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Generacion Mediterranea S.A. — Investor Relations & Filings

ISIN · USP46214AC95 LEI · 529900OOUXIUDG4V4468 BYMA Electricity, gas, steam and air conditioning supply
Filings indexed 1,971 across all filing types
Latest filing 2026-02-24 Legal Proceedings Report
Country AR Argentina
Listing BYMA

About Generacion Mediterranea S.A.

https://www.albanesi.com.ar/

Generacion Mediterranea S.A. (GMSA) is a subsidiary of Grupo Albanesi, primarily engaged in the generation and commercialization of electrical energy. It functions as a holding company for a substantial portion of Grupo Albanesi's electricity generation assets, which encompass multiple thermal power plants. GMSA's operations contribute significantly to Grupo Albanesi's total installed capacity of 1855 MW across 10 plants. A notable competitive advantage is derived from the integrated gas supply provided by Rafael G. Albanesi S.A. to its power plants, which ensures fuel availability and enhances operational efficiency.

Recent filings

Filing Released Lang Actions
INFORMACIÓN JUDICIAL - INFORMA CONTESTACIÓN Y RECHAZO DE PEDIDO JUDICIAL - HECHO RELEVANTE
Legal Proceedings Report Classification · 95% confidence The document is a formal communication addressed to the Comisión Nacional de Valores and other market entities, reporting on the company's response to a legal proceeding regarding a bankruptcy petition against it. It references a specific legal case and the company's request for rejection of the bankruptcy petition. The content is focused on legal proceedings and updates related to litigation rather than financial results, management changes, or shareholder information. The document is short (1421 characters) and does not contain financial data or report content. It is not an announcement of a report publication but a regulatory update on a legal matter. Therefore, the most appropriate classification is Legal Proceedings Report (LTR).
2026-02-24 Spanish
PROGRAMA: RES Nº18,649 - 100,000,000 - SERIE :OBLIGACIONES NEGOCIABLES CLASE XIX - AVISO DE PAGO - CLASE XIX - AVISO DE PAGO OBLIGACIONES NEGOCIABLES
Capital/Financing Update Classification · 95% confidence The document is a formal communication addressed to regulatory bodies and market entities regarding the payment details of an interest coupon for a specific class of negotiable obligations (debt instruments). It specifies the payment date, interest amount, calculation period, nominal interest rate, applicable exchange rate, and payment agent details. The document does not contain comprehensive financial statements or analysis, nor does it present a full report or audit. It is an announcement of a payment related to debt instruments, specifically an interest payment update. This fits best under the category of Capital/Financing Update (CAP), which covers updates on company fundraising, financing activities, or capital structure changes such as debt interest payments.
2026-02-23 Spanish
PROGRAMA: RES Nº18,649 - 100,000,000 - SERIE :OBLIGACIONES NEGOCIABLES CLASE XVIII - AVISO DE PAGO - CLASE XVIII - AVISO DE PAGO OBLIGACIONES NEGOCIABLES
Interest Rate Update/Notice Classification · 95% confidence The document is a formal communication addressed to regulatory bodies and market entities regarding the payment details of interest and capital for a specific class of negotiable obligations (debt instruments). It specifies payment dates, interest rates, calculation periods, and amounts to be paid to holders of these obligations. The document does not contain comprehensive financial statements or detailed financial performance data, nor does it present a full report. Instead, it serves as an announcement of a payment event related to debt instruments. This fits the description of an Interest Rate Update/Notice (IRAT), which covers updates on interest rate changes or payments affecting the company's debt instruments. The document length is short (2340 characters), and it is not merely announcing the publication of a report but providing specific payment details. Therefore, the most appropriate classification is IRAT with high confidence.
2026-02-23 Spanish
PROGRAMA: RES Nº18,649 - 100,000,000 - SERIE :OBLIGACIONES NEGOCIABLES CLASE XVII - AVISO DE PAGO - CLASE XVII - AVISO DE PAGO OBLIGACIONES NEGOCIABLES
Interest Rate Update/Notice Classification · 95% confidence The document is a formal communication addressed to regulatory bodies and market entities regarding the payment details of an interest coupon for a specific class of negotiable obligations (debt instruments). It specifies the payment date, interest amount, calculation period, nominal interest rate, applicable exchange rate, and payment agent details. The document does not contain comprehensive financial statements or analysis but rather provides an update on a specific interest payment event related to the company's debt instruments. This fits the description of an Interest Rate Update/Notice (IRAT), which covers updates on interest rate changes or payments affecting the company's financial instruments.
2026-02-23 Spanish
PROGRAMA: RES Nº18,649 - 100,000,000 - SERIE :OBLIGACIONES NEGOCIABLES CLASE XVI - AVISO DE PAGO - CLASE XVI - AVISO DE PAGO OBLIGACIONES NEGOCIABLES
Notice of Dividend Amount Classification · 95% confidence The document is a formal communication addressed to regulatory bodies and market entities regarding the payment of interest on a specific class of negotiable obligations (debt instruments). It details the payment date, interest coupon amount, calculation period, interest rate, applicable exchange rate, and the resulting interest amount in local currency. There is no financial statement, comprehensive financial analysis, or management discussion. The document is essentially an announcement of a dividend-like interest payment to holders of debt securities. This fits the definition of a Notice of Dividend Amount (DIV), as it announces the amount and payment details of an interest coupon to security holders.
2026-02-23 Spanish
AVISO DE PAGO - CLASE XV - AVISO DE PAGO OBLIGACIONES NEGOCIABLES
Interest Rate Update/Notice Classification · 95% confidence The document is a formal communication addressed to regulatory bodies and market entities regarding the payment details of the 29th interest service on a specific class of negotiable obligations (debt instruments). It specifies the payment date, interest coupon, calculation period, nominal interest rate, and payment amount. The document does not contain financial statements or comprehensive financial data but rather provides an update on interest payment details related to the company's debt instruments. This fits the category of an Interest Rate Update/Notice (IRAT), which covers updates on interest rate changes or interest payment notices affecting the company's financial instruments.
2026-02-23 Spanish

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