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Paris Realty Fund — Investor Relations & Filings

Ticker · PAR ISIN · FR0010263202 LEI · 9695005BDIQVS2PM7G48 PA Real estate activities
Filings indexed 398 across all filing types
Latest filing 2021-04-06 Capital/Financing Update
Country FR France
Listing PA PAR

About Paris Realty Fund

https://www.paref.com/en/

Paris Realty Fund (PAREF) is a European real estate group specializing in property investment and asset management. With over 30 years of experience, the company operates across the entire real estate value chain, from acquisition to management and leasing. Its portfolio primarily consists of commercial properties, such as offices and business real estate, with a significant concentration in the Paris region, alongside residential assets. Through its subsidiary, PAREF Gestion, the group also offers real estate investment and fund management services to third-party clients, positioning itself as a comprehensive operator in the European market.

Recent filings

Filing Released Lang Actions
Contrat de liquidité 04 2021
Capital/Financing Update Classification · 92% confidence The document is titled "CONTRAT de LIQUIDITÉ de MARCHE" (Market Liquidity Contract) between PARIS REALTY FUNDS (the Issuer) and INVEST SECURITIES (the Animator). It explicitly references regulatory frameworks like the EU Delegated Regulation 2016/908, the French Commercial Code (Code de commerce), and the AMF Decision n° 2018-01 concerning liquidity contracts on equity securities. The core purpose is to define the terms under which the Animator will intervene (buy/sell) on the market to favor liquidity and regular quotation of the Issuer's securities. This document establishes a formal agreement for market making/liquidity provision activities, which falls under specific regulatory requirements concerning capital market operations, but it is not a standard periodic financial report (like 10-K or IR), an earnings release (ER), or a general regulatory announcement (RNS). It is a specific contractual agreement detailing financing/capital market support mechanisms. Given the options, this specialized contract detailing the mechanism for managing share liquidity and capital market support aligns best with 'Capital/Financing Update' (CAP) as it directly relates to the structure and support of the company's capital instruments, although it is a contract rather than a simple update. However, since it is a formal, detailed contract establishing a mechanism related to the company's capital structure and market operations, and it is not a standard disclosure form, it is most closely related to financing activities or a specialized agreement. If a more specific 'Market Making Agreement' existed, that would be ideal. Among the provided codes, 'CAP' (Capital/Financing Update) is the closest fit for a document detailing a formal arrangement to support the liquidity of the company's capital (shares). It is a detailed agreement, not a short announcement, so RPA is ruled out.
2021-04-06 French
FULL YEAR RESULTS AS AT DECEMBER 31, 2020
Annual Report Classification · 95% confidence The document is a comprehensive financial report for the fiscal year ending December 31, 2020, for PAREF. It contains detailed financial statements, performance metrics (EPRA Net recurring results, LTV, etc.), management commentary, and operational breakdowns of the company's business pillars. Since it covers a full fiscal year and provides substantive financial data and analysis, it is classified as an Annual Report (10-K). FY 2020
2021-02-18 English
RESULTATS ANNUELS AU 31 DECEMBRE 2020
Interim / Quarterly Report Classification · 95% confidence The document is a comprehensive financial report for the fiscal year 2020, detailing the company's strategy, financial performance (including EPRA net recurring income, net asset value, and debt ratios), and operational activities across its business segments. It contains detailed financial tables, management commentary, and performance metrics for the period ending December 31, 2020. It is not an announcement of a report (RPA) nor a simple earnings release (ER), as it provides in-depth analysis and full financial data. Therefore, it is classified as an Interim/Quarterly Report (IR) as it covers a specific reporting period with substantive financial analysis. FY 2020
2021-02-18 French
INFORMATIONS FINANCIERES AU TROISIEME TRIMESTRE 2020
Earnings Release Classification · 99% confidence The document is a press release dated October 29, 2020, titled "INFORMATIONS FINANCIERES AU TROISIEME TRIMESTRE 2020 ET CHANGEMENT A LA DIRECTION DU GROUPE PAREF" (Financial Information for the Third Quarter 2020 and Change in Management of the PAREF Group). It contains key financial highlights for the first nine months of 2020 (Q3 results) and announces significant management changes (resignation of the Deputy CEO and board appointments). Since it provides the initial, summarized financial results for a specific period (Q3), it aligns best with the Earnings Release (ER) definition. Although it also contains management changes (MANG), the primary focus and structure revolve around the quarterly financial performance announcement. It is not a comprehensive report (like 10-K or IR), nor is it just an announcement of a future report (RPA). 9M 2020
2020-10-29 French
FINANCIAL INFORMATION AS AT SEPTEMBER 30, 2020
Earnings Release Classification · 95% confidence The document is a press release titled 'FINANCIAL INFORMATION AS AT SEPTEMBER 30, 2020 AND CHANGE IN MANAGEMENT TEAM'. It provides quarterly financial highlights (revenue, commissions, operational events) and announces management changes. While it contains financial data, it is a summary press release rather than a full interim report. According to the classification rules, this fits the 'Earnings Release' (ER) category as it provides initial periodic financial highlights, and also contains management change information which is often bundled in such releases. 9M 2020
2020-10-29 English
CONDITIONS FOR ACCESSING OR CONSULTING THE 2020 HALF-YEAR FINANCIAL REPORT
Interim / Quarterly Report Classification · 95% confidence The document is a press release titled '2020 HALF-YEAR RESULTS' which provides detailed financial performance, including consolidated P&L, balance sheet indicators, and operational analysis for the first half of 2020. It contains substantive financial data and management commentary, fitting the definition of an Interim/Quarterly Report (IR) rather than a simple earnings release or announcement. H1 2020
2020-07-31 English

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