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HAL Trust — Investor Relations & Filings

Ticker · HALNA ISIN · BMG455841020 LEI · 5493000O3IE3DNOY3R07 AS Financial and insurance activities
Filings indexed 107 across all filing types
Latest filing 2014-04-04 Annual Report
Country NL Netherlands
Listing AS HALNA

About HAL Trust

https://halholding.com/

HAL Trust is an international investment company whose assets consist entirely of the shares in HAL Holding N.V. The group's primary activity is managing a diversified portfolio across several segments: unquoted companies, quoted minority interests, real estate, and a liquid portfolio. The company invests in a wide range of businesses with a long-term perspective, seeking high returns on invested capital. Its holdings operate in various sectors, including optical retail, office furniture manufacturing, dredging and shipping services, and technology. The group's activities are geographically spread across Europe, North America, and Asia.

Recent filings

Filing Released Lang Actions
HAL Trust, Jaarlijkse Financiële verslaggeving
Annual Report Classification · 1% confidence The document is titled 'Annual Report 2013' for HAL Trust. It contains comprehensive financial statements, reports from the Trust Committee, the Board of Supervisory Directors, and the Executive Board, as well as detailed notes to the financial statements and independent auditor's report. It covers the full fiscal year 2013 and provides a complete overview of the company's performance, strategy, and governance, fitting the definition of an Annual Report (10-K). FY 2013
2014-04-04 English
HAL Trust, Tussentijdse verklaring
Net Asset Value Classification · 1% confidence The document is a press release by HAL Holding N.V. providing its unaudited nine-month net asset value (NAV) update, including NAV per share changes and commentary on movements, followed by key financial highlights, prospects, and a financial calendar. While it contains operating and revenue figures, the primary focus is the regular NAV publication for an investment holding company, matching the definition of Code NAV (“Regular update of the Net Asset Value, primarily for investment funds”).
2013-11-14 English
HAL Trust, Halfjaarlijkse Financiële verslaggeving
Interim / Quarterly Report Classification · 1% confidence The document is a comprehensive interim report for HAL Trust covering the first half of 2013. It includes detailed financial statements (Statement of Financial Position, Statement of Income, Statement of Comprehensive Income, Statement of Changes in Equity, and Statement of Cash Flows), notes to the financial statements, and management commentary on results, risks, and prospects. It is not an announcement of a report, but the report itself, and contains substantive financial data, fitting the definition of an Interim/Quarterly Report (IR). H1 2013
2013-08-28 English
HAL Trust, Tussentijdse verklaring
Earnings Release Classification · 1% confidence The document is a press release from HAL Holding N.V. detailing financial developments for the first quarter of 2013, including net asset value, revenue figures for subsidiaries, and recent acquisitions/divestitures. It also includes a financial calendar. As it provides the initial announcement of quarterly financial results and highlights, it fits the definition of an Earnings Release (ER). Q1 2013
2013-05-16 English
HAL Trust, Jaarlijkse Financiële verslaggeving
Annual Report Classification · 1% confidence The document is titled 'Annual Report 2012' for HAL Trust. It contains comprehensive financial statements, including the Consolidated Statement of Financial Position, Income Statement, Cash Flows, and notes to the financial statements, as well as reports from the Trust Committee, Supervisory Board, and Executive Board. It covers the full fiscal year 2012 and is clearly the primary annual reporting document for the company. FY 2012
2013-04-04 English
HAL Trust, Tussentijdse verklaring
Earnings Release Classification · 1% confidence The document is a corporate press release summarizing the first nine months’ unaudited financial performance—net asset value movements, revenues, operating income, and key highlights—without providing complete financial statements. It serves as an initial announcement of periodical financial results rather than a full interim report, fitting the definition of an Earnings Release. 9M 2012
2012-11-15 English

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