Omni Bridgeway Ltd (obl) Logo

Omni Bridgeway Ltd (OBL)

___:___ · Financial Services
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OBL ASX Chart

Snapshot

Omni Bridgeway Limited (OBL, formerly IMF Bentham Limited) is engaged in dispute resolution finance, with specialising in civil and common law legal and recovery systems, and operations spanning Asia, Australia, Canada, Europe, the Middle East, the UK and the US. Omni Bridgeway is provider of funding solutions and offers end-to-end dispute finance from case inception through to post-judgment enforcement and recovery.

Share Price Activity (ASX)

Last (Price)
Change 0.00 (0.00)
Bid / Ask -
Volume
Volume (4w avg)
Turnover
Open
Day Range -
VWAP
Prev Close
Last Trade

Performance

1 Week
1 Month
2024 YTD
1 Year
vs Sector (1yr) -65.06%
vs ASX 200 (1yr) -50.36%

Size

Market Cap Question Mark Icon
Excludes mandatory escrowed shares and foreign shares.
ASX Rank 608 of 2,358
Sector Rank 232 of 638

Key Fundamentals

Shares Issued
Sector Financial Services
Similar Companies NFNG / QRI / FPR
EPS -$0.312
DPS $0.00
Book Value Per Share $0.53

Broker Consensus

OBL is not covered by a major broker, or data from most recent compilation was omitted due to not meeting QA guidelines.

Announcements

Price Sensitive only

Corporate Overview

Corporate Details

Head Office Sydney NSW 2000
Website www.omnibridgeway.com
Registry Computershare
Auditor BDO Audit Pty Ltd
Date Listed 28 Jan 2000

Upcoming Calendar (Forecasted)

Date Event
27/02/2025 Report (Interim)
28/08/2025 Report (Prelim)
28/08/2025 Report (Annual)

Former Company Names

  • IMF Bentham Limited (IMF), 02/04/2020
  • IMF(Australia) Ltd, 02/12/2013, Bentham IMF Limited (IMF), 18/11/2014
  • Insolvency Management Fund Limited, 27/11/2002
  • Max Multimedia Limited (MXM), 19/10/2001

Dividend History

DPS and Yield calculations use the Pay Date.

Ex-Date Amount Franking Gross Type Payable
01/09/2020 $0.04 100% $0.0571 Final 25/09/2020

See Upcoming Dividends for all ASX companies.

Key Data
DPS(TTM) $0.00
Gross DPS(TTM) $0.00
Dividend yield
Gross yield
Payout Ratio --
DRP Yes
DRP Features -

Directors & Management

Directors

Management

Director Transactions

OBL directors must report any change in shareholding to the ASX within 5 business days.

See Director Transactions for all ASX companies.

