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Vienna Insurance Group AG — Investor Relations & Filings

Ticker · VIG ISIN · AT0000908504 LEI · 549300JCRU23I1THU176 VI Financial and insurance activities
Filings indexed 884 across all filing types
Latest filing 2026-01-15 Net Asset Value
Country AT Austria
Listing VI VIG

About Vienna Insurance Group AG

https://group.vig/en/

Vienna Insurance Group AG (VIG) is a leading insurance group in Central and Eastern Europe. The group operates through a multi-brand strategy, comprising more than 50 insurance companies and pension funds. VIG offers a comprehensive portfolio of products and services, including property and casualty, life, and health insurance, as well as reinsurance. A core element of its strategy is providing insurance solutions adapted to local market conditions and personal customer needs. With approximately 30,000 employees, the group leverages its extensive regional network to serve a diverse client base across its markets.

Recent filings

Filing Released Lang Actions
VIG Befektetési Alapok Havi Hírlevél 2025.12
Net Asset Value Classification · 1% confidence The document is a monthly newsletter ('HAVI Hírlevél') for the 'VIG GreenTrend Részvény Befektetési Alap' (an investment fund). It provides a summary of the fund's investment policy, market performance, asset allocation, risk metrics, and top holdings for December 2025. It explicitly states in the legal disclaimer that it serves as a portfolio report ('portfólió jelentés') as required by regulation. This type of document is standard for investment funds to provide periodic updates to investors, which falls under the 'Fund Information / Factsheet' category.
2026-01-15 Hungarian
VIG Befektetési Alapok Havi Hírlevél 2025.12
Net Asset Value Classification · 1% confidence The document is a monthly newsletter ('HAVI Hírlevél') for the 'VIG GreenBond Kötvény Befektetési Alap' (an investment fund). It provides detailed information on the fund's investment policy, market summary, asset composition, performance metrics, and top holdings as of December 2025. The document explicitly states in the legal disclaimer that it serves as a portfolio report ('portfólió jelentés') as required by law. This type of document, which provides periodic updates on fund performance and holdings, is classified as a Fund Information / Factsheet.
2026-01-15 Hungarian
VIG Befektetési Alapok Havi Hírlevél 2025.12
Fund Information / Factsheet Classification · 1% confidence The document is a monthly newsletter ('Havi Hírlevél') for the 'VIG GreenBond Kötvény Befektetési Alap' (VIG GreenBond Bond Investment Fund). It provides a summary of the fund's investment policy, market performance, asset allocation, and key risk indicators for December 2025. The document explicitly states in the legal disclaimer that it is a 'portfolio report' ('portfólió jelentés') as required by law, detailing the fund's net asset value and holdings. This fits the definition of a Fund Information/Factsheet (FS), which provides a summary of key company/fund facts, financials, and market info.
2026-01-15 Hungarian
VIG Befektetési Alapok Havi Hírlevél 2025.12
Fund Information / Factsheet Classification · 1% confidence The document is a monthly newsletter ('HAVI Hírlevél') for the 'VIG GreenBond Kötvény Befektetési Alap' (VIG GreenBond Bond Investment Fund). It provides detailed information on the fund's investment policy, market summary, asset composition, risk indicators, and performance metrics for December 2025. The document explicitly states in the legal disclaimer that it serves as a portfolio report ('portfólió jelentés') as required by law. This type of document, which provides a summary of fund facts, performance, and holdings, is classified as a Fund Information / Factsheet.
2026-01-15 Hungarian
VIG Befektetési Alapok Havi Hírlevél 2025.12
Fund Information / Factsheet Classification · 1% confidence The document is a monthly newsletter ('HAVI Hírlevél') for the 'VIG GreenBond Kötvény Befektetési Alap' (VIG GreenBond Bond Investment Fund). It provides detailed information on the fund's investment policy, market summary, asset allocation, risk indicators, and performance metrics for December 2025. The document explicitly states in the legal disclaimer that it constitutes a 'portfolio report' ('portfólió jelentés') as required by law, detailing the fund's holdings and net asset value. This fits the definition of a Fund Information/Factsheet (FS), which provides a summary of key company/fund facts, financials, and market info.
2026-01-15 Hungarian
VIG Befektetési Alapok Havi Hírlevél 2025.12
Net Asset Value Classification · 1% confidence The document is a monthly newsletter ('HAVI Hírlevél') for the 'VIG Globális Feltörekvő Piaci Kötvény Befektetési Alap'. It provides a summary of the fund's investment policy, market performance, asset composition, risk metrics, and top holdings as of December 2025. While it contains financial data, it is a periodic summary document for investors rather than a full annual report or a regulatory filing. In the context of fund documentation, this fits the definition of a Fund Information/Factsheet (FS).
2026-01-15 Hungarian

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