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Rubis — Investor Relations & Filings

Ticker · RUI ISIN · FR001400ABR1 LEI · 969500MGFIKUGLTC9742 PA Electricity, gas, steam and air conditioning supply
Filings indexed 541 across all filing types
Latest filing 2020-07-21 M&A Activity
Country FR France
Listing PA RUI

Rubis is an independent company specializing in the downstream energy sector. Its core activities include the storage, distribution, and trading of petroleum products, liquefied petroleum gas (LPG), bitumen, and bulk chemicals. The company's operations are primarily divided into two segments: an energy distribution division focused on the retail and supply of energy products, and a terminal division that provides bulk liquid storage infrastructure for petroleum, chemicals, fertilizers, and oils. In addition to its core business, Rubis is expanding into renewable electricity production and developing less carbon-intensive energy solutions to meet evolving energy needs.

Recent filings

Filing Released Lang Actions
RUBIS: Rubis Terminal, contrôlée conjointement par I Squared Capital et Rubis, annonce le rachat de TEPSA, entreprise leader dans le stockage de produits liquides en Espagne
M&A Activity Classification · 1% confidence The document announces a significant corporate action: Rubis Terminal (a joint venture) is acquiring TEPSA, a leader in liquid product storage in Spain. This involves a merger/acquisition (M&A) activity. The text details the strategic rationale, the parties involved (I Squared Capital, Rubis, Pétrofrance S.A.), and the expected impact on Rubis Terminal's size and diversification. This clearly aligns with the definition of M&A Activity (TAR). It is not a standard regulatory filing like 10-K or ER, nor is it a simple announcement of a report (RPA).
2020-07-21 French
RUBIS: Result of the option for dividend payment in shares
Notice of Dividend Amount Classification · 1% confidence The document explicitly discusses the 'RESULT OF THE OPTION FOR DIVIDEND PAYMENT IN SHARES' following an Ordinary Shareholders' Meeting. It details the dividend amount, the option given to shareholders to receive payment in new shares instead of cash, the price set for those new shares, the percentage of rights exercised for share payment, the number of new shares created, and the resulting change in share capital. This content directly relates to the announcement of dividend details and the subsequent capital change resulting from the dividend reinvestment plan. While it involves a capital change (SHA), the primary focus and context are the dividend payment results and the issuance of shares in lieu of cash dividend. This fits best under 'Notice of Dividend Amount' (DIV) as it is the result of the dividend decision, or potentially 'Share Issue/Capital Change' (SHA). Given the detailed breakdown of the dividend option results and the resulting share issuance, DIV is a strong candidate, but SHA specifically covers the resulting increase in share capital. However, since the core event is the dividend payment mechanism outcome, DIV is slightly more specific to the context provided. Let's re-evaluate the definitions. DIV is 'Announcement of dividend amounts, payment dates, and details for shareholders.' SHA is 'Announcement regarding new share issues, stock splits, or other capital changes.' Since the document details the *result* of the dividend option, which led directly to a share issue, SHA is highly relevant. Given the explicit mention of the resulting share capital increase and the creation of new shares, SHA is the most precise fit for the outcome described, even though it stems from a dividend decision. The document is short and is the final result, not an announcement of an upcoming report, so RPA/RNS is not applicable. I will classify it as SHA due to the focus on the capital structure change resulting from the dividend election.
2020-07-17 English
RUBIS: Résultat de l'option pour le paiement du dividende en actions
Declaration of Voting Results & Voting Rights Announcements Classification · 1% confidence The document is titled "RÉSULTAT DE L'OPTION POUR LE PAIEMENT DU DIVIDENDE EN ACTIONS" (Result of the Option for Dividend Payment in Shares). It details the outcome of a shareholder decision regarding receiving dividends in cash or new shares, specifies the number of new shares created, the resulting capital structure, and the listing date. This directly relates to the announcement of dividend details and the resulting change in share capital. While it mentions the dividend decision (DIV), the core focus is on the issuance of new shares as payment, which aligns closely with 'Share Issue/Capital Change' (SHA). However, since the primary event being reported is the final result of the dividend option, and the creation of new shares is a direct consequence of the dividend payment mechanism, 'Notice of Dividend Amount' (DIV) is a strong candidate, but 'SHA' covers the capital structure change resulting from the share issuance. Given the explicit mention of the dividend payment option result and the subsequent creation of new shares, 'DIV' (Notice of Dividend Amount) is relevant, but 'SHA' (Share Issue/Capital Change) is more precise for the resulting capital structure change. Since the text is a formal announcement detailing the mechanics and result of a dividend paid via share issuance, and it results in a capital change, SHA is the most specific fit for the outcome described. If a dedicated 'Dividend Reinvestment/Share Issuance' code existed, it would be better, but among the choices, SHA captures the capital structure change resulting from the dividend option.
2020-07-17 French
RUBIS: Half-year statement on Rubis' liquidity contract with Exane BNP Paribas
Capital/Financing Update Classification · 1% confidence The document is a 'PRESS RELEASE' titled 'HALF-YEAR STATEMENT ON RUBIS' LIQUIDITY CONTRACT WITH EXANE BNP PARIBAS'. It details the balances and transactions related to a liquidity contract (likely a share buyback or stabilization agreement) as of June 30, 2020, which is a mid-year point. This type of announcement, focusing on specific financial arrangements or transactions rather than comprehensive periodic results (like 10-K or IR), often falls under general regulatory announcements or specific transaction reporting. Since it details transactions in the company's own shares (purchases and sales under a liquidity contract), it strongly aligns with the definition of 'Transaction in Own Shares' (POS). It is not a full earnings release (ER), interim report (IR), or a general capital change (CAP), but a specific report on share repurchase/stabilization activity.
2020-07-07 English
RUBIS: Bilan semestriel du contrat de liquidité de Rubis contracté avec la société Exane BNP Paribas
Capital/Financing Update Classification · 1% confidence The document is titled "BILAN SEMESTRIEL DU CONTRAT DE LIQUIDITÉ DE RUBIS" (Semi-annual Balance Sheet of the Liquidity Contract of RUBIS) and details transactions and holdings related to a liquidity contract (likely a share buyback or market making agreement) for the first half of 2020 (ending June 30, 2020). This type of filing reports on the company's own shares being traded under a specific agreement, which aligns closely with the definition of 'Transaction in Own Shares' (POS). It is a specific report detailing the activity of the company's own stock transactions, not a general financing update (CAP) or a major shareholding notification (MRQ) by an external party. Given the specific nature of reporting on a liquidity contract balance sheet, POS is the most appropriate classification.
2020-07-07 French
RUBIS: Mise à disposition des documents préparatoires à l'Assemblée Générale Ordinaire du 11 juin 2020
AGM Information Classification · 1% confidence The document explicitly announces the 'MISE À DISPOSITION DES DOCUMENTS PRÉPARATOIRES À L'ASSEMBLÉE GÉNÉRALE ORDINAIRE DU 11 JUIN 2020' (Making available of preparatory documents for the Ordinary General Meeting of June 11, 2020). It details the date, location (noting it will be held behind closed doors due to Covid-19), and where the preparatory documents can be accessed (website and registered office). Since this is an announcement about the availability of materials for an AGM, and not the AGM presentation itself or the proxy statement, the most appropriate classification is AGM Information (AGM-R), as it directly relates to the upcoming Annual General Meeting.
2020-05-04 French

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