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Pin to quick picksFondul Proprietatea Regulatory News (FP.)

Share Price Information for Fondul Proprietatea (FP.)

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29 April 2021 NAV report

14 May 2021 16:44

RNS Number : 7387Y
Fondul Proprietatea S.A.
14 May 2021
 

Fund Administrator:

Franklin Templeton International Services S.à r.l.

Administrator Code:

PJM07.1AFIASMDLUX0037

Fund:

Fondul Proprietatea SA

Fund Code:

PJR09SIIR/400006

Reporting date:

29.04.2021

 

Fondul Proprietatea SA 's Assets and Liabilities based on NAV calculation according with the CNVM Regulation No. 4 / 2010, as subsequently amended

Lei

1. Non-current Assets

8,003,423,730.18

1.1. Intangible assets

0.00

1.2. Tangible assets

0.00

1.3. Financial assets

8,003,423,730.18

1.3.1 Listed shares**

8,863,425.29

1.3.2 Unlisted shares

7,994,560,304.89

1.3.3 Government securities

0.00

1.3.4 Certificates of deposits

0.00

1.3.5 Bank deposits

0.00

1.3.6 Municipal bonds

0.00

1.3.7 Corporate bonds

0.00

1.3.8 Newly issued securities

0.00

1.3.9 Participation titles of UCITS and/or of OCIU

0.00

1.3.10 Other financial assets

0.00

2. Current assets

2,963,577,479.66

2.1 Inventory

0.00

2.2 Receivables out of which:

632,544.79

- commercial papers

0.00

2.3 Cash

32,603,889.76

2.4 Short term financial investments

2,048,841,667.79

2.4.1 Listed shares**

2,048,841,667.79

2.4.2 Unlisted shares

0.00

2.4.3 Municipal bonds

0.00

2.4.4 Corporate bonds

0.00

2.4.5 Participation titles of UCITS and/or of OCIU

0.00

2.5 Newly issued securities

0.00

2.6 Government securities

276,537,001.01

2.7 Bank deposits

604,962,376.31

2.8 Certificates of deposits

0.00

2.9 Other current assets

0.00

3. Derivatives

0.00

4. Prepaid expenses

685,516.03

5. Total assets

10,967,686,725.87

6. Total liabilities

496,923,676.20

6.1 Borrowings from bond issues

0.00

6.2 Amounts due to credit institutions

0.00

6.3 Advance payments to customer accounts

0.00

6.4. Payables

27,805,637.92

6.5 Commercial papers due

0.00

6.6 Amounts due to group companies

0.00

6.7 Amounts due to related parties

0.00

6.8 Other debts

469,118,038.28

7. Provisions

856,247.22

8. Deferred income out of which:

0.00

8.1 Subsidies for investments

0.00

8.2 Deferred income

0.00

9. Shareholders' equity out of which:

10,469,906,802.45

9.1 Share capital

3,749,282,292.08

9.2 Share capital premiums

0.00

9.3 Revaluation differences

-3,848.02

9.4 Reserves

-27,040,783.88

9.5 Retained earnings

5,969,463,810.66

9.6 Period result

778,205,331.61

9.7 Profit appropriation

0.00

10. Total liabilities and Shareholders' equity

10,967,686,725.87

11. Net Asset Value

10,469,906,802.45

12. No of shares issued*

5,956,217,331

13. Net asset value per share

1.7578

14. Number of portfolio companies out of which:

32

14.1 Companies admitted to trading on a regulated market

2

14.1 Companies admitted to trading on an alternative regulated market***

4

14.3 Companies not admitted to trading

26

Legend:

* = Represents the number of shares related to the paid-up subscribed share capital (according to provisions of Law 247/2005, Title VII, Art. 92, alin. 5 "Subscribed unpaid shares are not taken into account for the computation of net asset value per share for Fondul Proprietatea") excluding (a) the Fund's own shares bought back (Treasury shares), according to provisions of CNVM Regulation no. 4/2010, as subsequently amended, and (b) the equivalent number of shares corresponding to the GDRs bought back

** = Include also the value of holdings admitted to trading on AeRo market (alternative regulated market)

*** = Include the number of companies admitted to trading on AeRo market (alternative trading system)

 

Franklin Templeton International Services S.à r.l., in its capacity of alternative investment fund manager of Fondul Proprietatea SA

 

Călin Meteș

Marius Nechifor

Permanent representative

Compliance Officer

 

BRD Groupe Societe Generale

Victor Strâmbei

Manager Depositary Department

Annex - Valuation methods used for the securities and the monetary market instruments held by Fondul Proprietatea S.A. as at 29 April 2021

 

The valuation methods used for the computation of the NAV as at 29 April 2021, for the securities and the monetary market instruments held by Fondul Proprietatea S.A. are the following:

