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MEKO — Investor Relations & Filings

Ticker · MEKO ISIN · SE0002110064 LEI · 529900R809HC1RFRQA91 ST Wholesale and retail trade
Filings indexed 562 across all filing types
Latest filing 2021-02-12 Audit Report / Informat…
Country SE Sweden
Listing ST MEKO

MEKO is a corporate group that operates and develops businesses in the automotive aftermarket. The company manages leading automotive spare-parts chains through a network that includes proprietary wholesale operations, over 600 branches, and approximately 4,500 workshops operating under its various brands. MEKO provides a wide range of solutions and products, such as spare parts, tools, and equipment, to both professional workshops and individual car owners. The company's stated vision is to enable mobility by serving as a comprehensive partner for vehicle repair and maintenance.

Recent filings

Filing Released Lang Actions
Audit Report / Information 2020
Audit Report / Information Classification · 1% confidence The document is explicitly titled "Year-end report January - December 2020" and contains comprehensive financial data for the full fiscal year (Jan-Dec 2020) as well as the fourth quarter (Oct-Dec 2020). It includes detailed tables on Net sales, EBIT, Earnings per share, balance sheet metrics (Net debt), CEO comments, and updates on financial targets. This structure and content strongly indicate a full annual financial report, which corresponds to the 10-K filing type, even though it is presented in a non-SEC format (likely a press release version of the annual report). Since the document provides the full annual performance details, it is classified as 10-K rather than a brief Earnings Release (ER) or a Report Publication Announcement (RPA). FY 2020
2021-02-12 English
Mekonomen Group receives insurance compensation of SEK 63 M after data breach
Regulatory Filings Classification · 1% confidence The document is explicitly titled a "Press release" dated January 5, 2021, announcing a specific event: receiving insurance compensation related to a past data breach. It details the financial impact (SEK 63 M compensation, positive effect on Q4 2020 EBIT) and includes quotes from the CEO. This format—a brief, timely announcement of a material event that affects financial results but is not the full periodic report itself—aligns best with an Earnings Release (ER) or a general Regulatory Filing (RNS). Since it discusses specific financial outcomes (EBIT impact, income booking) related to an event, ER is a strong candidate. However, the content is focused on a non-recurring event (insurance payout for a breach) rather than standard quarterly performance metrics. Given the nature of the announcement (a specific, material, non-recurring financial event communicated via press release) and the lack of standard quarterly/annual reporting structure, it fits best as a general Regulatory Filing (RNS) or potentially an Earnings Release (ER) if the company uses ERs for material non-standard updates. Since it is a press release announcing a specific financial outcome, and it is not a full report (10-K, IR), ER is appropriate for material financial news, but RNS is the safest fallback for general regulatory press releases. Given the financial nature of the update (SEK 63M booked as income), ER is slightly more specific than RNS. However, looking at the definitions, ER is for 'initial announcement of quarterly/periodical financial results (key highlights only)'. This is an announcement of a specific financial event, not the period's results. Therefore, RNS (General regulatory announcements and fallback category) is the most appropriate classification for a material press release that doesn't fit the specific report types.
2021-01-05 English
Mekonomen Group erhåller försäkringsersättning om 63 MSEK efter IT-intrång
Legal Proceedings Report Classification · 1% confidence The document is explicitly labeled as a "Pressmeddelande" (Press Release) dated January 5, 2021. It announces a specific, non-recurring financial event: receiving an insurance compensation of 63 MSEK following a prior IT intrusion. This type of announcement, detailing a specific financial outcome or corporate event outside of standard periodic reporting (like 10-K or IR), fits best under the general category of regulatory announcements or specific corporate news. Since it is not a full earnings release (ER), an interim report (IR), or a management discussion (MDA), and it deals with a specific corporate event/financial impact, it is classified as a general Regulatory Filing (RNS) as it is mandated by market abuse regulation ('EU:s marknadsmissbruksförordning') and serves as a broad regulatory disclosure.
2021-01-05 Swedish
Mekonomen Group bekräftar fokus på tillväxt, justerar sina långsiktiga finansiella mål