Date Director Type Amount Price Value Notes
11/03/24 Raymond van Hulst Buy +12,997 $1.55 $20,089 On-market trade
07/03/24 Raymond van Hulst Buy +37,003 $1.55 $57,480 On-market trade
29/01/24 Raymond van Hulst Issued 505,642 $3.41 $1,724,239 Issue of securities
23/11/23 Michael Kay Buy +50,000 $1.50 $75,000 On-market trade
20/11/23 Michael Kay Buy +80,000 $1.60 $128,000 On-market trade
17/11/23 Christine Feldmanis Buy +14,344 $1.59 $22,777 On-market trade
10/11/23 Christine Feldmanis Buy +10,000 $1.62 $16,200 On-market trade
08/11/23 Raymond van Hulst Buy +9,137 $1.70 $15,490 On-market trade
07/11/23 Raymond van Hulst Buy +7,585 $1.63 $12,363 On-market trade
03/11/23 Raymond van Hulst Buy +1,118 $1.52 $1,696 On-market trade
31/10/23 Raymond van Hulst Buy +100,000 $1.52 $151,605 On-market trade
31/10/23 Karen Phin Buy +30,000 $1.55 $46,500 On-market trade
21/09/23 Karen Phin Buy +25,000 $1.97 $49,250 On-market trade
15/09/23 Michael Green Buy +72,212 $1.99 $143,701 On-market trade
06/09/23 Karen Phin Buy +20,000 $2.19 $43,800 On-market trade
03/04/23 Andrew Saker Issued 367,122 $2.69 $987,558 Issue of securities
03/04/23 Raymond van Hulst Issued 112,600 $2.69 $302,894 Issue of securities
07/12/22 Raymond van Hulst Issued 1,669,179 $3.41 $5,691,900 Issue of securities
02/09/22 Raymond van Hulst Issued 16,725 $4.54 $75,931 Conversion of securities
02/09/22 Raymond van Hulst Exercise 16,725 $4.54 $75,931 Conversion of securities
22/02/22 Raymond van Hulst Issued 891,828 $3.41 $3,041,133 Issue of securities
04/02/22 Raymond van Hulst Issued 74,028 $3.29 $243,552 Issue of securities
04/02/22 Andrew Saker Issued 342,028 $3.29 $1,125,272 Issue of securities
03/09/21 Hugh McLernon Sell +225,000 $4.25 ($956,250) On-market trade
01/09/21 Hugh McLernon Sell +476,740 $4.03 ($1,921,262) On-market trade
30/08/21 Michael Kay Buy +50,000 $3.90 $195,000 On-market trade
08/04/21 Hugh McLernon Sell +1,000,000 $3.63 ($3,630,000) On-market trade
31/03/21 Michael Kay Buy +48,631 $3.52 $171,220 On-market trade
23/03/21 Hugh McLernon Sell +209,008 $3.60 ($752,428) On-market trade
18/12/20 Raymond van Hulst Issued 92,652 $3.97 $367,828 Issue of securities
18/12/20 Hugh McLernon Issued 249,020 $3.97 $988,609 Issue of securities
18/12/20 Andrew Saker Issued 263,898 $3.97 $1,047,675 Issue of securities
04/12/20 Raymond van Hulst Issued 1,747,551 $3.41 $5,959,148 Issue of securities
25/09/20 Christine Feldmanis Issued 471 $3.84 $1,807 Dividend Reinvestment Plan (DRP)
25/09/20 Michael Bowen Issued 11,496 $3.84 $44,121 Dividend Reinvestment Plan (DRP)
25/09/20 Michael Kay Issued 4,346 $3.84 $16,679 Dividend Reinvestment Plan (DRP)
25/09/20 Andrew Saker Issued 1,878 $3.84 $7,207 Dividend Reinvestment Plan (DRP)
09/09/20 Raymond van Hulst Buy +26,000 $4.04 $105,040 As advised by the company
01/09/20 Raymond van Hulst Buy +330,000 $4.28 $1,413,920 As advised by the company
09/06/20 Andrew Saker Issued 434,732 $4.83 $2,099,755 Issue of securities
09/06/20 Hugh McLernon Issued 417,342 $4.83 $2,015,761 Issue of securities
20/03/20 Christine Feldmanis Issued 185 $4.04 $748 Dividend Reinvestment Plan (DRP)
20/03/20 Andrew Saker Issued 1,327 $4.04 $5,365 Dividend Reinvestment Plan (DRP)
20/03/20 Michael Bowen Issued 8,124 $4.04 $32,850 Dividend Reinvestment Plan (DRP)
11/03/20 Christine Feldmanis Buy +5,000 $3.99 $19,950 On-market trade
11/03/20 Christine Feldmanis Buy +5,000 $3.99 $19,950 On-market trade
06/03/20 Michael Kay Buy +20,000 $4.11 $82,140 On-market trade
04/03/20 Christine Feldmanis Buy +15,000 $4.18 $62,700 On-market trade
04/03/20 Christine Feldmanis Buy +15,000 $4.18 $62,700 On-market trade
02/03/20 Michael Kay Buy +30,000 $4.27 $127,971 On-market trade
02/03/20 Michael Kay Buy +30,000 $4.27 $127,971 On-market trade
20/12/19 Andrew Saker Sell +100 $1,000.00 ($100,000) As advised by the company
20/12/19 Christine Feldmanis Buy +50 $1,000.00 $50,000 As advised by the company
05/11/19 Michael Bowen Issued 75,022 $3.40 $255,075 Rights issue
05/11/19 Michael Kay Issued 53,974 $3.40 $183,512 Rights issue
05/11/19 Hugh McLernon Issued 294,118 $3.40 $1,000,001 Rights issue
05/11/19 Andrew Saker Issued 10,000 $3.40 $34,000 Rights issue
05/11/19 Karen Phin Issued 4,010 $3.40 $13,634 Rights issue
17/10/19 Christine Feldmanis Buy +25,000 $3.58 $89,375 On-market trade
17/12/18 Hugh McLernon Issued 387,070 $2.86 $1,107,020 Issue of securities
17/12/18 Andrew Saker Issued 410,810 $2.86 $1,174,917 Issue of securities
16/11/18 Hugh McLernon Issued 5,357 $2.80 $15,000 Participation in share purchase plan
16/11/18 Andrew Saker Issued 5,357 $2.80 $15,000 Participation in share purchase plan
16/11/18 Michael Kay Issued 5,357 $2.80 $15,000 Participation in share purchase plan
07/09/18 Hugh McLernon Sell +50,000 $2.64 ($131,835) On-market trade
05/09/18 Hugh McLernon Sell +50,000 $2.66 ($133,145) On-market trade
24/04/18 Andrew Saker Buy +2,060 $2.35 $4,843 Dividend Reinvestment Plan (DRP)
15/12/17 Andrew Saker Issued 420,104 $2.73 $1,146,884 Issue of securities
15/12/17 Hugh McLernon Issued 395,984 $2.73 $1,081,036 Issue of securities
23/10/17 Karen Phin Buy +23,256 $2.15 $50,000 On-market trade
20/10/17 Michael Bowen Issued 19,314 $2.02 $39,090 Dividend Reinvestment Plan (DRP)
24/04/17 Andrew Saker Buy +2,060 $2.35 $4,843 Dividend Reinvestment Plan (DRP)
21/04/17 Michael Bowen Buy +16,565 $1.74 $28,820 Dividend Reinvestment Plan (DRP)
20/02/17 Hugh McLernon Issued 512,688 $2.03 $1,040,757 Issue of securities
20/02/17 Andrew Saker Issued 543,587 $2.03 $1,103,482 Issue of securities
29/11/16 Hugh McLernon Sell +1,000,000 $1.74 ($1,740,000) On-market trade
21/10/16 Andrew Saker Buy +6,379 $1.75 $11,193 Dividend Reinvestment Plan (DRP)
21/10/16 Michael Bowen Buy +39,380 $1.75 $69,096 Dividend Reinvestment Plan (DRP)
19/08/16 Hugh McLernon Issued 447,604 $1.66 $743,023 Issue of securities
19/08/16 Andrew Saker Issued 474,580 $1.66 $787,803 Issue of securities
06/04/16 Andrew Saker Buy +100 $1,000.00 $100,000 As advised by the company
24/03/16 Michael Kay Buy +307,692 $1.30 $400,000 On-market trade
24/03/16 Hugh McLernon Sell +307,692 $1.30 ($400,000) On-market trade
23/03/16 Andrew Saker Buy +149,254 $1.34 $200,000 On-market trade
23/03/16 Hugh McLernon Sell +149,254 $1.34 ($200,000) On-market trade
09/10/15 Michael Bowen Buy +34,162 $1.30 $44,356 Dividend Reinvestment Plan (DRP)
10/04/15 Michael Bowen Buy +20,484 $2.12 $43,334 Dividend Reinvestment Plan (DRP)

