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Transition — Investor Relations & Filings

Ticker · TRAN ISIN · PLTNLGM00018 LEI · 259400G2FTEHR29WTQ41 PA Financial and insurance activities
Filings indexed 423 across all filing types
Latest filing 2024-05-30 Net Asset Value
Country PL Poland
Listing PA TRAN

About Transition

https://spactransition.com/

Transition is a Special Purpose Acquisition Company (SPAC) founded by entrepreneurs with extensive track records in the energy and finance sectors. The company is designed to identify and merge with a target business, referred to as a 'new generation player,' to accelerate its value creation and growth. Leveraging the founders' expertise in M&A, investment management, and the energy industry, Transition focuses on capturing growth opportunities, particularly within the energy transition sector.

Recent filings

Filing Released Lang Actions
Net Asset Value(s)
Net Asset Value Classification · 1% confidence The document explicitly contains an 'RNS Number' and is formatted like a standard regulatory news service announcement from the London Stock Exchange. The core content provides the 'NAV PER SHARE' (Net Asset Value per Share) for a specific ETF, along with the dealing date and number of shares in issue. This directly corresponds to the definition of a Net Asset Value update, which has the code NAV. Although it is distributed via RNS, the primary content type is the NAV calculation.
2024-05-30 English
Net Asset Value(s)
Net Asset Value Classification · 1% confidence The document explicitly contains an 'RNS Number' and is formatted as a standard regulatory news service announcement from the London Stock Exchange. The core content is a table detailing the 'NAV PER SHARE' (Net Asset Value per Share) for a specific fund (UBS ETFs plc - CMCI Commodity Transition SF UCITS ETF) as of a specific 'DEALING DATE'. This directly matches the definition for Net Asset Value updates (NAV). Although it is distributed via RNS, the primary information conveyed is the NAV figure, making 'NAV' the most specific classification over the general 'RNS' fallback.
2024-05-29 English
Net Asset Value(s)
Net Asset Value Classification · 1% confidence The document is extremely short (1396 characters) and presents a structured table containing 'FUND', 'ISIN CODE', 'DEALING DATE', 'NAV PER SHARE', 'BASE CURRENCY', and 'NUMBER OF SHARES IN ISSUE'. The presence of 'NAV PER SHARE' is the key indicator. This directly corresponds to the definition of Net Asset Value (NAV) updates, which is classified as 'NAV'. The document is an announcement of this data, not a comprehensive report, but the specific category 'NAV' is more precise than the general 'RPA' or 'RNS'.
2024-05-28 English
Net Asset Value(s)
Net Asset Value Classification · 1% confidence The document is very short (1390 characters) and contains structured data points typical of a fund update, specifically listing a FUND name, ISIN CODE, DEALING DATE, NAV PER SHARE, and NUMBER OF SHARES IN ISSUE. The presence of 'NAV PER SHARE' strongly indicates a Net Asset Value update. The document is distributed via 'RNS Number' and mentions the London Stock Exchange, confirming it is a regulatory announcement. Based on the content, the most specific classification is Net Asset Value (NAV).
2024-05-24 English
Net Asset Value(s)
Net Asset Value Classification · 1% confidence The document is very short (1390 characters) and contains structured data points like 'NAV PER SHARE: 113.054', 'ISIN CODE', and 'DEALING DATE'. It is explicitly labeled with 'RNS Number' and mentions 'RNS is approved by the Financial Conduct Authority'. This format strongly suggests a routine regulatory announcement providing key figures for a fund. Since it provides the Net Asset Value (NAV) directly, the most specific classification is NAV (Net Asset Value). It is not an announcement *about* a report, but the report data itself, albeit in a highly summarized format.
2024-05-23 English
Net Asset Value(s)
Net Asset Value Classification · 1% confidence The document explicitly contains an 'RNS Number' and is distributed via 'RNS, the news service of the London Stock Exchange'. The content provides a daily update for a specific fund, 'UBS ETFs plc - CMCI Commodity Transition SF UCITS ETF (USD) A-acc', detailing the 'NAV PER SHARE' (Net Asset Value per Share) as of the dealing date. This directly matches the definition for Net Asset Value updates (NAV). Although it is distributed via RNS, the core content is the NAV calculation, making NAV the most specific classification.
2024-05-23 English

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