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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 2023-03-01 Share Issue/Capital Cha…
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
Share Issue/Capital Change 2023
Share Issue/Capital Change Classification · 99% confidence The document is an official announcement (ΑΝΑΚΟΙΝΩΣΗ) dated March 1, 2023, detailing the completion of a capital increase (Αύξηση Μετοχικού Κεφαλαίου) via the issuance of rights shares (Δικαιωμάτων Προτίμησης). It explicitly mentions the issuance of 31,030,000 new shares, the amount of capital raised (€4,964,800), and the resulting new total issued share capital (€18,699,502.12). This content directly relates to changes in the company's capital structure and fundraising activities. This aligns perfectly with the definition for 'Capital/Financing Update' (CAP). Although it involves shares, it is a report on the *completion* of a financing event, not just a general share issue announcement (SHA) or a buyback (POS).
2023-03-01 Greek (modern)
Net Asset Value 2023
Net Asset Value Classification · 99% confidence The document text is extremely short (144 characters) and explicitly states the 'Καθαρή Εσωτερική Αξία' (Net Asset Value) per share as of a specific date (February 15, 2023). This directly corresponds to the definition of Net Asset Value (NAV) updates, which are primarily associated with investment funds.
2023-02-17 Greek (modern)
Share Issue/Capital Change 2023
Share Issue/Capital Change Classification · 98% confidence The document is an official announcement from INTERFUND INVESTMENTS PLC concerning an 'Increase of the Share Capital' due to the 'issue of Nil Paid Rights' and an extension of the timeframe for allocating new shares. This directly relates to changes in the company's capital structure and share issuance. Based on the definitions, the 'Share Issue/Capital Change' category (SHA) is the most appropriate fit, as it covers announcements regarding new share issues or capital structure changes. The document length is short (2175 chars) and it is an announcement, but the content is specific enough to warrant SHA over the general RPA or RNS.
2023-02-13 English
Share Issue/Capital Change 2023
Share Issue/Capital Change Classification · 99% confidence The document is a formal announcement dated February 13, 2023, regarding an 'Increase in Share Capital' (Αύξηση Μετοχικού Κεφαλαίου) via the issuance of Pre-emptive Rights (Δικαιωμάτων Προτίμησης - ΔΠ) and an extension of the timeline for allocating new shares. It explicitly mentions changes to the issued share capital (12,812,324 ordinary shares) and the commencement of trading for new shares. This content directly relates to changes in the company's capital structure and share issuance activities. This aligns perfectly with the definition for 'Share Issue/Capital Change' (Code: SHA). Although it is an announcement, the core subject matter is the capital change itself, making SHA more specific than a general RPA or RNS.
2023-02-13 Greek (modern)
Share Issue/Capital Change 2023
Share Issue/Capital Change Classification · 99% confidence The document is titled 'ΣΥΓΚΕΝΤΡΩΤΙΚΗ ΚΑΤΑΣΤΑΣΗ ΔΙΑΣΠΟΡΑΣ ΤΟΥ ΜΕΤΟΧΙΚΟΥ ΚΕΦΑΛΑΙΟΥ' (Consolidated Statement of Share Capital Distribution) for INTERFUND INVESTMENTS FUND PLC as of December 31, 2022. It details the breakdown of share ownership, including major shareholders (over 5%), management/directors, and the total number of shareholders (natural persons and legal entities). This structure, focusing on the composition of the share capital and significant ownership blocks at a specific date, is characteristic of regulatory filings related to capital structure transparency, often required periodically or upon significant changes. Given the options, it most closely resembles a report detailing capital structure and ownership, which is often part of broader regulatory reporting. Since it is a detailed, structured report about the company's capital and ownership structure as of a specific date, and not a general announcement (RPA/RNS) or a standard annual/interim financial report (10-K/IR), it fits best under a category related to capital structure or governance disclosure. However, none of the codes perfectly match a 'Share Capital Distribution Report'. Comparing the definitions: - 10-K/IR: Too specific (full annual/interim financials). - CAP: Focuses on fundraising/financing activities, not just distribution. - SHA: Focuses on share issue/change, not the current distribution status. - CGR: Governance information, which includes board structure, but this is heavily focused on share ownership. This document is a detailed disclosure of who owns the shares and who manages the company, dated at year-end. In many jurisdictions, this type of detailed ownership disclosure is mandated separately from the main financial reports. Given the options, and recognizing that it details the composition of the capital base and key stakeholders (management/major holders), it is a specific type of regulatory disclosure. Since it is a comprehensive, structured report (not a short announcement) detailing the capital structure, it is not RPA or RNS. It is a detailed report. If we must choose the closest fit among the provided codes, it relates to the capital structure and major holdings. Since there is no specific 'Shareholder Structure Report' code, and it is a detailed report, we must look at related categories. It is not a standard financial report (10-K, IR). It is a detailed disclosure. In the absence of a perfect fit, and considering it details the composition of the capital base, it is a specific regulatory disclosure. Given the options, and the detailed nature of the ownership breakdown, it is a specific regulatory filing. If we consider the closest thematic fit among the provided codes, it is a detailed report about the company's structure and ownership, which often falls under governance or capital structure disclosures. Since it is a detailed report and not a short announcement, we avoid RPA/RNS. It is a comprehensive report detailing the capital structure as of a specific date. This type of detailed ownership report is often required alongside annual filings. Given the choices, and recognizing it is a detailed report about the capital base, it is closest to a specific regulatory disclosure that isn't covered by the main financial reports. We will classify it as a specific regulatory filing that doesn't fit the other detailed categories, leaning towards RNS as a catch-all for specific regulatory disclosures not explicitly listed, although it is a detailed report. However, looking closely at the content (Board, Major Shareholders, Share Capital Distribution), it is a highly specific disclosure. Since it is a comprehensive report, and not just an announcement, RNS is the fallback. If we must choose a more specific one, none fit perfectly. We default to RNS as the most appropriate fallback for a specific, non-standard regulatory report. Revisiting the definitions: This document is a detailed report about the company's capital structure and ownership as of a specific date (31/12/2022). This is a highly specific regulatory disclosure. Since there is no code for 'Share Capital Structure Report', RNS (General regulatory announcements and fallback) is the most appropriate choice for a specific, non-standard filing type. Update: The document is a detailed, structured report, not a short announcement. It details ownership and management structure. This is a form of Governance Information (CGR) or a specific regulatory filing (RNS). Given the focus on share capital distribution and major shareholders, it is a specific regulatory disclosure. We select RNS as the best fit for a specific, non-standard regulatory report. Final check: The document is a detailed report about the composition of the share capital and management structure as of year-end. This is a specific regulatory filing. RNS is the fallback for specific regulatory filings not covered elsewhere.
2023-02-09 Greek (modern)
Net Asset Value 2023
Net Asset Value Classification · 98% confidence The document text is extremely short (143 characters) and contains a headline 'ΑΝΑΚΟΙΝΩΣΗ' (Announcement) followed by a specific financial metric: 'Καθαρή Εσωτερική Αξία' (Net Asset Value) as of a specific date (January 31, 2023). This directly corresponds to the definition of Net Asset Value (NAV) updates, which are primarily associated with investment funds. The appropriate code is NAV.
2023-02-02 Greek (modern)

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