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Interfund Investments PLC — Investor Relations & Filings

Ticker · INF ISIN · CY0100560214 LEI · 213800NJYJMPS3MM1M62 CSE Financial and insurance activities
Filings indexed 918 across all filing types
Latest filing 2018-01-12 Governance Information
Country CY Cyprus
Listing CSE INF

About Interfund Investments PLC

https://www.interfund.com.cy/

Interfund Investments PLC is a closed-end investment fund. The company's main activity is investing in a portfolio of securities, primarily focusing on companies listed on the Cyprus Stock Exchange and the Athens Stock Exchange. The fund's strategy concentrates on acquiring shares with high dividend yields.

Recent filings

Filing Released Lang Actions
Governance Information 2018
Governance Information Classification · 99% confidence The document text is in Greek and presents a 'ΣΥΓΚΕΝΤΡΩΤΙΚΗ ΚΑΤΑΣΤΑΣΗ ΔΙΑΣΠΟΡΑΣ ΤΟΥ ΜΕΤΟΧΙΚΟΥ ΚΕΦΑΛΑΙΟΥ' (Consolidated Statement of Share Capital Distribution) as of December 31, 2017, for INTERFUND INVESTMENTS PLC. It details shareholdings categorized by 'Όργανα Διοίκησης' (Management Bodies) and 'Κύριοι Μέτοχοι' (Major Shareholders, above 5%). This type of detailed breakdown of ownership structure, especially focusing on directors and major shareholders, strongly aligns with disclosures related to corporate governance, board structure, and significant ownership changes. While it touches upon management (MANG) and major shareholdings (MRQ), the comprehensive nature of detailing who holds what percentage of the capital, often required in governance reports or specific regulatory filings concerning ownership structure, points towards Governance Information (CGR) or potentially a specialized report related to capital structure disclosure. Given the structure detailing management holdings and major shareholders, it fits best under Governance Information (CGR), which covers internal rules, board structure, and governance practices, as ownership structure is a key governance element. It is not a standard financial report (10-K, IR) or a simple announcement (RPA, RNS).
2018-01-12 Greek (modern)
Fund Information / Factsheet 2018
Fund Information / Factsheet Classification · 99% confidence The document is explicitly titled "QUARTERLY REPORT OF INVESTMENT COMPANIES AS AT 29 DECEMBER 2017". This clearly indicates it is a comprehensive financial report covering a period shorter than a year (a quarter). This aligns directly with the definition of an Interim / Quarterly Report (Code: IR). It contains detailed investment holdings and a final Net Asset Value (NAV) figure, confirming it is a full report, not just a brief announcement (RPA/RNS).
2018-01-04 English
Fund Information / Factsheet 2018
Fund Information / Factsheet Classification · 99% confidence The document is titled "ΤΡΙΜΗΝΙΑΙΑ ΕΚΘΕΣΗ ΕΠΕΝΔΥΤΙΚΩΝ ΟΡΓΑΝΙΣΜΩΝ" which translates to "QUARTERLY REPORT OF INVESTMENT ORGANIZATIONS" and specifies the date as December 29, 2017. The content is a detailed breakdown of the company's investment portfolio, listing assets, current values, and percentage of total assets. This structure is characteristic of a comprehensive financial report covering a period shorter than a full year (a quarter). Therefore, it aligns best with the definition of an Interim / Quarterly Report (IR). The document length (8875 chars) is substantial, confirming it is the report itself, not just an announcement (RPA/RNS).
2018-01-04 Greek (modern)
Net Asset Value 2018
Net Asset Value Classification · 99% confidence The document explicitly states the 'Net Asset Value of Interfund Investments Plc' as of a specific date ('29 December 2017') and provides a per-share value ('€ 0.1793 per share'). This content directly matches the definition of a Net Asset Value (NAV) update, which is primarily relevant for investment funds.
2018-01-03 English
Net Asset Value 2018
Net Asset Value Classification · 99% confidence The document text is extremely short (351 characters) and explicitly states a single financial metric: 'Καθαρή Εσωτερική Αξία' (Net Asset Value) as of a specific date (December 29, 2017), followed by company contact information. This structure strongly indicates a regular update of the Net Asset Value, which corresponds directly to the 'Net Asset Value (Code: NAV)' definition. It is not a comprehensive report, an earnings release, or a general announcement.
2018-01-03 Greek (modern)
Net Asset Value 2017
Net Asset Value Classification · 99% confidence The document text is extremely short (351 characters) and explicitly states the 'Net Asset Value' (NAV) as of a specific date ('15 December 2017'). This directly matches the definition for Net Asset Value updates, which is categorized as 'NAV'.
2017-12-19 English

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