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RYDER CAPITAL LIMITED — Investor Relations & Filings

Ticker · RYD ISIN · AU000000RYD1 LEI · 254900ZRZWE7C2Z6YL12 ASX Financial and insurance activities
Filings indexed 853 across all filing types
Latest filing 2018-02-21 Interim / Quarterly Rep…
Country AU Australia
Listing ASX RYD

About RYDER CAPITAL LIMITED

https://www.rydercapital.com.au

Ryder Capital Limited manages a concentrated portfolio of listed securities through a high-conviction, value-driven strategy. The firm focuses on identifying undervalued growth opportunities within the small to mid-cap equity segment. Its process is characterized by rigorous fundamental research and a long-term capital appreciation objective. The company prioritizes absolute returns over benchmark tracking, maintaining a disciplined approach to capital preservation and risk management. Key activities include active portfolio management and strategic capital allocation to businesses with sustainable competitive advantages and strong management teams.

Recent filings

Filing Released Lang Actions
Appendix 4D and 1H FY2018 Financials 19 pages 492.6KB
Interim / Quarterly Report Classification · 100% confidence The document is titled 'Appendix 4D' and reports financial results for the half-year ended 31 December 2017, with comparative figures for the previous half-year. It includes detailed financial statements such as Statement of Profit or Loss, Statement of Financial Position, Statement of Changes in Equity, and Statement of Cash Flows. There is also an Independent Auditor Review Report and Directors' Report. The document references Listing Rule 4.2A, which pertains to half-year financial reports for listed entities in Australia. The content is comprehensive and includes actual financial data and analysis for a period shorter than a full fiscal year, consistent with an Interim / Quarterly Report. The length of the document (15,000 characters) and the presence of substantive financial data confirm it is the report itself, not just an announcement or certification. Therefore, the appropriate classification is Interim / Quarterly Report (IR). H1 2018
2018-02-21 English
1H FY2018 Income and Dividend Declaration 2 pages 141.4KB
Interim / Quarterly Report Classification · 95% confidence The document is a media release from Ryder Capital Limited dated 22 February 2018. It reports on the company's financial performance for the six months ended 31 December 2017, including pre-tax net tangible asset (NTA) growth, total comprehensive income after tax, and the declaration of an inaugural fully franked interim dividend. The document includes detailed financial performance metrics, portfolio performance, and outlook commentary. It is not a full annual report or audit report but rather a periodic financial update covering a half-year period with substantive financial data and analysis. The presence of interim dividend declaration and half-year financial results aligns with characteristics of an Interim / Quarterly Report. The document length (6317 characters) and content indicate it is a report itself, not merely an announcement of a report publication. Therefore, the most appropriate classification is Interim / Quarterly Report (IR). H1 2018
2018-02-21 English
Dividend/Distribution - RYD 3 pages 26.6KB
Notice of Dividend Amount Classification · 100% confidence The document is a notification of dividend/distribution for Ryder Capital Limited, detailing the dividend amount, ex-date, record date, and payment date. It is an announcement informing shareholders about the dividend payment rather than a full financial report or analysis. The document length is 4160 characters, which is relatively short and consistent with an announcement rather than a detailed report. Therefore, it fits the category of Notice of Dividend Amount (DIV).
2018-02-21 English
Net Tangible Asset Backing 1 page 668.6KB
Net Asset Value Classification · 95% confidence The document is titled 'Net Tangible Asset & Monthly Investment Report' and is dated as at 31 January 2018. It contains detailed investment performance data over multiple time periods, portfolio holdings, investment commentary, asset allocation, and information about the investment team and company. The content is focused on investment performance metrics and portfolio details rather than a full annual or quarterly financial report. The document length is about 5,051 characters, which is sufficient to contain substantive financial data. The nature of the report aligns with a regular update on net asset value and investment performance, typical of investment funds. Therefore, the document best fits the category of a Net Asset Value (NAV) report, which provides regular updates primarily for investment funds on their net asset value and related investment information.
2018-02-07 English
Net Tangible Asset Backing 1 page 478.2KB
Net Asset Value Classification · 95% confidence The document is titled 'Net Tangible Asset & Monthly Investment Report' and is dated as at 31 December 2017. It contains detailed investment performance data, portfolio holdings, investment strategy, asset allocation, and management team information. The content focuses on monthly investment performance and portfolio updates rather than a full annual or quarterly financial report. The presence of monthly NTA (Net Tangible Asset) data and investment commentary indicates this is a regular update on the fund's asset value and investment status. This matches the definition of a Net Asset Value (NAV) report, which provides regular updates primarily for investment funds. The document length (5093 characters) and detailed financial data support classification as a NAV report rather than a brief factsheet or announcement. Therefore, the appropriate classification is NAV.
2018-01-08 English
Net Tangible Asset Backing 1 page 396.1KB
Net Asset Value Classification · 95% confidence The document is titled 'Net Tangible Asset & Monthly Investment Report' and is dated as at 30 November 2017. It contains detailed investment performance data over various periods, portfolio holdings, investment commentary, strategy, asset allocation, and key company information. The content is focused on investment returns, portfolio composition, and management commentary, typical of a fund's periodic update. The document length is 4238 characters, which is relatively short but contains substantive financial data and analysis, not just an announcement or a link to a report. This matches the characteristics of a Net Asset Value (NAV) report, which provides regular updates on the NAV primarily for investment funds. There is no indication that this is an announcement or a regulatory filing, nor is it a full annual or interim report. Therefore, the appropriate classification is NAV.
2017-12-07 English

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