Director Interests

The current holdings of OBL directors.

Director Last Notice Direct Shares Indirect Shares Options Convertibles
Michael Green 30/06/2024 72,212 N/A N/A N/A
Raymond van Hulst 30/06/2024 16,725 5,389,940 N/A N/A
Christine Feldmanis 30/06/2024 N/A 85,000 N/A N/A
Karen Phin 30/06/2024 102,266 N/A N/A N/A
Michael Kay 30/06/2024 N/A 700,000 N/A N/A

Shareholder Info

Top 20 Shareholders

Data supplied by Morningstar and accurate on Jul 31, 2024.

It's not possible to publish a real-time Top 20 Shareholder list. Companies are not obliged to report this data (with the exception of Substantial Shareholders above 5%). If a company chooses to publish the data, it's usually once a year in their Annual Report.

All data is manually compiled so there might be a delay between the Annual Report being published and the data appearing on Market Index (<7 days for ASX 300 and up to 30 days for micro-caps).

Name Shares Capital
HSBC Custody Nominees (Australia) Limited 79,595,000 28.17%
J P Morgan Nominees Australia Pty Limited 46,088,000 16.31%
Citicorp Nominees Pty Limited 44,452,000 15.73%
BNP Paribas Noms Pty Ltd 14,037,000 4.97%
HSBC Custody Nominees (Australia) Limited A/C 2 13,504,000 4.78%
HSBC Custody Nominees (Australia) Limited <Gsco Customers A/C> 8,503,000 3.01%
UBS Nominees Pty Ltd 6,796,000 2.40%
BNP Paribas Noms Pty Ltd <Global Markets> 4,817,000 1.70%
HSBC Custody Nominees (Australia) Limited Gsco Eca 3,546,000 1.26%
CPU Share Plans Pty Ltd <Obl Lti Unallocated A/C> 3,468,000 1.23%
BNP Paribas Nominees Pty Ltd <Ib Au Noms Retailclient> 3,360,000 1.19%
Citicorp Nominees Pty Limited <Colonial First State Inv A/C> 2,518,000 0.89%
National Nominees Limited 1,676,000 0.59%
Mrs Sau Han Alice Phillips 1,474,000 0.52%
BNP Paribas Nominees Pty Ltd <Clearstream> 1,339,000 0.47%
BNP Paribas Nominees Pty Ltd <Agency Lending A/C> 1,232,000 0.44%
Ms Catherine Olweny 1,183,000 0.42%
Graham Newman Pty Ltd 1,068,000 0.38%
Mr Alexander Paul Chang 900,000 0.32%
Bouchi Pty Ltd 729,000 0.26%