Management Reports Classification · 1% confidence The document is a press release dated December 18, 2020, announcing that Mekonomen Group is adjusting its long-term financial targets (revenue growth, operating margin, debt ratio) and clarifying its dividend policy. Crucially, it also announces an upcoming 'kapitalmarknadsdag' (Capital Markets Day) on February 25, 2021, where the strategy to achieve these goals will be presented. This document is not the full financial report (10-K or IR), nor is it a transcript (CT) or a formal dividend notice (DIV). It is an announcement regarding future financial strategy and an upcoming investor event. The closest fit among the provided codes is 'Investor Presentation' (IP) if it were the presentation itself, but since it is an announcement *about* future strategy presentation and target adjustments, it falls under general corporate updates. However, the core content is the adjustment of long-term financial goals and the announcement of a Capital Markets Day, which is a key event for investors. Given the options, this type of strategic update and announcement of a future investor event is often categorized as a general Investor Relations communication. Since it details financial goals and strategy outlook, 'Investor Presentation' (IP) is a strong candidate if we interpret it as the material *leading up to* or summarizing the strategic intent, but the text explicitly announces a future presentation. If we must choose a filing type, announcements detailing strategic shifts and financial targets often accompany or precede Investor Presentations (IP) or are part of broader management discussions (MDA). Since it is a press release announcing strategic financial targets and an upcoming investor event, it is best classified as an Investor Presentation (IP) material or a general announcement. Given the focus on long-term financial goals and strategy, IP is the most relevant category for strategic investor communication, even if it's a press release announcing the strategy presentation rather than the presentation itself. Alternatively, it could be RNS as a general regulatory announcement, but IP captures the content better. I will select IP based on the strategic financial focus.
2020-12-18 Swedish
Mekonomen Group affirms focus on growth, adjusts its long-term financial goals
Investor Presentation Classification · 1% confidence The document is explicitly labeled as a "Press release" dated December 18, 2020. The content focuses on affirming growth focus, adjusting long-term financial goals (sales increase, EBIT margin, debt ratio), and clarifying the dividend policy, setting a timeframe of 2025. It also announces an upcoming "capital markets day" on February 25, 2021, where the strategy will be presented in detail. Since the document is an announcement detailing changes to financial targets and strategy, and it is not a full financial report (like 10-K or IR) or a presentation itself (IP), it best fits the category for updates on financing/capital structure or management strategy communication. Given the focus on adjusting financial targets and strategy for future growth, it aligns closely with Capital/Financing Update (CAP) or potentially Management Reports (MDA). However, the core action is setting new financial parameters and announcing a CMD to discuss strategy, which often falls under broader capital/financing strategy communication or investor relations updates. Since it is a press release announcing strategic financial targets and a CMD, it is most accurately classified as a Capital/Financing Update (CAP) as it directly relates to capital structure goals (debt ratio) and future growth financing strategy, or potentially an Investor Presentation (IP) if it were the presentation itself, but it is an announcement *about* the strategy. Given the options, 'CAP' covers the adjustment of financial goals and dividend policy, which are key capital structure elements. Alternatively, since it announces a Capital Markets Day, it is a communication aimed at investors regarding future capital deployment and performance targets. I will select CAP as the primary focus is on financial targets and dividend policy.
2020-12-18 English
Mekonomens valberedning föreslår Robert M. Hanser som ny styrelseordförande
Board/Management Information Classification · 1% confidence The document is a press release dated December 3, 2020, announcing a proposal from the Nomination Committee (Valberedningen) regarding the election of a new Chairman of the Board (Styrelseordförande) for the upcoming Annual General Meeting (AGM) in 2021. This directly concerns changes in the company's board of directors and senior management structure. This aligns perfectly with the definition for Board/Management Information (MANG). It is not a full AGM presentation (AGM-R), a full annual report (10-K), or a general earnings release (ER).
2020-12-03 Swedish

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