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Skarbiec Holding S.A. — Investor Relations & Filings

Ticker · SKH ISIN · PLSKRBH00014 LEI · 2594004SSTIMQ1EPKN86 WAR Financial and insurance activities
Filings indexed 1,718 across all filing types
Latest filing 2025-03-24 Earnings Release
Country PL Poland
Listing WAR SKH

About Skarbiec Holding S.A.

https://www.skarbiecholding.pl/

Skarbiec Holding S.A. is a financial group specializing in asset and wealth management. The company's core activities focus on the creation and management of investment funds, including both open-end and closed-end funds. It also provides portfolio management services for financial instruments and offers advisory services on securities trading. The firm's investment products are primarily based on equities and bonds.

Recent filings

Filing Released Lang Actions
Szacunkowe wyniki finansowe za I półrocze 2024/2025
Earnings Release Classification · 98% confidence The document is written in Polish and explicitly states it is providing 'szacunkowe, wstępne, wybrane skonsolidowane wyniki finansowe Spółki za I półrocze 2024/2025' (estimated, preliminary, selected consolidated financial results for the first half of 2024/2025). It presents key figures like revenue, operating profit, and net profit for the 6-month period ending 31.12.2024, referencing MAR regulation (Art. 17 ust. 1 Rozporządzenia MAR). This structure—releasing key preliminary figures before the full report—is characteristic of an Earnings Release (ER). Although it mentions the final report will be published later, the core content here is the immediate release of the period's key financial performance highlights. The document length is short (1430 chars), but the content is the financial result itself, not just an announcement of the report's publication date, making ER a better fit than RPA. H1 2025
2025-03-24 Polish
Napływy netto oraz aktywa netto funduszy zarządzanych przez Skarbiec TFI.
Net Asset Value Classification · 98% confidence The document is titled "NAPŁYWY NETTO ORAZ AKTYWA NETTO FUNDUSZY ZARZĄDZANYCH PRZEZ SKARBIEC TFI SA" (Net Inflows and Net Assets of Funds Managed by Skarbiec TFI SA) and is dated for "Luty 2025" (February 2025). It presents a table detailing Net Assets and Net Inflows for various investment funds managed by the entity. This structure is characteristic of a regular update on the performance and capital movements of investment funds, specifically focusing on Net Asset Value (NAV) and fund flows. The footnote mentions compliance with Good Information Practices developed by the Chamber of Investment Fund Managers. This strongly aligns with the definition of Net Asset Value (NAV) updates, primarily for investment funds.
2025-03-05 Polish
Napływy netto oraz aktywa netto funduszy zarządzanych przez Skarbiec TFI.
Net Asset Value Classification · 98% confidence The document is titled "NAPŁYWY NETTO ORAZ AKTYWA NETTO FUNDUSZY ZARZĄDZANYCH PRZEZ SKARBIEC TFI SA" (Net Inflows and Net Assets of Funds Managed by Skarbiec TFI SA) and is dated for "Luty 2025" (February 2025). It presents a table detailing Net Assets and Net Inflows for various investment funds managed by the entity. This structure is characteristic of a regular update on the performance and capital movements of investment funds, specifically focusing on Net Asset Value (NAV) and fund flows. The footnote mentions compliance with Good Information Practices developed by the Chamber of Investment Fund Managers. This strongly aligns with the definition of Net Asset Value (NAV) updates, primarily for investment funds.
2025-03-05 Polish
Wartość aktywów pod zarządzaniem Skarbiec TFI S.A. - Content (PL)
Net Asset Value Classification · 98% confidence The document text explicitly states that the management ('Zarząd Skarbiec Holding S.A.') is relaying information regarding the 'wartości aktywów netto pod zarządzaniem' (Net Asset Value under management) of its subsidiary, Skarbiec TFI S.A., as of a specific date (28.02.2025). The content details the total NAV (5,667.4 million PLN) and breaks down the assets managed across different fund types. This content directly corresponds to the definition of Net Asset Value updates, which is classified as NAV.
2025-03-05 Polish
Wartość aktywów pod zarządzaniem Skarbiec TFI S.A.
Net Asset Value Classification · 98% confidence The document text is in Polish and reports the 'wartość aktywów netto pod zarządzaniem' (Net Asset Value under management) for a subsidiary (Skarbiec TFI S.A.) as of a specific date (28.02.2025). It breaks down the total NAV (5,667.4 million PLN) into different categories of managed funds and portfolios. This content directly corresponds to the definition of Net Asset Value updates, which is classified as 'NAV' (Net Asset Value). The document length is short (905 chars), but it contains the actual data, not just an announcement of the data release, making NAV the most appropriate classification over RPA.
2025-03-05 Polish
Informacja
Director's Dealing Classification · 100% confidence The document is titled "Powiadomienie o transakcji/transakcjach*, o którym mowa w art. 19 ust. 1 rozporządzenia MAR" (Notification of a transaction(s) referred to in Article 19(1) of the MAR Regulation). It details a transaction (Nabycie - Acquisition) of shares (AKCJA) by a person discharging managerial responsibilities (PREZES ZARZĄDU - CEO) in the company SKARBIEC HOLDING SPÓŁKA AKCYJNA. Article 19 of MAR (Market Abuse Regulation) specifically governs insider transactions by management personnel. This directly corresponds to the definition of Director's Dealing (DIRS), which covers reports of personal share transactions by company directors and executives (insider trades).
2025-03-03 Polish

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