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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 2023-12-19 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 · 98% confidence The document explicitly provides a table containing 'NAV PER SHARE' (102.602), 'FUND' information, 'ISIN CODE', and 'DEALING DATE'. This structure is characteristic of a Net Asset Value (NAV) update, primarily for investment funds. The presence of 'RNS Number' and the LSE footer suggests it was distributed via a regulatory news service, but the core content is the NAV calculation. Therefore, the most specific classification is Net Asset Value (NAV).
2023-12-19 English
Net Asset Value(s)
Net Asset Value Classification · 98% confidence The document explicitly states 'RNS Number' and contains structured data fields typical of a regulatory announcement, specifically listing 'NAV PER SHARE' (Net Asset Value per Share) for a fund (UBS ETFs plc - CMCI Commodity Transition SF UCITS ETF). The presence of NAV data points strongly suggests classification as a Net Asset Value update. The document is short (1381 chars) and is distributed via RNS, but the core content is the NAV calculation, making NAV (NAV) the most specific fit over the general RNS category.
2023-12-18 English
Net Asset Value(s)
Net Asset Value Classification · 98% confidence The document explicitly provides a table containing 'NAV PER SHARE' (100.434), 'FUND' details, 'ISIN CODE', and 'DEALING DATE'. This structure is characteristic of a Net Asset Value (NAV) update, primarily for investment funds. The presence of 'RNS Number' and the LSE footer suggests it is a regulatory announcement, but the core content is the NAV calculation. Therefore, the most specific classification is NAV (Code: NAV). The document length is short (1381 chars), but it contains the actual data, not just an announcement of a report.
2023-12-14 English
Net Asset Value(s)
Net Asset Value Classification · 98% confidence The document explicitly contains a table detailing 'NAV PER SHARE' (100.671), 'FUND' information, 'ISIN CODE', and 'DEALING DATE'. This structure is characteristic of a Net Asset Value (NAV) update, typically issued by investment funds. The presence of 'RNS Number' and the footer referencing the London Stock Exchange's RNS service confirms it is a regulatory announcement, but the core content is the NAV calculation. Therefore, the most specific classification is NAV (Code: NAV). The document length is short (1381 chars), but the content is the data itself, not an announcement *about* the data release.
2023-12-13 English
Net Asset Value(s)
Net Asset Value Classification · 98% confidence The document explicitly contains a table with 'NAV PER SHARE' (101.0597), 'FUND' name, 'ISIN CODE', and 'DEALING DATE'. This structure is characteristic of a Net Asset Value (NAV) update, typically for investment funds. The RNS Number and reference to RNS confirm it is a regulatory announcement, but the core content is the NAV calculation. This matches the definition for Net Asset Value (NAV) (Code: NAV). The document length is short (1386 chars), but the content is the data itself, not an announcement *about* the data being attached.
2023-12-12 English
Net Asset Value(s)
Net Asset Value Classification · 98% confidence The document explicitly states 'RNS Number' and contains a table detailing 'NAV PER SHARE' (Net Asset Value per Share) for a specific fund (UBS ETFs plc - CMCI Commodity Transition SF UCITS ETF). It also includes the dealing date and number of shares in issue. Since the core content is the regular update of the Net Asset Value for an investment fund, the most appropriate classification is NAV (Net Asset Value). The presence of the RNS header confirms it is a regulatory announcement, but NAV is the specific content type.
2023-12-11 English

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