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NIPPON ACTIVE VALUE FUND PLC — Investor Relations & Filings

Ticker · NAVF ISIN · GB00BKLGLS10 LEI · 213800JOFEGZJYS21P75 IL Financial and insurance activities
Filings indexed 1,768 across all filing types
Latest filing 2024-10-01 Net Asset Value
Country GB United Kingdom
Listing IL NAVF

About NIPPON ACTIVE VALUE FUND PLC

https://www.nipponactivevaluefund.com/

Nippon Active Value Fund PLC is a closed-ended investment company. Its primary objective is to provide shareholders with attractive capital growth through the active management of a focused portfolio. The fund invests in quoted small-cap Japanese equities, seeking to identify undervalued companies and engage with management to unlock shareholder value.

Recent filings

Filing Released Lang Actions
Net Asset Value(s)
Net Asset Value Classification · 99% confidence The document explicitly states it is an announcement from 'NIPPON ACTIVE VALUE FUND PLC' regarding its 'unaudited net asset value ("NAV") per Ordinary share'. It provides specific NAV figures (196.44 and 193.51) as of September 30, 2024. This directly corresponds to the definition of Net Asset Value (NAV) updates, which is classified as code NAV. The presence of the RNS Number and the LSE distribution boilerplate confirms it is a regulatory announcement, but the core content is the NAV calculation.
2024-10-01 English
Monthly Factsheet
Report Publication Announcement Classification · 99% confidence The document explicitly announces the availability of the 'Monthly Factsheet' for Nippon Active Value Fund plc, dated as at 31 August 2024. It states, 'There is a copy of the Factsheet attached to this announcement, as below.' The document itself is short (3014 chars) and serves as a notification that the factsheet (a type of Fund Information/Factsheet, Code FS) is being released. According to Rule 2 (The 'MENU VS MEAL' Rule), when a document announces the publication of another report and attaches it, it should be classified as a Report Publication Announcement (RPA). Since the core content is the release of a factsheet, RPA is the most appropriate classification for the announcement itself.
2024-09-30 English
Net Asset Value(s)
Net Asset Value Classification · 99% confidence The document explicitly states 'NIPPON ACTIVE VALUE FUND PLC ("The Company")' and provides the 'unaudited net asset value ("NAV") per Ordinary share ("Share")' as of a specific date (27 September 2024). The core content is the calculation and announcement of the NAV. This directly corresponds to the definition for Net Asset Value (NAV). The presence of 'RNS Number' and the closing statement about RNS confirms it is a regulatory announcement, but the specific content dictates the primary classification.
2024-09-30 English
Net Asset Value(s)
Net Asset Value Classification · 99% confidence The document explicitly states it is an announcement regarding the 'unaudited net asset value ("NAV") per Ordinary share'. It provides the specific NAV figures (194.52 and 193.19) as of a specific date (26 September 2024). This directly matches the definition for Net Asset Value updates (NAV). The presence of the RNS Number and the London Stock Exchange footer confirms it is a regulatory announcement, but the content is specifically about NAV.
2024-09-27 English
Net Asset Value(s)
Net Asset Value Classification · 99% confidence The document explicitly states it is an announcement from 'NIPPON ACTIVE VALUE FUND PLC' regarding its 'unaudited net asset value ("NAV") per Ordinary share' as of a specific date (25 September 2024). The key metric provided is the NAV per Share. This directly corresponds to the definition of Net Asset Value updates, which is classified as 'NAV'. The presence of the RNS Number and the footer referencing RNS confirms it is a regulatory announcement, but the content is specifically about NAV.
2024-09-26 English
Net Asset Value(s)
Net Asset Value Classification · 99% confidence The document explicitly states it is an announcement regarding the 'unaudited net asset value ("NAV") per Ordinary share' as of a specific date (24 September 2024). It provides the calculated NAV figures. This directly corresponds to the definition of Net Asset Value (NAV) updates, which is classified as code NAV. The presence of 'RNS Number' and the closing statement about RNS distribution confirms it is a regulatory announcement, but the core content is the NAV calculation.
2024-09-25 English

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