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1000mercis — Investor Relations & Filings

Ticker · ALMIL ISIN · FR0010285965 LEI · 9695009UQ3QIRQZAWU89 PA Telecommunications, computer programming, consultancy, computing infrastructure, and other information service activities
Filings indexed 96 across all filing types
Latest filing 2020-03-04 Earnings Release
Country FR France
Listing PA ALMIL

About 1000mercis

https://numberly.com/en/

1000mercis, operating globally as Numberly, is a marketing technology group specializing in data-driven advertising and Customer Relationship Management (CRM) solutions. The company assists clients in transforming marketing expenditures into long-term, performance-boosting investments. Its core offering is the Numberly Martech Platform, a proprietary tool for executing and managing omnichannel campaigns across email, SMS, push notifications, social media, and programmatic display. In addition to its technology platform, Numberly provides strategic consulting, professional training via the Numberly Academy, and Impactly, a tool for measuring the environmental impact of marketing campaigns. The group focuses on making marketing more relevant, effective, and measurable for its clients.

Recent filings

Filing Released Lang Actions
Chiffre d’affaires annuel consolidé 2019
Earnings Release Classification · 100% confidence The document is titled "Chiffre d'affaires annuel consolidé 2019" (Consolidated Annual Revenue 2019) and provides key financial figures (revenue for 2019 vs 2018) and a breakdown by business line for the full year ending December 31, 2019. It includes a CEO quote and company background. This content strongly indicates an initial announcement of annual financial results, focusing on the top-line figure. It is not the comprehensive 10-K, nor is it a transcript or a formal audit report. The most fitting category for an initial announcement of periodical financial results (annual in this case) is 'Earnings Release' (ER). The document also mentions the date for the full 'Résultats annuels 2019' (April 1, 2020), confirming this text is the preliminary release/highlight announcement. FY 2019
2020-03-04 French
1000mercis - Bilan du contrat de liquidité
Transaction in Own Shares Classification · 95% confidence The document is titled "Bilan SEMESTRIEL S2 du contrat de liquidité contracté avec la Société de Bourse Gilbert Dupont" (SEMESTER BALANCE SHEET S2 of the liquidity contract entered into with Gilbert Dupont Stock Brokerage Firm) and provides detailed transaction data (purchases and sales of shares, cash balances) for the second half of 2019 (S2 2019), comparing it to the previous semi-annual balance (June 28, 2019) and the initial setup. It also includes an appendix for the first semester (S1 2019) data. This structure strongly indicates a periodic financial disclosure related to a specific agreement, likely a liquidity contract or market-making arrangement. Since it covers a six-month period (H2 2019) and details financial/share activity, it aligns best with a comprehensive periodic report, but it is not a full Annual Report (10-K) or a standard Interim Report (IR) which usually covers P&L/Balance Sheet/Cash Flow. Given the focus on specific contractual activity and periodic reporting, it is a specialized financial disclosure. The closest fit among the options for a detailed, periodic financial report that isn't a standard 10-K or IR is often categorized under general financial reporting or, if it were a fund, NAV. However, this document details the activity of a liquidity contract, which is a specific financial arrangement. Since it is a detailed report covering a defined period (H2 2019) and includes annexes for the full year's activity (S1 2019), it functions as a specialized periodic financial statement/report. If it were a standard quarterly/half-yearly report, it would be 'IR'. Given the specific nature (liquidity contract balance sheet), and the lack of a specific code for 'Liquidity Contract Report', we must choose the best fit. It is a comprehensive report for a period shorter than a year (H2 2019), making 'IR' (Interim / Quarterly Report) the most appropriate category for detailed periodic financial data, even if the content is specialized. It is clearly a report itself, not an announcement of a report (RPA).
2020-01-06 French
DÉCLARATION DE TRANSACTION SUR ACTIONS PROPRES
Transaction in Own Shares Classification · 99% confidence The document title is "DÉCLARATION DE TRANSACTION SUR ACTIONS PROPRES" (Declaration of Own Share Transaction). The content explicitly details the purchase of 13,470 shares by the company on December 6, 2019, as part of its share repurchase program, including volume, price, and market. This directly corresponds to the definition of a Transaction in Own Shares (share repurchase/issuance). The filing type code is POS.
2019-12-13 French
Rapport financier semestriel 2019
Interim / Quarterly Report Classification · 100% confidence The document is a 'Rapport semestriel' (Interim Report) for the period ending June 30, 2019. It contains comprehensive financial statements, including a consolidated balance sheet (Bilan consolidé) and a consolidated income statement (Compte de résultat consolidé), along with detailed notes to the financial statements. It is not an announcement or a summary, but the full interim financial report itself. H2 2019
2019-10-31 French
Chiffre d’affaires semestriel consolidé 2019
Earnings Release Classification · 100% confidence The document is titled "Chiffre d'affaires semestriel consolidé 2019" (Consolidated Half-Year Revenue 2019) and explicitly reports financial figures for the period ending June 30, 2019, comparing them to the previous year. This content structure—a detailed report on financial performance for a period shorter than a full year—aligns perfectly with the definition of an Interim / Quarterly Report (IR). Although it is a summary announcement, it contains the core financial data rather than just announcing that a report is forthcoming (which would suggest RPA or RNS). The document length (3552 chars) is substantial enough to be the report itself, not just a brief notice. H1 2019
2019-09-04 French
Bilan semestriel du contrat de liquidité contracté avec la société de bourse Gilbert Dupont
Capital/Financing Update Classification · 99% confidence The document is titled "Bilan semestriel du contrat de liquidité contracté avec la société de bourse Gilbert Dupont" (Semi-annual balance sheet of the liquidity contract entered into with the brokerage firm Gilbert Dupont). It details the status of a liquidity contract, including the number of shares and cash balance as of June 28, 2019, and transaction volumes (purchases and sales) during the first half of 2019. This type of filing specifically reports on the maintenance or status of a liquidity agreement, which often involves share transactions managed by a broker. This aligns closely with the definition of 'Transaction in Own Shares' (POS), as liquidity contracts are mechanisms for managing share supply/demand, often involving repurchases or sales of the company's own stock. While it is a report, it is highly specific to share transactions under a contract, making POS the most appropriate fit over general financing (CAP) or regulatory filings (RNS). The document is a specific report detailing share activity, not just an announcement of a report.
2019-07-05 French

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