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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 2013-08-29 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
East Capital Explorer AB - Interim Report 1 January - 30 June 2013
Interim / Quarterly Report Classification · 100% confidence The document is titled 'Interim Report 1 January – 30 June 2013' and contains detailed financial statements, NAV calculations, portfolio performance tables, and management commentary for the six-month period. It is a comprehensive financial report for a period shorter than a full fiscal year, fitting the definition of an Interim/Quarterly Report (IR). H1 2013
2013-08-29 English
East Capital Explorer AB - Delårsrapport 1 januari - 30 juni 2013
Interim / Quarterly Report Classification · 100% confidence The document is titled 'Delårsrapport' (Interim Report) for the period 1 January – 30 June 2013. It contains comprehensive financial data, including Net Asset Value (NAV) calculations, portfolio performance tables, a CEO commentary, and detailed breakdowns of investments. It is a substantive financial report for a period shorter than a full fiscal year, fitting the definition of an Interim/Quarterly Report. H1 2013
2013-08-29 Swedish
East Capital Explorer AB - Net Asset Value (NAV) SEK 78 per share on 31 July 2013
Net Asset Value Classification · 99% confidence The document is explicitly titled 'Net Asset Value (NAV) SEK 78 per share on 31 July 2013' and contains detailed tables showing the NAV per share development, portfolio breakdown, and fair value changes as of the end of the month (31 July 2013). The 'Financial reporting calendar' section also mentions 'Monthly Net Asset Value report on the fifth working day after the end of each month'. This content directly corresponds to the definition of a Net Asset Value (NAV) update, which is classified as 'NAV'. The document length (7681 chars) is substantial, indicating it is the report itself, not just an announcement of a report (RPA/RNS).
2013-08-07 English
East Capital Explorer AB - Substansvärdet (NAV) 78 SEK per aktie den 31 juli 2013
Net Asset Value Classification · 98% confidence The document is titled 'PRESSMEDDELANDE' (Press Release) and its main headline is 'Substansvärdet (NAV) 78 SEK per aktie den 31 juli 2013'. The content heavily features key metrics like NAV per share, changes in NAV, portfolio breakdown, and a calendar mentioning 'Månatliga substansvärdesrapporter' (Monthly Net Asset Value reports). This content directly corresponds to the definition of a Net Asset Value (NAV) update, which is specifically categorized as 'NAV' (Code: NAV). Although it is a press release, the core subject matter is the NAV calculation and reporting, making NAV the most precise classification over a general 'RPA' or 'RNS'. The document length is substantial enough (9419 chars) that it is the report itself, not just an announcement of a report.
2013-08-07 Swedish
East Capital Explorer AB - Substansvärdet (NAV) 78 SEK per aktie den 30 juni 2013
Net Asset Value Classification · 98% confidence The document is titled "PRESSMEDDELANDE" (Press Release) and prominently features the headline "Substansvärdet (NAV) 78 SEK per aktie den 30 juni 2013" (Net Asset Value (NAV) 78 SEK per share as of June 30, 2013). It provides a detailed breakdown of the Net Asset Value per share, changes in NAV, portfolio holdings, and cash positions as of a specific month-end date (June 30, 2013). The calendar section mentions that monthly NAV reports are released on the fifth business day after the end of the month. This content directly corresponds to the definition of a Net Asset Value (NAV) update, which is specifically categorized as 'NAV' in the provided schema. Although it is a press release, its core function is reporting the NAV figure.
2013-07-05 Swedish
East Capital Explorer AB - Net Asset Value (NAV) SEK 78 per share on 30 June 2013
Net Asset Value Classification · 99% confidence The document is explicitly titled "Net Asset Value (NAV) SEK 78 per share on 30 June 2013" and contains detailed tables showing the NAV per share development, portfolio breakdown, and fair values as of a specific date (30 June 2013). The financial reporting calendar also mentions the 'Monthly Net Asset Value report'. This directly corresponds to the definition of Net Asset Value (NAV) updates, which is classified as Code: NAV.
2013-07-05 English

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