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Quest for Growth NV — Investor Relations & Filings

Ticker · QFG ISIN · BE0003730448 LEI · 549300RFN1RGQGRC9B35 BR Financial and insurance activities
Filings indexed 1,081 across all filing types
Latest filing 2014-03-20 Annual Report
Country BE Belgium
Listing BR QFG

About Quest for Growth NV

https://capricorn.be/en/channels/quest-…

Quest for Growth NV is a public alternative investment fund (AIF) with fixed capital, managed by Capricorn Partners NV. The company maintains a diversified portfolio with a preference for long-term investments. It focuses on both quoted and unquoted European growth companies, primarily targeting smaller capitalization and small to medium-sized enterprises in innovative sectors such as digital, health, and clean technologies. By integrating two asset classes, the fund offers investors access to venture and growth capital alongside smaller listed companies. Investments in private companies are often made in synergy with venture and growth capital funds managed by Capricorn Partners.

Recent filings

Filing Released Lang Actions
QfG jaarverslag 2013 - ENG (light versie website).pdf
Annual Report Classification · 100% confidence The document is explicitly titled 'ANNUAL REPORT 2013' and contains comprehensive financial information, including balance sheets, income statements, notes to accounts, and a message to shareholders. It covers the full fiscal year and provides detailed performance metrics, fitting the definition of an Annual Report (10-K). FY 2013
2014-03-20 English
QfG jaarverslag 2013 - FRA (light versie website).pdf
Annual Report Classification · 100% confidence The document is titled 'RAPPORT ANNUEL 2013' (Annual Report 2013) for the company 'Quest for Growth'. It contains a comprehensive summary of the company's activities, financial statements (Bilan, Compte de résultats), audit report references, and management commentary for the full fiscal year 2013. As it is a full annual report containing substantive financial data and analysis, it is classified as a 10-K (Annual Report). FY 2013
2014-03-20 French
QfG jaarverslag 2013 - NED (light versie website).pdf
Audit Report / Information Classification · 98% confidence The document is titled "Jaarverslag 2013" (Annual Report 2013) and contains a detailed table of contents, a message to shareholders discussing the 2013 performance, proposed dividend, and strategic direction, and extensive tables showing key financial figures ('Kerncijfers') for multiple years, including balance sheet items, profit/loss, dividends, and share price information. The length (over 260,000 characters) confirms it is a comprehensive report, not just a brief announcement. The content aligns perfectly with the definition of an Annual Report, which in the US context is typically filed as a 10-K, but given the Dutch title 'Jaarverslag' and the context of comprehensive annual financial reporting, the closest equivalent among the provided codes is '10-K' (Annual Report) or potentially 'AR' (Audit Report/Information). Since it contains the full financial overview, management discussion, and is explicitly labeled as the annual report, '10-K' is the most appropriate classification for a comprehensive yearly filing. FY 2013
2014-03-20 Dutch
NAV per share on 28/02/2014: € 11.22
Net Asset Value Classification · 99% confidence The document explicitly states the 'NAV per share on 28/02/2014: € 11.22' and provides a table comparing current and previous Net Asset Values (NAV). The content is focused entirely on reporting the Net Asset Value, which directly corresponds to the definition for Net Asset Value updates (NAV). The document length is short, but the core content is the NAV figure itself, not an announcement that a separate report is attached.
2014-03-06 English
VNI par action au 28/02/2014: 11,22 EUR
Net Asset Value Classification · 99% confidence The document is a press release dated March 6, 2014, explicitly stating the 'VNI par action' (Net Asset Value per share) as of February 28, 2014, and comparing it to previous periods (Dec 31, 2013, and Jan 31, 2014). The key metric highlighted is the Net Asset Value (VNI). This directly corresponds to the definition of Net Asset Value (NAV) updates, primarily for investment funds. The document is short and serves as an announcement of this specific financial metric.
2014-03-06 French
NAV per aandeel op 28/02/2014: 11,22 €
Net Asset Value Classification · 99% confidence The document is a short press release (2800 characters) dated March 6, 2014, explicitly stating the 'NAV per aandeel op 28/02/2014: 11,22 €'. It provides a table comparing the Net Asset Value (Intrinsieke waarde) across different dates (28/02/2014, 31/01/2014, 31/12/2013) along with the corresponding stock price. This content directly corresponds to the definition of a Net Asset Value (NAV) update, which is specifically categorized as 'NAV'. Although it is a short announcement, the core content is the NAV figure itself, making NAV the most precise classification over a general RPA or RNS.
2014-03-06 Dutch

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