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VNV Global — Investor Relations & Filings

Ticker · VNV ISIN · SE0014428835 LEI · 549300ONMNSTOBAU0S14 ST Financial and insurance activities
Filings indexed 1,052 across all filing types
Latest filing 2011-11-02 Net Asset Value
Country SE Sweden
Listing ST VNV

About VNV Global

https://vnv.global/

VNV Global is an investment company that provides patient, long-term capital to businesses with strong network effects and competitive advantages. The firm operates with an opportunistic and stage-agnostic investment strategy, focusing on technology-driven companies that address real-world problems in large markets. VNV Global supports mission-driven entrepreneurs globally, aiming to help their ventures achieve the scale necessary for long-term profitability.

Recent filings

Filing Released Lang Actions
Net Asset Value 2011
Net Asset Value Classification · 99% confidence The document is very short (1112 characters) and presents key financial metrics for a specific date (October 31, 2011), including 'Substansvärde per aktie' (Net Asset Value per share) and details on top holdings. This structure is characteristic of a regular update on the value of an investment fund or portfolio, rather than a comprehensive annual report (10-K) or an interim report (IR). The term 'Substansvärde' directly translates to Net Asset Value (NAV). Therefore, the most appropriate classification is NAV.
2011-11-02 Swedish
Board/Management Information 2011
Board/Management Information Classification · 99% confidence The document is a 'News Release' dated October 25, 2011, announcing the composition of the Nomination Committee for the upcoming 2012 Annual General Meeting (AGM). It details the members appointed and the tasks of the committee, which relate to recommendations for the AGM (election of board members, fees, auditors). This content directly relates to the preparation and structure surrounding the Annual General Meeting, specifically concerning nominations and governance leading up to it. While it mentions the AGM, it is not the AGM presentation itself (AGM-R) nor a proxy statement (PSI). It is an announcement regarding the committee responsible for nominations for the AGM, which falls under general governance or board-related information, but the specific focus on the Nomination Committee's composition and tasks for the AGM strongly aligns with preparatory materials for that meeting. Given the options, this is best classified as Board/Management Information (MANG) as it concerns the composition and function of a committee related to board elections, or potentially Governance Information (CGR). However, since it is specifically about the committee responsible for nominating board members for the AGM, MANG is a strong fit for management/board structure announcements. Given the context of preparing for the AGM regarding board elections, MANG is the most precise fit among the provided codes for an announcement about the composition of a nomination committee.
2011-10-25 English
Board/Management Information 2011
Board/Management Information Classification · 99% confidence The document is a press release from Vostok Nafta Investment Ltd announcing the composition of the Nomination Committee (valberedningen) ahead of the 2012 Annual General Meeting (årsstämman). The text details the appointed members and outlines the committee's mandate, which includes proposing candidates for the board, setting board remuneration, and selecting auditors. This content directly relates to the preparation for the AGM and the governance structure surrounding director nominations. While it is related to the AGM, it is specifically about the nomination committee's composition and mandate, which falls under Governance Information (CGR) or potentially AGM Information (AGM-R). Given the focus on the structure and mandate of the body responsible for nominating directors and setting remuneration principles, CGR (Governance Information) is a strong fit, as is AGM-R (AGM Information). However, since the core function described is the nomination process for the board and related remuneration, which are key governance topics, CGR is highly relevant. If the document were the actual AGM agenda or voting results, AGM-R or DVA would apply. Since it is the announcement of the *committee* preparing for the AGM, CGR is the most precise fit for governance structure information, although AGM-R is also plausible. Given the specific mention of 'valberedningen' (nomination committee) and its mandate, I will classify it as Governance Information (CGR). The document length is short (1184 chars), but it contains the full substance of the announcement, not just a pointer to another report, so RPA/RNS is less likely than a specific content category.
2011-10-25 Swedish
Net Asset Value 2011
Net Asset Value Classification · 99% confidence The document is explicitly titled with a date and focuses entirely on reporting the 'Net asset value as of September 30, 2011' per share, along with changes in NAV and details of the largest holdings. This content directly matches the definition for Net Asset Value updates, which corresponds to the filing code NAV.
2011-10-04 English
Net Asset Value 2011
Net Asset Value Classification · 99% confidence The document text is very short (1130 characters) and presents key financial metrics for a specific date (September 30, 2011), including Net Asset Value (Substansvärde) per share, portfolio performance comparison against an index (RTS-index), and a list of top holdings. This structure is characteristic of a regular update on the value of an investment fund or portfolio, rather than a comprehensive annual report (10-K) or an interim report (IR). The term 'Substansvärde' (Net Asset Value) is the key indicator. Among the provided definitions, 'Net Asset Value (Code: NAV)' fits best for regular NAV updates, typically for investment funds.
2011-10-04 Swedish
Net Asset Value 2011
Net Asset Value Classification · 99% confidence The document is explicitly titled with a date and focuses entirely on reporting the 'Net asset value as of August 31, 2011' per share, including changes and top holdings. This content directly matches the definition for Net Asset Value updates, which is categorized as 'NAV'. The document length is short (1080 chars), but its primary function is to state the NAV figure, not merely announce that a report is available.
2011-09-02 English

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