 

1. Listed companies on BVB traded within last 30 trading days: Closing Price;

2. Listed companies on AeRo market (alternative trading system) traded within last 30 trading days: Reference price;

3. Listed companies with no trades within last 30 trading days: Fair value / share;

4. Unlisted companies: Fair value / share;

5. Companies in insolvency, judicial reorganization, liquidation, dissolution or bankruptcy: Valued at zero;

6. Unlisted companies for which the annual financial statements for the previous year are not available within 90 days after the legal submission deadline: Valued at zero;

7. Listed government bonds: Fair value (reference composite price, including the cumulated interest);

8. Bank deposits: Bank deposit amount cumulated with the accrued interest receivable calculated for the period elapsed since its creation date.

 

Franklin Templeton International Services S.à r.l., in its capacity of alternative investment fund manager of Fondul Proprietatea SA

 

Calin Metes

Permanent Representative

 

 

Marius Nechifor

Compliance Officer

Annex - Changes in the valuation methods used for the computation of the NAV of Fondul Proprietatea as at 29 April 2021

 

For the computation of the NAV of Fondul Proprietatea SA as at 29 April 2021, the valuation methods used for the valuation of investments presented below have been changed and/or have been updated:

 

Mecon SA

 

For this holding, the valuation method has been changed from Fair value (Last available trading price) (respectively RON 12.00 /share) to Reference price - Average price (respectively RON 19.00 /share) according to CNVM Regulation 4/2010, as subsequently amended, because the shares of this company were traded during the last 30 trading days. The total impact of this change on the Fund's NAV was an increase of RON 420,378.00.

 

Government Bonds

 

The valuation method used for the valuation of Government Bonds remained the same, respectively Fair value (reference composite price, including the cumulated interest), but the source for the composite price has been changed from Reuters to Markit.

 

 

Franklin Templeton International Services S.à r.l., in its capacity of alternative investment fund manager of Fondul Proprietatea SA

 

Calin Metes

Marius Nechifor

Permanent representative

Compliance Officer

 

 

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END
 
 
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15th Mar 20237:02 amRNS28 February 2023 NAV report
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14th Mar 20237:54 amRNSEnel S.p.A. notification on the tag along right
13th Mar 20235:03 pmRNSCompletion of the public tender offer
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3rd Mar 20233:16 pmRNSErrata 21 April AGM Convening notice
28th Feb 20237:00 amRNSNotice of AGSM for 21 April 2023
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28th Feb 20237:00 amRNSAnnual Sole Director's Report for 2022
15th Feb 20237:00 amRNS31 January 2023 NAV report
15th Feb 20237:00 amRNSJanuary 2023 Factsheet
8th Feb 20232:30 pmRNS31 January 2023 Shareholding structure
6th Feb 202312:16 pmRNSPublication of the tender offer documentation
2nd Feb 20231:37 pmRNSApproval of the public tender offer
20th Jan 202312:35 pmRNSInformation on the closed trading period
17th Jan 20234:00 pmRNSPublic tender offer process
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13th Jan 20234:15 pmRNSDecember 2022 Factsheet
10th Jan 20233:43 pmRNSShareholding structure as of 31 December 2022
9th Jan 202312:29 pmRNSNotification buybacks 2 - 6 January 2023
3rd Jan 20233:40 pmRNSNotification buybacks 27 - 30 December 2022
29th Dec 20228:00 amRNSUpdate on the Fund's buyback programmes
28th Dec 20227:00 amRNSNotification buybacks 19 - 23 December 2022
28th Dec 20227:00 amRNSNotification buybacks 19 - 23 December 2022
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13th Dec 20224:09 pmRNSUpdate regarding significant NAV changes
12th Dec 202212:27 pmRNSNotification buybacks 5 - 9 December 2022
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5th Dec 20222:38 pmRNSNotification buybacks 28 Nov - 2 Dec 2022
28th Nov 20222:32 pmRNSNotification buybacks 21 - 25 November 2022
21st Nov 20222:15 pmRNSNotification buybacks 14 - 18 November 2022
16th Nov 20221:31 pmRNS15 November 2022 OGM and EGM full text resolutions
15th Nov 20222:54 pmRNSThe resolutions of the OGSM and EGSM 15 Nov 2022
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15th Nov 20227:00 amRNS31 October 2022 NAV report
15th Nov 20227:00 amRNSOctober 2022 Factsheet
14th Nov 20223:41 pmRNSNotification buybacks 7 - 11 November 2022
8th Nov 20223:55 pmRNSTotal Voting Rights
7th Nov 20223:02 pmRNSNotification buybacks 31 October - 4 November 2022
3rd Nov 20224:25 pmRNSNAV as of 19 October 2022

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