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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 2024-05-14 Notice of Dividend Amou…
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
Podtrzymanie i aktualizacja polityki dywidendowej Fabrity Holding S.A. - Content (PL)
Notice of Dividend Amount Classification · 96% confidence The document text is a formal announcement from the Management Board ('Zarząd') of 'Fabrity Holding' S.A. regarding the resolution to maintain and update the company's dividend policy ('polityki dywidendowej'). It explicitly states the intention to propose a dividend payout of a minimum of 50% of the consolidated net profit from the previous year to the General Shareholders' Meeting. This content directly relates to the declaration of dividend amounts and policy, which aligns best with the 'Notice of Dividend Amount' category, even though it is a policy update rather than a specific payment announcement. Given the options, DIV (Notice of Dividend Amount) is the most appropriate fit for a formal declaration concerning dividend distribution policy.
2024-05-14 Polish
Zał_1_do_RB_28_2024.pdf
Governance Information Classification · 98% confidence The document text is titled 'STATUT K2 Holding S.A.' (Statute of K2 Holding S.A.) and details the company's foundational rules, including its founders, name, registered office, scope of business (PKD codes), capital structure (including conditional capital related to warrants), and the organization of its governing bodies (General Meeting, Supervisory Board, Management Board). This content is characteristic of a company's Articles of Association or Statute, which is a core corporate governance document. Among the provided codes, 'Governance Information' (CGR) is the most appropriate fit for a document detailing the internal rules and structure of the company, as opposed to a specific regulatory filing like 10-K or an announcement like RPA or ER.
2024-05-13 Polish
Rejestracja przez sąd zmiany Statutu Fabrity Holding S.A. - Content (PL)
Share Issue/Capital Change Classification · 99% confidence The document explicitly details a change in the company's share capital (Kapitał zakładowy) from 2,458,522.00 PLN to 2,266,022.00 PLN due to the cancellation (umorzenia) of 192,500 own shares as part of a share buyback program. This action directly results in a change to the total number of shares and voting rights. This falls under the category of changes to the capital structure or share count. The most fitting category is 'Share Issue/Capital Change' (SHA), as it describes a reduction in capital/shares, which is a capital structure change. It is not a general financing announcement (CAP) but a specific post-transaction update on the capital structure.
2024-05-13 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 explicitly states the period as 'Kwiecień 2024' (April 2024). It presents a detailed table showing Net Assets and Net Inflows for various investment funds managed by the entity. This structure is characteristic of a regular update on fund performance and capital movements, which aligns best with the Net Asset Value (NAV) reporting, typically provided by investment funds. Although it contains financial data, it is not a comprehensive annual (10-K) or interim (IR) report, nor is it a general earnings release (ER). It is a specific periodic report on fund metrics. Given the options, NAV (Net Asset Value) is the most appropriate classification for a periodic report detailing fund assets and flows.
2024-05-09 Polish
Wartość aktywów pod zarządzaniem Skarbiec TFI S.A. - Content (PL)
Regulatory Filings Classification · 99% confidence The document text is a short announcement (969 characters) from the Management Board of Skarbiec Holding S.A. reporting the Net Asset Value (NAV) under management for its subsidiary, Skarbiec TFI S.A., as of April 30, 2024. The key phrase is 'informację o wartości aktywów netto pod zarządzaniem' (information on the net asset value under management). This directly corresponds to the definition of Net Asset Value updates, which is classified as 'NAV'. The short length and reporting nature confirm this is not a comprehensive report but a specific periodic update.
2024-05-09 Polish
Powiadomienie o transakcji
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 involving a person discharging managerial responsibilities ('Piotr Szulec', 'Prezes zarządu' - CEO) concerning the acquisition ('Nabycie') of company shares ('Akcja') on a specific date (2024-04-26). This structure precisely matches the definition of Director's Dealing, which reports personal share transactions by company directors and executives (insider trades). The corresponding code is DIRS.
2024-04-30 Polish

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