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Global Dominion Access S.A. — Investor Relations & Filings

Ticker · DOM ISIN · ES0105130001 LEI · 95980020140005225955 MC Professional, scientific and technical activities
Filings indexed 313 across all filing types
Latest filing 2020-06-30 M&A Activity
Country ES Spain
Listing MC DOM

About Global Dominion Access S.A.

https://www.dominion-global.com/en/

Global Dominion Access S.A. is a global provider of multi-technology services and specialized engineering solutions. The company delivers end-to-end projects and services designed to help clients transition towards more efficient and environmentally sustainable business models. Its core offerings focus on enhancing business process efficiency through outsourcing, operation and maintenance services, and the implementation of digital platforms and solutions. Dominion operates across key sectors, including Industry, where it works to maximize the efficiency of production processes; Energy, supporting the transformation to sustainable models; Telecommunications, providing integral management of networks and systems; and Infrastructures, specializing in technological equipment integration and the digitalized management of services.

Recent filings

Filing Released Lang Actions
Global Dominion Access suscribe un contrato para la venta de su filial Dominion Networks
M&A Activity Classification · 99% confidence The document is a formal notification published by GLOBAL DOMINION ACCESS, S.A. under EU Market Abuse Regulation and Spanish securities law. The content explicitly details the sale (divestment) of its entire stake in a subsidiary ("Dominion Networks S.L.") for a specific price (€13.5 million), resulting in a gain. This transaction involves a significant change in the company's asset structure and business focus, which falls under corporate actions related to M&A or significant asset disposal. Given the options, 'M&A Activity (TAR)' is the closest fit for a major transaction involving the sale of a business unit, although it is a divestiture rather than a merger or takeover bid. Since it is a formal, mandatory disclosure of a significant transaction, and not just a general regulatory filing (RNS), TAR is the most specific category.
2020-06-30 Spanish
Global Dominion Access comunica las operaciones efectuadas al amparo de su programa de recompra de acciones entre el 22 y 26 de junio de 2020
Transaction in Own Shares Classification · 98% confidence The document is a formal notification ('NOTIFICACIÓN DE OTRA INFORMACIÓN RELEVANTE') made to the Spanish National Securities Market Commission ('COMISIÓN NACIONAL DEL MERCADO DE VALORES'). The content explicitly details transactions carried out by the company ('GLOBAL DOMINION ACCESS, S.A.') involving its own shares ('programa de recompra de acciones propias') during a specific period (June 22 to June 26, 2020). This directly corresponds to the definition of a report on the company buying back or selling its own shares, which is classified as 'Transaction in Own Shares' (POS). Although it is a regulatory filing, POS is more specific than the general RNS category.
2020-06-29 Spanish
Global Dominion Access informa del pago de un dividendo el próximo 6 de julio de 2020
Notice of Dividend Amount Classification · 99% confidence The document is a formal notification addressed to the 'COMISIÓN NACIONAL DEL MERCADO DE VALORES' (CNMV, the Spanish securities market regulator) titled 'NOTIFICACIÓN DE OTRA INFORMACIÓN RELEVANTE' (Notification of Other Relevant Information). The core content explicitly details the decision by the General Shareholders' Meeting to disburse a dividend, specifying the gross amount per share (€0.0648), the ex-date (July 2, 2020), the record date (July 3, 2020), and the payment date (July 6, 2020). This content directly corresponds to the definition of a dividend announcement. Therefore, the appropriate filing type code is DIV (Notice of Dividend Amount). The document length is short (1850 chars), but it contains the definitive details of the dividend, not just an announcement that a report is attached, making DIV more specific than RPA or RNS.
2020-06-23 Spanish
Global Dominion Access comunica las operaciones efectuadas al amparo de su programa de recompra de acciones entre el 8 y 12 de junio de 2020
Transaction in Own Shares Classification · 99% confidence The document is a formal notification ('NOTIFICACIÓN DE OTRA INFORMACIÓN RELEVANTE') issued by GLOBAL DOMINION ACCESS, S.A. to the Spanish market regulator (CNMV). The content explicitly details transactions carried out by the company on its own shares ('operaciones que ha llevado a cabo sobre sus propias acciones') under a previously established share repurchase program. This directly corresponds to the definition of 'Transaction in Own Shares' (POS), which covers share repurchase reports. Although it relates to capital management, the specific action reported is the execution of repurchases, not the authorization or general financing update.
2020-06-15 Spanish
Global Dominion Access comunica las operaciones efectuadas al amparo de su programa de recompra de acciones entre el 25 de mayo y el 5 de junio de 2020
Transaction in Own Shares Classification · 99% confidence The document is titled "NOTIFICACIÓN DE OTRA INFORMACIÓN RELEVANTE" (Notification of Other Relevant Information) and explicitly states it is communicating operations carried out on the company's own shares ('programa de recompra de acciones propias') during a specific period (May 25 to June 5, 2020). This directly corresponds to the definition of a company reporting transactions in its own shares, which is classified as 'Transaction in Own Shares' (POS). It is not a full Annual Report (10-K), Interim Report (IR), or Earnings Release (ER). It is a specific disclosure about share repurchases, matching the POS category.
2020-06-09 Spanish
Global Dominion Access comunica las operaciones efectuadas al amparo de su programa de recompra de acciones entre el 18 y el 22 de mayo de 2020
Transaction in Own Shares Classification · 98% confidence The document is titled "NOTIFICACIÓN DE OTRA INFORMACIÓN RELEVANTE" (Notification of Other Relevant Information) and explicitly states it is communicating operations carried out on the company's own shares ('programa de recompra de acciones propias') during a specific period (May 18 to May 22, 2020). The content details the number of shares bought and the prices, which is characteristic of reporting insider transactions or share repurchase activities. The definition for 'Transaction in Own Shares' (POS) covers 'Report of the company buying back or selling its own shares (share repurchase/issuance)'. While 'Director's Dealing' (DIRS) covers executive trades, this document specifically details the company's own repurchase program execution, making POS the most accurate fit. It is not a general regulatory filing (RNS) because it fits a specific category, nor is it an announcement of a report (RPA) as it contains the actual transaction data.
2020-05-25 Spanish

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