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Nexi — Investor Relations & Filings

Ticker · NEXI ISIN · IT0005366767 LEI · 5493000P70CQRQG8SN85 XMIL Financial and insurance activities
Filings indexed 968 across all filing types
Latest filing 2025-05-19 Notice of Dividend Amou…
Country IT Italy
Listing XMIL NEXI

Nexi is a European payment technology (PayTech) company specializing in digital payment services and solutions. The company operates across the entire payment value chain, offering a comprehensive suite of products for consumers, businesses, and financial institutions. Its core activities include issuing credit, debit, and prepaid cards, as well as providing acquiring and point-of-sale (POS) management services for merchants. Nexi aims to simplify payments and support the transition to a cashless economy by providing secure and efficient payment solutions. The company also forms strategic partnerships to deliver integrated acceptance solutions tailored for specific sectors, such as retail and hospitality, to enhance the customer and merchant experience.

Recent filings

Filing Released Lang Actions
Notice to bondholders 2027
Notice of Dividend Amount Classification · 1% confidence The document is a formal 'Notice to Bondholders' from Nexi S.p.A. regarding an adjustment to the Conversion Price of their Equity Linked Bonds. This adjustment is explicitly triggered by the payment of a dividend to Ordinary Shareholders, as stipulated in Condition 6(b)(iii) of the bond terms. This action directly relates to changes in the financial instruments (bonds) based on corporate actions (dividends), which falls under the scope of updates related to capital structure or financial instruments. While it mentions a dividend, the primary purpose is communicating a bond price adjustment. This is best classified as a Capital/Financing Update (CAP) as it directly impacts the terms of outstanding debt/equity-linked instruments, or potentially an Interest Rate Update/Notice (IRAT) if the bond terms are closely linked to interest-like adjustments, but CAP is broader for financing structure changes. Given the context of bond terms being adjusted due to a dividend, CAP is the most appropriate fit among the provided options, as it concerns the capital structure/financing terms.
2025-05-19 English
Notice to bondholders 2028
Capital/Financing Update Classification · 1% confidence The document is a formal 'Notice to Bondholders' from Nexi S.p.A. regarding an adjustment to the Conversion Price of their Equity Linked Bonds due 2028. This adjustment is explicitly triggered by the payment of a dividend to Ordinary Shareholders, as stipulated in Condition 6(b)(iii) of the bond terms. This action directly relates to changes in the capital structure or financial instruments tied to the company's equity, specifically concerning bond conversion terms following a dividend event. This fits best under 'Capital/Financing Update' (CAP) as it modifies the terms of a significant financing instrument (bonds) based on a corporate action (dividend). It is not a general dividend announcement (DIV), but a specific notice about the resulting bond price adjustment.
2025-05-19 English
NEXI MAKES ITS SUCCESSFUL RETURN TO THE DEBT CAPITAL MARKET
Capital/Financing Update Classification · 1% confidence The document is a formal announcement from NEXI dated May 14, 2025, detailing the successful placement of senior unsecured notes (a bond issuance) for EUR 750 million under a new EMTN Programme. This activity directly relates to the company raising capital and changing its debt structure. This aligns perfectly with the definition of 'Capital/Financing Update' (Code: CAP). Although it is a press release, the core subject matter is the financing event itself, not just the announcement of a report (which would suggest RPA or RNS). The content is substantive regarding the terms of the debt issuance (maturity, coupon, amount, demand).
2025-05-14 English
NEXI RITORNA CON SUCCESSO NEL MERCATO DEI CAPITALI DI DEBITO
Capital/Financing Update Classification · 1% confidence The document is a press release from NEXI dated May 14, 2025, announcing the successful placement of a senior unsecured bond issue for EUR 750 million. The subject line explicitly states: 'NEXI RITORNA CON SUCCESSO NEL MERCATO DEI CAPITALI DI DEBITO' (NEXI SUCCESSFULLY RETURNS TO THE DEBT CAPITAL MARKET). The text details the issuance amount, maturity, coupon rate, and the fact that it is the inaugural issuance under a new Euro Medium Term Note (EMTN) Programme. This activity directly relates to the company raising capital or changing its financing structure. Therefore, the appropriate classification is Capital/Financing Update (CAP). The document is a formal announcement, not a general regulatory filing (RNS) or a report publication announcement (RPA), as it contains the core details of the financing event.
2025-05-14 Italian
NOTICE IN RELATION TO THE DIVIDEND PAYMENT
Notice of Dividend Amount Classification · 1% confidence The document is an official notice titled "NOTICE IN RELATION TO THE DIVIDEND PAYMENT". It explicitly states the resolution made by the Shareholders' Meeting regarding the distribution of an ordinary dividend (€0.25 per share), including key dates like the record date (May 20, 2025) and payment start date (May 21, 2025). This content directly corresponds to the definition of a Notice of Dividend Amount (DIV). Although it mentions the Shareholders' Meeting minutes will be made available, the primary focus and subject of this specific communication is the dividend details.
2025-05-02 English
COMUNICAZIONE IN MERITO AL PAGAMENTO DEL DIVIDENDO
Notice of Dividend Amount Classification · 1% confidence The document is an official communication ('COMUNICAZIONE IN MERITO AL PAGAMENTO DEL DIVIDENDO') from Nexi S.p.A., dated May 2, 2025. The core content details the resolution passed by the ordinary shareholders' meeting regarding the distribution of an ordinary dividend of Euro 0.25 per share, specifying the ex-dividend date (May 19, 2025), record date (May 20, 2025), and payment date (May 21, 2025). This content directly corresponds to the definition of a 'Notice of Dividend Amount' (Code: DIV). Although the document mentions the shareholder meeting resolution, the primary focus and actionable information provided is the dividend payment schedule, making DIV the most specific classification over AGM-R or RPA.
2025-05-02 Italian

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