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Moulinvest — Investor Relations & Filings

Ticker · ALMOU ISIN · FR0011033083 LEI · 969500ZZP9B2M1L69I40 PA Manufacturing
Filings indexed 267 across all filing types
Latest filing 2023-09-14 Share Issue/Capital Cha…
Country FR France
Listing PA ALMOU

About Moulinvest

http://www.moulinvest.com/

Moulinvest is an integrated industrial company operating across the entire wood value chain, from forest management to finished products. The company's core activities include wood processing services such as sawing, drying, and planing. It manufactures a diverse range of high-value-added products, including sawn timber, planed wood, nailed panels, and treated wood for outdoor use. In addition to its wood products, Moulinvest is active in the renewable energy sector, producing heating pellets and generating electricity from biomass. The group leverages over a century of expertise to deliver sustainable and innovative solutions, primarily for the construction and housing markets, with a focus on responsible resource management.

Recent filings

Filing Released Lang Actions
Nombre d'actions et droits de vote - Août 2023
Share Issue/Capital Change Classification · 99% confidence The document is titled "Information mensuelle sur le capital et les droits de vote" (Monthly information on capital and voting rights) and provides a table detailing the number of shares and the total number of voting rights as of a specific date (August 31, 2023). This content directly relates to the structure of voting rights and capital, which aligns best with the definition of 'Declaration of Voting Results & Voting Rights Announcements' (DVA), although it is a monthly update rather than a final result of a meeting. However, given the options, DVA is the closest fit for official voting rights disclosure. It is not a full financial report (10-K, IR), an earnings release (ER), or a general regulatory filing (RNS). Since it explicitly details voting rights, DVA is the most precise classification.
2023-09-14 French
Bilan semestriel contrat de liquidité 31.08.2023
Transaction in Own Shares Classification · 90% confidence The document is a semi-annual report regarding a liquidity contract ('contrat de liquidité') between Moulinvest and Gilbert Dupont. It details the cash and share balances held in the liquidity account as of August 31, 2023, compared to the previous period. This type of disclosure regarding share buyback/liquidity management programs does not fit into specific categories like 'Transaction in Own Shares' (which usually refers to specific buyback execution reports) or 'Regulatory Filings' (RNS) as it is a standard periodic disclosure of a liquidity contract. Given the options, it is best classified as a general regulatory announcement regarding the company's share management activities.
2023-09-06 French
Bilan semestriel contrat de rachat 31.08.2023
Transaction in Own Shares Classification · 99% confidence The document is a 'Bilan semestriel' (Half-year balance sheet/statement) concerning a share repurchase contract ('contrat de rachat d'actions propres'). It details the status (cash balance and number of shares) in the buyback account as of August 31, 2023, compared to the previous period (February 28, 2023). This type of filing specifically reports on the company's activity regarding its own shares, which aligns directly with the definition for 'Transaction in Own Shares' (POS). The document is short and provides specific transactional/holding data, not a general announcement of a dividend or a full financial report.
2023-09-06 French
Bilan semestriel contrat de rachat 28.02.2023
Transaction in Own Shares Classification · 100% confidence The document is a semi-annual report regarding a share repurchase contract ('contrat de rachat d'actions') between Moulinvest and Gilbert Dupont. It details the status of the share buyback account (cash and securities balances). This falls under the category of a company reporting on its own share repurchase activities.
2023-09-06 French
Bilan semestriel contrat de liquidité 28.02.2023
Capital/Financing Update Classification · 95% confidence The document is a 'Bilan semestriel du contrat de liquidité' (Semi-annual balance sheet of the liquidity contract) for Moulinvest, dated February 28, 2023, comparing it to the previous semi-annual balance sheet from August 31, 2022. This document details the cash and stock balances held under a liquidity agreement (market making/stabilization contract). This type of regular, periodic financial disclosure related to market operations, especially when presented as a balance sheet comparison, fits best under the category for regular financial updates or specific regulatory disclosures not covered by the main reports (10-K, IR). Since it is a specific, periodic financial statement update related to market activity, and not a general earnings release (ER) or a comprehensive interim report (IR), it is most closely aligned with a specialized financial disclosure. Given the options, 'NAV' (Net Asset Value) is often used for fund valuations, but this is a liquidity contract balance. 'IR' (Interim Report) is too broad for this specific, short disclosure. 'RPA' (Report Publication Announcement) is incorrect as this is the report itself, not an announcement of one. 'XLSX' is incorrect as the format is text. The most appropriate category for a specific, periodic financial statement update that isn't a full quarterly report is often a specialized financial disclosure. However, looking closely at the definitions, this is a specific financial statement detailing asset values over a period. Since it is a 'Bilan semestriel' (Semi-annual balance sheet), it functions similarly to an Interim Report (IR) but is highly specialized. Given the context of liquidity contracts, which are often disclosed periodically, and the lack of a perfect fit, we must choose the closest fit. Since it is a periodic financial statement, 'IR' (Interim Report) is a possibility, but the document is very short and specific. If we consider it a specialized financial disclosure, 'NAV' (Net Asset Value) deals with periodic valuation, which is conceptually similar to valuing the liquidity contract assets. However, 'NAV' is usually for investment funds. Given the nature of reporting on specific financial contract balances periodically, and ruling out the major reports, 'IR' (Interim Report) is the closest fit for a semi-annual financial statement, even if it's highly specialized, or 'RNS' as a fallback. Since it is a formal, periodic financial statement, I will classify it as an Interim Report (IR), as it covers a period shorter than a year (six months).
2023-09-06 French
Bilan semestriel contrat de liquidité 31.08.2022
Regulatory Filings Classification · 95% confidence The document is a semi-annual report regarding a liquidity contract (contrat de liquidité) between Moulinvest and Gilbert Dupont. It details the cash and share balances held in the liquidity account as of August 31, 2022, compared to the previous period. This type of disclosure regarding share liquidity management and market-making activities does not fit into specific categories like earnings releases or annual reports, and is best classified as a general regulatory announcement.
2023-09-05 French

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