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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 2010-11-02 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 2010
Net Asset Value Classification · 99% confidence The document is explicitly titled with a date and focuses entirely on reporting the 'Net asset value per share' for a specific date (October 29, 2010), including comparisons to an index and listing the top holdings. This content directly matches the definition for Net Asset Value updates, which is categorized as 'NAV'. The document length is short (1081 chars), but its primary function is to convey the NAV figure itself, not just announce that the NAV report is available, thus it is classified as NAV rather than RPA/RNS.
2010-11-02 English
Net Asset Value 2010
Net Asset Value Classification · 99% confidence The document is very short (1113 characters) and presents key financial metrics for a specific date (October 29, 2010), including Net Asset Value (Substansvärde) per share in USD and SEK, portfolio performance, and top holdings. This structure strongly indicates a regular update on the fund's value, which aligns perfectly with the definition of Net Asset Value (NAV) reporting, especially for investment vehicles like Vostok Nafta mentioned in the text. It is not a comprehensive annual report (10-K), an earnings release (ER), or a management discussion (MDA). Therefore, the classification is NAV.
2010-11-02 Swedish
Board/Management Information 2010
Board/Management Information Classification · 99% confidence The document is a press release dated October 15, 2010, announcing the composition of the Nomination Committee for the upcoming 2011 Annual General Meeting (AGM). It details the appointed members and the committee's main tasks, which relate to board elections and fees for the AGM. This content directly relates to the preparation and structure surrounding the Annual General Meeting, specifically concerning nominations. This aligns best with the 'AGM Information' category (AGM-R), which covers presentations and materials shared during the AGM, and this announcement sets the stage for that meeting.
2010-10-15 English
Board/Management Information 2010
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) for the 2011 Annual General Meeting (årsstämman 2011). The content specifically details the members appointed to this committee and its mandate, which includes proposing candidates for the board and setting remuneration. This directly relates to the governance and preparation for the AGM, fitting the description of 'AGM Information' (AGM-R) or potentially 'Governance Information' (CGR). However, since the core subject is the composition of the committee responsible for nominating directors and setting compensation ahead of the AGM, AGM-R is the most precise fit, as it covers materials shared during or in preparation for the AGM. The document is short and announces the committee's makeup, which is a key component of AGM preparation.
2010-10-15 Swedish
Net Asset Value 2010
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, 2010' and the change therein. It lists the NAV per share in USD and SEK, compares it to an index (RTS index development), and details the top holdings. This content directly corresponds to the definition of a Net Asset Value (NAV) update, which is specifically categorized as 'NAV'. The document length is short, but it is the actual data release, not an announcement of a release.
2010-10-04 English
Net Asset Value 2010
Net Asset Value Classification · 99% confidence The document text is very short (1124 chars) and focuses entirely on calculating and reporting the Net Asset Value (Substansvärde) per share as of September 30, 2010, along with top holdings. This specific metric, Net Asset Value (NAV), is explicitly defined under the 'NAV' filing type. Although it contains financial data, it is not a comprehensive report (like 10-K or IR) but a specific periodic calculation typical for investment vehicles.
2010-10-04 Swedish

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