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Altarea — Investor Relations & Filings

Ticker · ALTA ISIN · FR0000033219 LEI · 969500ICGCY1PD6OT783 PA Real estate activities
Filings indexed 1,508 across all filing types
Latest filing 2015-11-03 Director's Dealing
Country FR France
Listing PA ALTA

Altarea is a real estate company specializing in low-carbon urban transformation. The group develops, manages, and invests in a comprehensive portfolio of real estate projects across multiple segments, including residential, commercial (retail and offices), logistics, and data centers. Through its integrated platform of real estate skills, Altarea aims to support the evolution of cities by creating spaces that facilitate new ways of living, working, and consuming. The company's strategy is centered on sustainable development, with a focus on environmental sufficiency and social utility to create low-impact urban environments.

Recent filings

Filing Released Lang Actions
Opérations sur propres titres réalisées en septembre 2015
Director's Dealing Classification · 1% confidence The document text is a 'TABLEAU DE DECLARATION MENSUELLE DES OPERATIONS REALISEES' (Monthly Declaration Table of Transactions Carried Out). It details daily transactions (Achat/Vente - Buy/Sell) of company shares by an entity, including the number of shares, transaction price, and total amount, over a specific period (September 2015). This structure is characteristic of mandatory regulatory filings reporting insider or related-party transactions, specifically director's dealings or transactions in own shares. Given the detailed transaction log and the context of reporting share movements by insiders/related parties, the most fitting category is 'Director's Dealing' (DIRS), which covers personal share transactions by directors and executives. While it involves transactions in own shares (POS), DIRS is more specific for mandatory disclosures of insider activity.
2015-11-03 French
2015 9-Month revenue
Earnings Release Classification · 1% confidence The document text explicitly states, "*Unaudited figures at September 30, 2015*" and provides detailed financial breakdowns for the 9-month period ending September 30, 2015, including revenue tables segmented by quarter and business line (Retail, Residential, Office). This structure, focusing on detailed, period-specific financial performance metrics (revenue, reservations, backlog) for a period shorter than a full year (9 months), strongly indicates an Interim/Quarterly Report. It is comprehensive enough to be more than just an Earnings Release (ER) but is explicitly marked as unaudited figures for a period less than 12 months, fitting the definition of an Interim Report (IR). The length (12,958 characters) also suggests a detailed report rather than a brief announcement (RPA/RNS). 9M 2015
2015-10-28 French
Opérations sur propres titres réalisées du 21 au 27 octobre 2015
Transaction in Own Shares Classification · 1% confidence The document explicitly states 'Déclaration des transactions sur actions propres réalisées' (Declaration of transactions on own shares carried out) for a specific period (21/10/2015 au 27/10/2015). It details the number of shares bought ('Achats') and sold ('Ventes') by the issuer, which directly corresponds to the definition of a Transaction in Own Shares report. The filing type code for this activity is POS (Transaction in Own Shares). The document length is short (2367 chars), but it contains the full declaration data, not just an announcement of a report, thus POS is more appropriate than RPA or RNS.
2015-10-27 French
Opérations sur propres titres réalisées du 14 au 20 octobre 2015
Transaction in Own Shares Classification · 1% confidence The document explicitly states 'Déclaration des transactions sur actions propres réalisées' (Declaration of transactions on own shares carried out) for a specific period (14/10/2015 to 20/10/2015). It details 'Achats' (Purchases) and 'Ventes' (Sales) of shares, including the number of titles, weighted average price, and total amount. This directly corresponds to the definition of 'Transaction in Own Shares' (share repurchase/issuance).
2015-10-21 French
Nombre de droits de vote et d'actions composant le capital au 30 09 2015
Major Shareholding Notification Classification · 1% confidence The document explicitly states it is 'INFORMATION MENSUELLE RELATIVE AU NOMBRE TOTAL DE DROITS DE VOTE ET D'ACTIONS COMPOSANT LE CAPITAL SOCIAL' (Monthly information relating to the total number of voting rights and shares comprising the share capital). It provides a table detailing the total number of shares and voting rights as of a specific date (September 30, 2015). This content directly relates to tracking changes in share ownership and voting power, which aligns with the definition of Major Shareholding Notification (MRQ), although MRQ is typically for crossing thresholds. However, the structure and content—a mandatory monthly disclosure of total capital structure and voting rights based on AMF/Code de commerce regulations—is a specific type of regulatory disclosure. Given the options, this is a periodic report on capital structure and voting rights. While it is a monthly report, it is not a comprehensive 'Interim Report' (IR) which focuses on financial performance. It is closest to a notification regarding share capital structure. Since there isn't a specific 'Monthly Capital Structure Report' code, and it deals with share capital and voting rights, it is a specialized regulatory filing. The closest fit among the provided codes that deals with share capital structure updates, though not strictly a threshold crossing, is often grouped with share/capital related disclosures. However, the most precise category for mandatory disclosures about the total number of shares and voting rights, often published monthly or quarterly, is not explicitly listed. Given the focus on voting rights and share count, and the regulatory context (AMF), it is a specific regulatory filing. If we must choose from the list, 'Major Shareholding Notification' (MRQ) deals with share ownership changes, but this is a total count disclosure. 'Share Issue/Capital Change' (SHA) is about changes, not the periodic report of the total. Since this is a mandatory, periodic disclosure of capital structure details, and it is not a full financial report, it falls under general regulatory reporting. Given the options, and recognizing this is a mandatory disclosure about the capital base, it is best classified as a specific regulatory filing. If we strictly interpret the content as a report on the total capital structure, it is a specialized disclosure. Since it is a formal, periodic regulatory disclosure about the capital base, and not a threshold crossing notification (MRQ), the best general fit for mandatory, non-financial periodic reports is often RNS, but let's re-evaluate. This document is a formal declaration of the total capital structure, which is a key input for major shareholding calculations. In many databases, these monthly capital structure reports are classified separately or under a general regulatory filing. Given the options, and the fact that it is a formal declaration related to share capital, 'SHA' (Share Issue/Capital Change) is related, but this is a report *of* the current state, not an announcement *of* a change. 'MRQ' is for crossing thresholds. Since it is a formal, periodic regulatory disclosure about the capital base, I will classify it as a Regulatory Filing (RNS) as it doesn't fit the specific financial or corporate action codes perfectly, although it is highly specific. Reconsidering the definitions: it is a formal report on the capital structure. If we look at the content, it is a mandatory disclosure related to the capital base. Let's check if it fits MRQ better: MRQ is 'Notification of changes in significant share ownership levels (crossing thresholds)'. This document reports the *total* capital base, which underpins MRQ, but isn't the notification of a crossing itself. Given the mandatory nature and specific regulatory citation, RNS (Regulatory Filings - fallback) is the safest classification for a highly specific, non-standard report type, unless it is deemed a 'Share Issue/Capital Change' (SHA) announcement, which it is not. I will use RNS as the fallback for this specific monthly capital structure report.
2015-10-14 French
Achat de propres titres réalisés du 07 au 13 octobre 2015
Transaction in Own Shares Classification · 1% confidence The document explicitly states 'Déclaration des transactions sur actions propres réalisées Du 07/10/2015 au 13/10/2015' (Declaration of transactions on own shares carried out from 07/10/2015 to 13/10/2015) and details daily 'Achats' (Purchases) and 'Ventes' (Sales) of shares, along with the number of titles, weighted average price, and total amount. This directly corresponds to the definition of 'Transaction in Own Shares' (share repurchase/issuance), which is classified as POS.
2015-10-14 French

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