periodic update on the company's net asset value rather than a full financial report. This fits the definition of a Net Asset Value (NAV) update, which regularly provides NAV information for investment funds or similar entities. Therefore, the appropriate classification is NAV.
2014-08-14 English
Net Tangible Asset Backing 2 pages 195.0KB
Net Asset Value Classification · 95% confidence The document is titled 'Monthly Net Tangible Assets Per Share June 2014' and provides unaudited NTA per share data for June and May 2014, along with a breakdown of the company's investments by asset class and currency exposure. The document length is 2179 characters, which is relatively short. It does not contain comprehensive financial statements or detailed analysis typical of an Interim/Quarterly Report (IR) or Annual Report (10-K). Instead, it provides a snapshot update of net tangible assets and investment composition for a specific month. This type of document aligns with a Net Asset Value (NAV) update, which regularly informs investors about the NAV of the company or fund. Therefore, the appropriate classification is NAV.
2014-07-14 English

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