Shareholder Distribution

As reported in the most recent Annual Report.

Holding Size 1 - 1,000 1,001 - 5,000 5,001 - 10,000 10,001 - 100,000 100,001+ Total
No. of Shareholders 1,117 1,161 496 675 91 3,540

Substantial Shareholders

A substantial shareholder is a person or entity that owns 5% or more of the voting shares in a company. Shares can be held through multiple entities, so the Substantial Shareholders list differs from the Top 20 Shareholders list.

Shareholding changes less than 1% do not require notification to the market. When all “Last Notice” dates are identical, it suggests that no (or minimal) change has occurred since the most recent Annual Report.

Note: If a substantial shareholder's stake drops below 5%, the "Shareholders Selling" field shows full ownership as sold and sets "New %" to zero, even if they continue to hold shares under the limit.

Name Last Notice Total Shares Shares Held (%)
Greencape Capital Pty Ltd 31/07/2024 17,312,889 6.10
Perpetual Investment Management Ltd. 31/07/2024 29,195,445 10.30
Samuel Terry Asset Management Pty Ltd 31/07/2024 16,350,000 5.80
Super Investment Management Pty. Ltd. 31/07/2024 26,198,886 9.30
Brightlight Capital Partners LP 20/09/2024 21,908,195 7.75
Perpetual Limited and subsidiaries 30/08/2024 35,595,186 12.60

Shareholders Buying

12 month transaction history compiled from ASX announcements.

Date Name Bought Previous % New %
20-09-24 Brightlight Capital Partners LP 7,731,401 5.02 7.75
11-09-24 Brightlight Capital Partners LP 14,176,794 -- 5.02
30-08-24 Perpetual Limited and subsidiaries 2,922,764 11.56 12.60
21-05-24 Samuel Terry Asset Management Pty Ltd 16,350,000 -- 5.80
01-05-24 Perpetual Limited and subsidiaries 3,197,093 10.51 11.56
11-12-23 Perpetual Limited and subsidiaries 3,240,375 9.35 10.51
06-12-23 Retail Employees Superannuation Pty Limited 2,844,837 8.54 9.55
30-11-23 Citigroup Global Markets Australia Pty Limited 14,319,427 -- 5.11
31-10-23 Perpetual Limited and subsidiaries 3,229,409 8.24 9.35
16-10-23 Celeste Funds Management Limited (formerly Souls Funds Management Limited) 14,128,012 -- 5.01

Shareholders Selling

12 month transaction history compiled from ASX announcements.

Date Name Sold Previous % New %
09-09-24 Challenger Limited 22,807,474 8.61 --
28-03-24 Celeste Funds Management Limited (formerly Souls Funds Management Limited) 14,128,012 5.01 --
12-03-24 Greencape Capital Pty Ltd 6,462,274 8.61 5.78
01-12-23 Citigroup Global Markets Australia Pty Limited 14,319,427 5.11 --
30-11-23 Vanguard Group 14,213,462 5.10 --

Historical Data

Share Price History

Date Close Change %Chg Open High Low Volume Turnover

Historical Data

Year Closing Price Last Trade
2024 $1.11 28 June
2023 $2.62 30 June
2022 $3.55 30 June
2021 $3.75 30 June
2020 $4.77 30 June
2019 $2.92 28 June
2018 $3.00 29 June
2017 $1.89 30 June
2016 $1.53 30 June
2015 $1.72 30 June
2014 $1.84 30 June
OBL Historical Price Data (CSV)
Up to 20 years of EOD share price history

Important note:

All year-end and CSV data is "as traded on the day" and ignores corporate actions (e.g. share splits)

Market Index, ASX and Morningstar Logos

All data on this page is supplied by the ASX, Morningstar and Market Index. Read the disclaimer.