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Chrysalis Investments Limited

CHRY · Main Market · Financial Services · mcap £304m today, £338m on 28 Sep

Pattern evidence · every line sourced
  1. Disposal completes, 28 Sep: Announcement of Completion of Sale of Klarna Stake and Compulsory Capital Redemption RNS
  2. Watch: next signal would be “Net cash ≈ market cap” – Net cash (ex leases) in the first results after the sale ≥ 50% of today's market cap, within 400 days.

AI summary with checked claims arrives with the nightly run. These lines are the matched extracts.

All announcements

  1. 30 Sep 26
    Director Resignations

    Chrysalis announces that further to recent announcements regarding the Company's ongoing management arrangements, Mr Simon Holden and Mr Tim Cruttenden, non-executive Directors of the Company, have stepped down from the Board of Directors with effect from...

    RNS 9799805 ↗
  2. 30 Sep 26
    Announcement of Compulsory Capital Redemption

    The Company announces that, in connection with the first Capital Redemption of its Ordinary Shares, as announced on 28 September 2026, at the close of business on 29 September 2026, ("the Redemption Date"), 19,685,039 Ordinary Shares were redeemed on a pro...

    RNS 9797747 ↗
  3. 28 Sep 26
    Holding(s) in Company Activist stake

    TR-1: Standard form for notification of major holdings

    RNS 9794936 ↗
  4. 28 Sep 26
    SIGNAL 1 Disposal completes

    Announcement of Completion of Sale of Klarna Stake and Compulsory Capital Redemption

    Sale of Klarna Stake and Compulsory Redemption · RNS 9792817 ↗
  5. 21 Aug 26
    Management Arrangements Update

    Further to the Company's announcement of 5 May 2026, the Board announces that the notice period of the Company's investment adviser, Chrysalis Investment Partners LLP ("CIP") expired on 20 August 2026 and, with effect from today, the Company has...

    RNS 9733041 ↗
  6. 03 Aug 26
    Quarterly NAV Announcement and Trading Update

    The Company announces that as at 30 June 2026 the unaudited net asset value ("NAV") per ordinary share was 131.09 pence.

    RNS 9699761 ↗
  7. 30 Jun 26
    Half-year Results

    Interim Results for the period from 1 October 2025 to 31 March 2026

    RNS 9642992 ↗
  8. 18 May 26
    Director/PDMR Shareholding Director buysRepeated director buys

    The Company wishes to announce in accordance with DTR 3.1 and Article 19 of The Market Abuse Regulation the following dealing in the Company's ordinary shares of no-par value by persons discharging managerial responsibility.

    RNS 9573923 ↗
  9. 12 May 26
    Director/PDMR Shareholding Director buys

    The Company wishes to announce in accordance with DTR 3.1 and Article 19 of The Market Abuse Regulation the following dealing in the Company's ordinary shares of no-par value by persons discharging managerial responsibility.

    RNS 9564003 ↗
  10. 07 May 26
    Director/PDMR Shareholding Director buys

    The Company wishes to announce in accordance with DTR 3.1 and Article 19 of The Market Abuse Regulation the following dealing in the Company's ordinary shares of no-par value by persons discharging managerial responsibility.

    RNS 9557297 ↗
  11. 05 May 26
    Quarterly NAV Announcement and Trading Update

    The Company announces that as at 31 March 2026 the unaudited net asset value ("NAV") per ordinary share was 137.27 pence.

    RNS 9551998 ↗
  12. 05 May 26
    Management Arrangements and Self-Managed Model

    The Board of Chrysalis Investments Limited (the "Company") today provides an update on its ongoing management arrangements following shareholder approval of the Company's updated investment policy at the Extraordinary General Meeting held on 24 March 2026.

    RNS 9551366 ↗
  13. 31 Mar 26
    Result of AGM

    The Company announces the results of voting on the resolutions at its Annual General Meeting ("AGM") held at 12:00 on Tuesday, 31 March 2026.

    RNS 9501399 ↗
  14. 24 Mar 26
    Result of General Meeting

    The Company announces the results of voting on the resolutions at its Extraordinary General Meeting ("EGM") held at 13:00 Hrs on Tuesday, 24 March 2026.

    RNS 9490000 ↗
  15. 10 Mar 26
    Liquidity and Cash Update

    Further to the Company's announcement on 19 February 2026 regarding its revised investment policy and its stated intention to repay the Barclays facility in full at its September 2026 maturity, the Company provides the following update.

    RNS 9465860 ↗
  16. 20 Feb 26
    Board clarification in response to stmt by CIP

    Board clarification made in response to statement by Chrysalis Investment Partners LLP

    RNS 9440968 ↗
  17. 20 Feb 26
    Propose New Inv Policy New Mgmt Arr. Notice of EGM

    Proposed New Investment Policy, New Management Arrangements and Notice of EGM

    RNS 9439409 ↗
  18. 20 Feb 26
    Appointment of Director

    The Company is pleased to announce the appointment of Sam Dobbyn as a non-executive director of the Company with immediate effect.

    RNS 9439269 ↗
  19. 30 Jan 26
    Quarterly NAV Announcement and Trading Update

    The Company announces that as at 31 December 2025 the unaudited net asset value ("NAV") per ordinary share was 165.36 pence.

    RNS 9394855 ↗
  20. 31 Dec 25
    Director Resignation

    Chrysalis announces that further to the Chairman's statement in the 30 September 2025 audited financial statements, Mrs Anne Ewing, a non-executive Director of the Company, has expressed her desire to step down from the Board of Directors for personal...

    RNS 9326137 ↗
  21. 19 Dec 25
    Shareholder Consult & Proposed Revised Inv Policy Cash return / net cash

    Update on Shareholder Consultation and proposed revised Investment Policy

    RNS 9307985 ↗
  22. 19 Dec 25
    Annual Report and Audited Financial Statements

    The Company today announces its results for the year ended 30 September 2025.

    RNS 9307792 ↗
  23. 05 Dec 25
    Update from QuotedData

    Chrysalis Investments (CHRY) is now seven years old, with a more mature portfolio.

    RNS 9277441 ↗
  24. 04 Nov 25
    Consultation Process Update

    In May 2025, the Board issued a Capital Allocation Update statement, which included a commitment to undertake an independent shareholder consultation exercise led by Rothschild & Co.

    RNS 9210327 ↗
  25. 04 Nov 25
    Quarterly NAV Announcement and Trading Update

    The Company announces that as at 30 September 2025 the unaudited net asset value ("NAV") per ordinary share was 171.65 pence.

    RNS 9210212 ↗

Source: Investegate RNS archive. Quotes are short extracts. Not investment advice.