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Compagnie de Saint-Gobain — Investor Relations & Filings

Ticker · SGO ISIN · FR0000125007 LEI · NFONVGN05Z0FMN5PEC35 PA Manufacturing
Filings indexed 2,155 across all filing types
Latest filing 2012-03-08 Share Issue/Capital Cha…
Country FR France
Listing PA SGO

About Compagnie de Saint-Gobain

https://www.saint-gobain.com/en

Compagnie de Saint-Gobain designs, manufactures, and distributes materials and solutions for the construction, industrial, and mobility markets. The company's portfolio includes a wide range of high-performance materials such as flat glass, insulation, gypsum, ceramics, plastics, and abrasives. These products are key components in applications ranging from building and infrastructure projects to automotive and other industrial sectors. Saint-Gobain focuses on developing innovative and sustainable solutions that enhance performance and contribute to the wellbeing of end-users.

Recent filings

Filing Released Lang Actions
Capital et droits de vote au 29 février 2012
Share Issue/Capital Change Classification · 95% 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 (L.233-8 II) and AMF regulations (223-16) and presents a table showing the total number of shares and voting rights as of a specific date (February 29, 2012). This content directly relates to the structure of the share capital and voting rights, which is a specific type of regulatory disclosure. However, none of the provided codes perfectly match a 'Monthly Share Capital/Voting Rights Report'. Given the options, this is a mandatory regulatory disclosure concerning the capital structure. It is not an AGM, 10-K, ER, or IR. It is not a Director's Dealing (DIRS) or Major Shareholding Notification (MRQ). Since it details the composition of the capital and voting rights, it is most closely related to general capital structure updates or mandatory regulatory reporting. Given the specific nature of reporting share capital changes/totals, and lacking a dedicated code, the closest fit among the provided options that deals with capital structure changes or mandatory disclosures not covered elsewhere is 'Share Issue/Capital Change' (SHA) or the general 'Regulatory Filings' (RNS). Since this is a recurring, mandatory disclosure about the *current* capital structure, and not necessarily a transaction (like a buyback or new issue), 'SHA' might be too specific if it's just a monthly update. However, 'SHA' covers 'capital structure changes'. If we must choose the best fit among the specific codes, this is a fundamental capital structure disclosure. If it were a general announcement, RNS would apply. Given the detailed breakdown of shares and voting rights, it is a specific capital structure report. I will classify it as SHA as it pertains directly to the share capital composition, although RNS is a possible fallback. Given the context of French mandatory filings, this is often grouped with capital changes. I will lean towards SHA as the most relevant specific category for capital structure reporting, despite the monthly frequency.
2012-03-08 French
Jahresabschluss zum Geschäftsjahr vom 01.01.2010 bis zum 31.12.2010
Audit Report / Information Classification · 98% confidence The document is a 'Lagebericht' (Management Report) for the fiscal year 2010 for SAINT-GOBAIN ISOVER G+H Aktiengesellschaft. It contains detailed sections on business development, financial performance (Ertragslage), asset and financial position (Vermögens- und Finanzlage), investments, R&D, and risk management. This content constitutes the management discussion and analysis section typically found within an annual report or as a standalone management report accompanying financial statements. Given the depth and structure, it is classified as a Management Report (MDA). FY 2010
2012-03-07 German
Prospectus Supplt n°2dated2-03-2012 to the Base Prospectus dated20-07-2011
Capital/Financing Update Classification · 98% confidence The document is explicitly titled 'Prospectus Supplement n° 2' and refers extensively to a 'Base Prospectus' under a 'MEDIUM TERM NOTE PROGRAMME'. It discusses incorporating by reference the Issuer's consolidated financial statements for the year ended 31 December 2011 and the auditors' report thereon. This structure—a supplement to an existing base document detailing debt issuance (Notes) and incorporating financial data—is characteristic of offering circulars or prospectuses related to capital raising activities, rather than a standard periodic report (like 10-K or IR) or a simple announcement. Since the core purpose is related to the issuance of debt instruments (Notes) under a programme, it falls under Capital/Financing Update (CAP). While it incorporates financial statements, the document itself is a legal/offering document, not the financial report (AR or IR).
2012-03-02 English
Résultats annuels 2011
Earnings Release Classification · 95% confidence The document is a detailed financial results announcement for Saint-Gobain for the fiscal year 2011. It includes key financial metrics (revenue, operating income, net income), segment-by-segment performance analysis, and management commentary. While it is an announcement of results, it contains substantive financial data and analysis, making it an Earnings Release (ER) rather than a simple publication announcement (RPA). FY 2011
2012-02-16 French
Capital et droits de vote au 31 janvier 2012
Share Issue/Capital Change Classification · 95% 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 (L.233-8 II) and AMF regulations (223-16), and presents a table showing the total number of shares and voting rights as of a specific date (January 31, 2012). This content directly relates to the structure of the company's capital and voting rights, which is a specific type of regulatory disclosure. However, none of the provided codes perfectly match a 'Monthly Capital Structure Disclosure'. Given the options, this document is a regulatory filing that reports on the capital structure, which is often related to share changes or major holdings. Since it is a specific disclosure about the total number of shares and voting rights, it is closest in nature to a notification about the capital structure or share base. The closest fit among the provided codes, although imperfect, is 'SHA' (Share Issue/Capital Change) as it details the current share count, or 'RNS' (Regulatory Filings) as a general catch-all. Given the focus on the total number of shares and voting rights, which is a fundamental capital structure metric, 'SHA' is a plausible fit if the intent is to capture capital structure updates. However, since it is a recurring monthly report on the *total* capital base rather than a specific *change* announcement (like a new issue or buyback), and it is a regulatory disclosure, 'RNS' (Regulatory Filings) serves as the most appropriate general regulatory category when a specific capital change event isn't detailed. Given the highly specific nature of the other codes, and the lack of a 'Capital Structure Report' code, RNS is the safest fallback for a mandatory regulatory disclosure that doesn't fit elsewhere. The document length is very short (865 chars), suggesting it is a direct filing rather than an announcement of a larger report.
2012-02-08 French
Issuer Document
Capital/Financing Update Classification · 98% confidence The document is titled "FINAL TERMS" and is dated 17 January 2012. It details the terms of an issuance of EUR Notes under a "Medium Term Note Programme." It explicitly references the Prospectus Directive, Article 5.4, and outlines contractual terms such as Issue Price, Interest Basis, Maturity Date, and Redemption Amount. This structure is characteristic of the final documentation used to price and issue debt securities, which falls under financing activities. The most appropriate category is Capital/Financing Update (CAP), as it details the specific terms of a new debt issuance (Notes). It is not a general report (10-K, IR) or a simple announcement (RPA, RNS), but the core contractual terms for a capital raising event.
2012-01-17 English

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