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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 1,770 across all filing types
Latest filing 2024-03-26 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' as of a specific date (25 March 2024). The key phrase is 'net asset value ("NAV")'. This directly corresponds to the definition for Net Asset Value updates (NAV). The presence of the RNS Number and the RNS distribution footer confirms it is a regulatory announcement, but the core content is the NAV calculation.
2024-03-26 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 (22 March 2024). The content 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 the RNS Number and the footer referencing RNS and the FCA confirms it is a regulatory announcement, but the specific content dictates the NAV classification over the general RNS fallback.
2024-03-25 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'. It provides specific NAV figures (177.24 and 175.93) as of a specific date (21 March 2024). This content directly matches the definition for Net Asset Value updates (NAV). The presence of the RNS Number and the footer referencing RNS and the London Stock Exchange confirms it is a regulatory announcement, but the core content is the NAV calculation.
2024-03-22 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' and provides the 'unaudited net asset value ("NAV") per Ordinary share' as of a specific date (20 March 2024). The key data points are the NAV per Share figures. This directly corresponds to the definition of a Net Asset Value update. The presence of the RNS Number and the RNS distribution boilerplate confirms it is a regulatory announcement, but the core content is the NAV calculation, making 'NAV' the most specific classification.
2024-03-21 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' providing its 'unaudited net asset value ("NAV") per Ordinary share' as of a specific date (19 March 2024). The key term is 'NAV', and the content directly reports this value. This matches the definition for Net Asset Value (NAV) updates, which is coded as NAV.
2024-03-20 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' providing its 'unaudited net asset value ("NAV") per Ordinary share' as of a specific date (18 March 2024). The key term is 'NAV', and the content is a direct reporting of this value. This matches the definition for Net Asset Value (NAV) updates. The presence of the RNS Number and the footer referencing the London Stock Exchange confirms it is a regulatory announcement, but the specific content dictates the NAV classification.
2024-03-19 English

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