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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 2014-02-20 Interim / Quarterly Rep…
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
Interim / Quarterly Report 2013
Interim / Quarterly Report Classification · 100% confidence The document is titled 'Bokslutskommuniké 2013' (Year-end Report 2013) for East Capital Explorer. It contains comprehensive financial performance data, including NAV (Net Asset Value) per share, net income, portfolio breakdown, and financial development for both the fourth quarter and the full year 2013. As it provides substantive financial statements and analysis for a period shorter than a full fiscal year (in this case, the year-end/Q4 report), it is classified as an Interim/Quarterly Report. Q4 2013
2014-02-20 Swedish
Interim / Quarterly Report 2013
Interim / Quarterly Report Classification · 100% confidence The document is titled 'Year-end Report 2013' and contains comprehensive financial data, including NAV per share, net results, earnings per share, and detailed portfolio breakdowns for the fourth quarter and full year 2013. It provides substantive financial analysis and management commentary. As it covers a period shorter than a full fiscal year (Q4) and the full year, and contains actual financial statements/data, it is classified as an Interim/Quarterly Report. FY 2013
2014-02-20 English
East Capital Explorer AB - Net Asset Value (NAV) SEK 87 per share on 31 January 2014
Net Asset Value Classification · 99% confidence The document explicitly states in the main heading: "Net Asset Value (NAV) SEK 87 per share on 31 January 2014". It then proceeds to detail the NAV per share development, portfolio breakdown by asset class, and provides a financial reporting calendar. This content is characteristic of a regular Net Asset Value update, typically issued monthly for investment companies or funds. The definition for 'Net Asset Value (Code: NAV)' matches this content perfectly. The document is not a full Annual Report (10-K) or an Interim Report (IR), as it focuses solely on the NAV calculation as of a specific date (31 January 2014) and is not a comprehensive financial statement.
2014-02-07 English
East Capital Explorer AB - Substansvärdet (NAV) 87 SEK per aktie den 31 januari 2014
Net Asset Value Classification · 99% confidence The document is a press release dated February 7, 2014, with the headline explicitly stating "Substansvärdet (NAV) 87 SEK per aktie den 31 januari 2014" (Net Asset Value (NAV) 87 SEK per share as of January 31, 2014). It details the development of NAV per share, portfolio changes, and provides a calendar for future financial information releases. This content directly corresponds to the definition of a regular update of the Net Asset Value, primarily for investment funds. Therefore, the classification is NAV.
2014-02-07 Swedish
East Capital Explorer AB - Substansvärdet (NAV) 88 SEK per aktie den 31 december 2013
Net Asset Value Classification · 98% confidence The document is a press release dated January 9, 2014, titled 'Substansvärdet (NAV) 88 SEK per aktie den 31 december 2013' (Net Asset Value (NAV) 88 SEK per share as of December 31, 2013). It explicitly details the NAV per share development, portfolio breakdown, and key events for the period ending December 31, 2013. The content is a regular, periodic update focused entirely on the Net Asset Value calculation, which directly corresponds to the definition for 'Net Asset Value (Code: NAV)'. Although it is a press release, its core function is reporting the NAV figure, making NAV the most specific classification over a general RPA or RNS.
2014-01-09 Swedish
East Capital Explorer AB - Net Asset Value (NAV) SEK 88 per share on 31 December 2013
Net Asset Value Classification · 100% confidence The document is explicitly titled "Net Asset Value (NAV) SEK 88 per share on 31 December 2013" and contains detailed monthly figures for NAV per share, portfolio breakdown, and investment events. This directly matches the definition of a Net Asset Value (NAV) update, which is specifically categorized as Code: NAV. The document also mentions a 'Financial reporting calendar' which lists 'Monthly Net Asset Value report on the fifth working day after the end of each month', confirming the recurring nature of this specific report type.
2014-01-09 English

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