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Altareit — Investor Relations & Filings

Ticker · AREIT ISIN · FR0000039216 LEI · 9695004OAPTHOKN99645 PA Real estate activities
Filings indexed 610 across all filing types
Latest filing 2015-03-04 Annual Report
Country FR France
Listing PA AREIT

Altareit, a subsidiary of the Altarea group, is a property development company specializing in a wide range of real estate asset classes. The company's primary focus is on residential and business properties, but its expertise also extends to offices, retail, logistics, hotels, serviced residences, photovoltaic infrastructures, and data centers. Altareit manages the entire development process, including land acquisition, project design, building permits, sales, and customer service, while subcontracting the construction phase. Through its consumer brands such as Cogedim, Woodeum, and Histoire & Patrimoine, the company leverages its multi-product capabilities to address the challenges of urban transformation.

Recent filings

Filing Released Lang Actions
Comptes consolidés 2014
Annual Report Classification · 1% confidence The document contains the full consolidated financial statements (Statement of Financial Position, Statement of Comprehensive Income, Cash Flow Statement, and Statement of Changes in Equity) for Altareit for the fiscal year ending December 31, 2014. It includes detailed notes to the accounts and management's financial analysis. Since it covers a full fiscal year and provides comprehensive financial data, it is classified as an Annual Report (10-K equivalent in this context). FY 2014
2015-03-04 French
Résultats annuels 2014
Earnings Release Classification · 1% confidence The document is a 'Communique sur les resultats' (Earnings Release) for Altareit for the period ending December 31, 2014. It contains key financial highlights, consolidated results, and management commentary on business segments (Logements, Bureaux, Commerce online). While it provides detailed financial tables, it is structured as an initial announcement of results (dated March 4, 2015) rather than a full statutory Annual Report (10-K). It fits the definition of an Earnings Release (ER) as it provides the initial announcement of periodic financial results with key highlights. FY 2014
2015-03-04 French
Déclaration mensuelle des transactions sur propres titres - Janvier 2015
Transaction in Own Shares Classification · 1% confidence The document is titled "PROGRAMME DE RACHAT" (Share Buyback Program) and contains a "TABLEAU DE DECLARATION MENSUELLE DES OPERATIONS REALISEES" (Table of Monthly Declaration of Operations Carried Out) for January 2015. It details the number of shares bought and sold by the company (ALTAREIT) during the month, including specific transaction dates, counterparties, and prices. This type of filing specifically reports on the company's own transactions in its shares, which directly corresponds to the definition of 'Transaction in Own Shares'.
2015-03-04 French
Nombre de droits de vote et d'actions composant le capital au 31 01 2015
Share Issue/Capital Change Classification · 1% confidence The document is titled "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 explicitly references French commercial code (Article L 233-8 II du Code de commerce) and AMF regulations, and provides a table detailing the total number of shares and voting rights as of a specific date (January 31, 2015). This structure is characteristic of a mandatory periodic disclosure regarding the company's capital structure and voting rights, which aligns best with the 'Major Shareholding Notification' (MRQ) category, as these reports often detail the total capital base against which major holdings are measured, or sometimes fall under general regulatory filings. Given the focus on the total number of shares and voting rights, it is a specific capital structure disclosure. While it is a monthly update, it is not a standard earnings release (ER) or interim report (IR). It is a specific regulatory disclosure about capital structure/voting rights, which is closely related to major shareholding notifications or general regulatory filings. Since the content is a formal, periodic disclosure of the total share capital and voting rights, it fits the scope of disclosures related to ownership structure changes or capital base reporting. In the provided definitions, 'MRQ' (Major Shareholding Notification) is the closest fit for disclosures related to changes in ownership thresholds and capital structure reporting, although 'RNS' (Regulatory Filings) is a possibility. However, the specific nature of reporting total shares and voting rights monthly often accompanies or substitutes for major holding reports in some jurisdictions. Given the explicit reference to Article L 233-8 II (which mandates disclosure of the total number of shares and voting rights), this is a standard regulatory filing concerning capital structure. I will classify this as MRQ as it directly relates to the base figures used for major shareholding calculations, or RNS if MRQ is too narrow. Since the document is a formal, periodic regulatory disclosure about the capital base, and not a general announcement, MRQ is a strong candidate, but RNS is the safest fallback for specific regulatory disclosures not explicitly listed. Let's re-evaluate: MRQ is for *notification of changes in significant share ownership levels*. This document reports the *total* capital base. This type of monthly capital structure report is often classified under general regulatory filings (RNS) or sometimes under 'SHA' (Share Issue/Capital Change) if it implies a change, but here it's a static monthly count. Given the options, RNS is the most appropriate general regulatory filing category for this specific monthly capital structure disclosure that doesn't fit perfectly into the other specific categories like ER, IR, or DIV.
2015-02-23 French
Déclaration des transactions réalisées sur actions propres - Décembre 2014
Transaction in Own Shares Classification · 1% confidence The document text is titled "PROGRAMME DE RACHAT" (Share Buyback Program) and contains a "TABLEAU DE DECLARATION MENSUELLE DES OPERATIONS REALISEES" (Monthly Declaration Table of Operations Carried Out) for December 2014. It details the number of shares bought and sold, and the transaction history related to a share repurchase program. This directly corresponds to the definition of reporting the company's own share transactions, which is classified as 'Transaction in Own Shares' (POS).
2015-01-16 French
Bilan semestriel du contrat de liquidité avec Kepler Chevreux au 31 12 2014
Report Publication Announcement Classification · 1% confidence The document is titled "BILAN SEMESTRIEL DU CONTRAT DE LIQUIDITE AVEC KEPLER CHEVREUX AU 31 décembre 2014" (Semi-annual balance sheet of the liquidity contract with Kepler Chevreux as of December 31, 2014). It details the assets (shares and cash) held under a liquidity contract, comparing the balance at the end of the period (Dec 31, 2014) with the previous period (June 30, 2014). This type of regular update concerning market-making or liquidity provision activities, especially when presented as a periodic balance report, aligns best with the category for updates on financing activities or capital structure management, which is 'Capital/Financing Update' (CAP). While it relates to market stability, it is not a general regulatory filing (RNS) or a dividend notice (DIV). It is a specific report on the status of a financial arrangement.
2015-01-16 French

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