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Sogefi — Investor Relations & Filings

Ticker · SO ISIN · IT0000076536 LEI · 5493005HPJ40IY377O47 XMIL Manufacturing
Filings indexed 1,292 across all filing types
Latest filing 2018-12-12 Net Asset Value
Country IT Italy
Listing XMIL SO

Sogefi is a global supplier of original parts for the automotive industry, specializing in the design, development, and production of technologically advanced components. The company's core activities are organized into three main product lines: Air & Cooling, Filtration, and Suspensions. The Air & Cooling division provides thermal management solutions, including air intake systems, intake manifolds, and engine cooling systems. The Filtration division manufactures a comprehensive range of engine and cabin filtration products. The Suspensions division produces flexible suspension components. Sogefi serves as a key partner to leading worldwide manufacturers of cars, commercial vehicles, and earth-moving equipment, with a significant focus on research and development to drive innovation.

Recent filings

Filing Released Lang Actions
Net Asset Value(s)
Net Asset Value Classification · 1% confidence The document is very short (908 characters) and contains specific financial metrics for a fund: NAV PER SHARE (124.03), NUMBER OF SHARES IN ISSUE (9,733.00), and a DEALING DATE (11-Dec-18). It is explicitly labeled with an 'RNS Number' and mentions RNS, the news service of the London Stock Exchange. This structure strongly indicates a regular, periodic update of the fund's Net Asset Value, which corresponds directly to the 'Net Asset Value (Code: NAV)' definition. It is not a comprehensive report (like 10-K or IR) nor a general announcement (RPA/RNS), but a specific NAV calculation release.
2018-12-12 English
Net Asset Value(s)
Net Asset Value Classification · 1% confidence The document is very short (908 characters) and contains specific financial metrics like 'NAV PER SHARE' (124.04) and 'NUMBER OF SHARES IN ISSUE' (9,733.00) for a specific fund, dated 11 December 2018. This structure strongly indicates a regular update of the Net Asset Value, which corresponds to the 'Net Asset Value (Code: NAV)' definition. Although it is distributed via RNS, the core content is the NAV calculation, making NAV the most specific classification.
2018-12-11 English
Net Asset Value(s)
Net Asset Value Classification · 1% confidence The document is extremely short (908 characters) and contains key financial metrics for a fund, specifically the NAV PER SHARE (125.19) and NUMBER OF SHARES IN ISSUE (9,733.00), associated with a specific DEALING DATE (07-Dec-18). This structure strongly suggests a regular update of the Net Asset Value, which aligns with the definition for 'Net Asset Value (Code: NAV)'. Although it is distributed via RNS, the core content is the NAV calculation, making NAV the most specific classification.
2018-12-10 English
Net Asset Value(s)
Net Asset Value Classification · 1% confidence The document is very short (908 characters) and contains specific financial metrics for a fund, including 'NAV PER SHARE' (126.48) and 'NUMBER OF SHARES IN ISSUE'. It is explicitly labeled with an 'RNS Number' and mentions the London Stock Exchange, indicating it is a regulatory announcement. The core data provided is the Net Asset Value (NAV) for the fund on a specific dealing date. This directly corresponds to the Net Asset Value (NAV) filing type.
2018-12-07 English
Net Asset Value(s)
Regulatory Filings Classification · 1% confidence The document is extremely short (908 characters) and contains specific financial metrics for a fund, including 'NAV PER SHARE' (127.68) and 'NUMBER OF SHARES IN ISSUE'. It is explicitly labeled with an 'RNS Number' and mentions being provided by 'RNS, the news service of the London Stock Exchange'. This format strongly indicates a routine, periodic update of the Net Asset Value for an investment fund, which corresponds directly to the Net Asset Value (NAV) category.
2018-12-06 English
Net Asset Value(s)
Net Asset Value Classification · 1% confidence The document is very short (908 characters) and contains specific financial metrics for a fund, including 'NAV PER SHARE' (128.08) and 'NUMBER OF SHARES IN ISSUE'. It is formatted like a regulatory notification, referencing an 'RNS Number' and the 'London Stock Exchange'. This structure strongly indicates a regular update of the Net Asset Value for an investment fund, which corresponds directly to the Net Asset Value (NAV) definition.
2018-12-05 English

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