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Eastnine — Investor Relations & Filings

Ticker · EAST ISIN · SE0022050183 LEI · 2138009N2FO2BZTVYS76 ST Real estate activities
Filings indexed 991 across all filing types
Latest filing 2014-10-08 Capital/Financing Update
Country SE Sweden
Listing ST EAST

Eastnine is a real estate company that acquires, develops, and manages modern and sustainable office and logistics properties. The company's portfolio is concentrated in prime locations within the Baltic states and Poland. A key strategic focus for Eastnine is sustainability, with a stated goal of achieving climate-neutral property operations by 2030. This objective is pursued through initiatives aimed at improving energy efficiency, reducing water and electricity consumption, and integrating renewable energy sources, such as solar panels, into its properties. The company positions itself as a long-term owner and provider of high-quality commercial spaces.

Recent filings

Filing Released Lang Actions
East Capital Explorer intends not to issue preference shares - New investments will primarily be financed through fund divestments
Capital/Financing Update Classification · 95% confidence The document discusses a decision by East Capital Explorer not to issue preference shares and outlines their financing strategy based on current market conditions and investment opportunities (Baltic private equity/real estate). It also includes a financial reporting calendar for upcoming Interim and Year-end reports. Crucially, the document ends with a disclosure statement: "*This information is disclosed in accordance with the Securities Markets Act, the Financial Instruments Trading Act and demands made in the exchange rules. It was released for publication at 11:45 a.m. CET on 8 October 2014.*" This structure—a specific corporate announcement followed by a disclosure statement regarding its release—is characteristic of a general regulatory filing or news release, rather than a comprehensive report (like 10-K or IR) or a specific announcement like a dividend (DIV) or management change (MANG). Since it is a specific corporate action/update that doesn't fit the other specific categories (like CAP, DIRS, etc.), the most appropriate general category is Regulatory Filings (RNS), which serves as a fallback for miscellaneous regulatory announcements.
2014-10-08 English
East Capital Explorer AB - Fund Investment Performance September 2014
Report Publication Announcement Classification · 99% confidence The document is titled "East Capital Explorer AB – Fund Investment Performance September 2014" and presents monthly performance data for various underlying funds managed by East Capital Explorer. It explicitly states that the company has decided to discontinue publishing monthly Net Asset Value (NAV) reports but will continue publishing the monthly performance of the alternative investment funds. Since the core content is a performance update for a specific period (September 2014) for an investment company/fund structure, it strongly aligns with the definition of a Net Asset Value (NAV) update, even though it's framed as performance data following the discontinuation of formal NAV reports. The document also includes a financial reporting calendar, which is common in fund updates. Given the focus on monthly performance figures for underlying funds, NAV (Code: NAV) is the most appropriate classification, as it represents the periodic valuation/performance disclosure for an investment vehicle.
2014-10-07 English
East Capital Explorer AB - Fondinnehavens värdeutveckling under september 2014
Fund Information / Factsheet Classification · 99% confidence The document is dated October 7, 2014, and provides an update on the 'Fondinnehavens värdeutveckling' (Fund holdings' value development) for September 2014, showing percentage changes for various funds. It explicitly states that the company has decided to cease publishing monthly NAV reports ('upphöra med de månatliga substansvärdesrapporter') and that the full NAV will be reported in connection with the company's interim reports ('delårsrapporter'). The content is a brief, monthly performance update focusing on underlying fund values, which is characteristic of a Net Asset Value (NAV) update, even though the company is phasing them out. The structure and content align best with the Net Asset Value (NAV) reporting category, which is primarily for investment funds, and this entity functions as an investment company.
2014-10-07 Swedish
East Capital Explorer AB - Fondinnehavens värdeutveckling under augusti 2014
Earnings Release Classification · 99% confidence The document is a press release dated September 5, 2014, titled "East Capital Explorer AB – Fondinnehavens värdeutveckling under augusti 2014" (Fund Holdings Value Development during August 2014). It details the performance (value change percentage) of various investment funds held by the company for the month of August. It explicitly mentions that due to increased direct investments, the company is ceasing monthly NAV reports but is publishing the monthly value development of the alternative investment funds because those funds distribute this information to their other unitholders. It also provides a calendar for future financial information releases (Interim Report and Annual Report). Since the document provides a periodic update on the value of underlying assets/funds, which is closely related to Net Asset Value (NAV) reporting, and it is a monthly update, the most fitting category is Net Asset Value (NAV). Although it's a press release, its core content is the NAV/value development for a specific period, making NAV (NAV) more specific than a general Regulatory Filing (RNS) or Report Publication Announcement (RPA), especially since it replaces a previous monthly NAV report. FY 2014
2014-09-05 Swedish
East Capital Explorer AB - Fund Investment Performance August 2014
Fund Information / Factsheet Classification · 99% confidence The document provides a monthly performance update for August 2014, detailing the indicative value change for several underlying funds held by East Capital Explorer. It explicitly mentions that the company has decided to discontinue publishing monthly Net Asset Value (NAV) reports but will continue publishing the monthly performance of the alternative investment funds. This content is a periodic performance summary, not a comprehensive financial report (like 10-K or IR). Since it focuses on performance metrics and is published monthly (or periodically), it aligns best with the 'Fund Information / Factsheet' (FS) category, which covers brief summaries of key financials and market info, or potentially a specialized NAV/Performance update. Given the explicit mention of performance figures and the context of investment funds, FS is the most appropriate fit among the provided options, as NAV updates (NAV code) are usually for the fund itself, whereas this is an investment company reporting on its holdings' performance. The document is a performance summary for a specific period (August 2014).
2014-09-05 English
Interim / Quarterly Report 2014
Interim / Quarterly Report Classification · 100% confidence The document is a 'Delårsrapport' (Interim Report) for the period 1 January – 30 June 2014. It contains comprehensive financial data, including net results, net asset value (NAV) per share, portfolio performance, and management commentary (VD-kommentar). It is a substantive financial report for a period shorter than a full fiscal year, fitting the definition of an Interim/Quarterly Report. H2 2014
2014-08-21 Swedish

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